Enomoto Co., Ltd.TSE: 6928

Summary of Consolidated Financial Results for the Three Months Ended June 30, 2024

· Issued by Enomoto Co., Ltd.

Translation

Notice: This document is an excerpt translation of the original Japanese document and is only for reference purposes. In the event of any discrepancy between this translated document and the original Japanese document, the latter shall prevail.

Summary of Consolidated Financial Results

for the Three Months Ended June 30, 2024

(Based on Japanese GAAP)

August 9, 2024

Company name:

ENOMOTO Co.,Ltd.

Stock exchange listing:

Tokyo

Stock code:

6928

URL https://www.enomoto.co.jp/

Representative:

President

Homare Shiratori

Inquiries:

Operating Officer of Administration Group

Tsutomu Takei

TEL 0554-62-5111

Scheduled date to commence dividend payments:

-

Preparation of supplementary material on financial results:

Yes

Holding of financial results meeting:

No

(Amounts less than one million yen are rounded down)

1. Consolidated financial results for the three months ended June 30, 2024 (from April 1, 2024 to June 30, 2024)

(1) Consolidated operating results (cumulative)

Percentages indicate year-on-year changes

Net sales

Operating profit

Ordinary profit

Profit attributable to

owners of parent

Millions of yen

%

Millions of yen

%

Millions of yen

%

Millions of yen

%

Three months ended June 30, 2024

6,506

1.2

104

(21.2)

135

(16.5)

47

(51.4)

Three months ended June 30, 2023

6,426

(11.3)

132

(75.3)

162

(74.5)

96

(77.5)

Earnings per share

Diluted earnings per share

Yen

Yen

Three months ended June 30, 2024

7.04

7.01

Three months ended June 30, 2023

14.52

14.48

(2) Consolidated financial position

Total assets

Net assets

Equity ratio

Millions of yen

Millions of yen

%

As of June 30, 2024

33,239

21,515

64.7

As of March 31, 2024

32,371

20,977

64.8

2. Cash dividends

Annual dividends per share

1st quarter-end

2nd quarter-end

3rd quarter-end

Fiscal year-end

Total

Yen

Yen

Yen

Yen

Yen

Year ended March 31, 2024

-

35.00

-

35.00

70.00

Year ending March 31, 2025

-

Year ending March 31, 2025 (Forecast)

35.00

-

36.00

71.00

3. Forecast of consolidated financial results for the year ending March 31, 2025 (from April 1, 2024 to March 31, 2025)

Percentages indicate year-on-year changes

Net sales

Operating profit

Ordinary profit

Profit attributable to

Earnings per share

owners of parent

Millions of yen

%

Millions of yen

%

Millions of yen

%

Millions of yen

%

Yen

Full year

25,500

1.0

600

274.4

600

105.5

450

271.0

67.38

1

4. Notes

(1)

Significant changes in the scope of consolidation during the three months ended June 30, 2024:

No

(2)

Application of special accounting methods for preparing quarterly consolidated financial statements:

No

(3)

Changes in accounting policies, changes in accounting estimates, and restatement of prior period financial statements

Changes in accounting policies due to revisions to accounting standards and other regulations:

Yes

Changes in accounting policies due to other reasons:

No

Changes in accounting estimates:

No

Restatement of prior period financial statements:

No

(4)

Number of issued shares (common shares)

Total number of issued shares at the end of the period (including treasury shares)

As of June 30, 2024

6,865,360 shares

As of March 31, 2024

6,865,360 shares

Number of treasury shares at the end of the period

As of June 30, 2024

165,550 shares

As of March 31, 2024

186,750 shares

Average number of shares during the period (cumulative from the beginning of the fiscal year)

Three months ended June 30, 2024

6,694,964 shares

Three months ended June 30, 2023

6,678,690 shares

2

Quarterly consolidated financial statements

Consolidated balance sheets

(Thousands of yen)

As of March 31, 2024

As of June 30, 2024

Assets

Current assets

Cash and deposits

5,032,349

5,054,778

Notes and accounts receivable - trade, and contract assets

6,301,883

6,571,983

Merchandise and finished goods

1,319,598

1,466,446

Work in process

1,742,997

1,953,438

Raw materials and supplies

1,948,793

2,161,961

Accounts receivable - other

351,877

211,841

Other

439,524

313,175

Allowance for doubtful accounts

(3,407)

(3,649)

Total current assets

17,133,617

17,729,976

Non-current assets

Property, plant and equipment

Buildings and structures

11,080,788

11,289,770

Accumulated depreciation and impairment

(6,446,602)

(6,618,827)

Buildings and structures, net

4,634,185

4,670,942

Machinery, equipment and vehicles

16,203,612

16,708,315

Accumulated depreciation and impairment

(11,226,474)

(11,651,670)

Machinery, equipment and vehicles, net

4,977,138

5,056,644

Tools, furniture and fixtures

4,150,674

4,473,949

Accumulated depreciation and impairment

(3,470,409)

(3,606,637)

Tools, furniture and fixtures, net

680,264

867,311

Land

2,875,567

2,875,567

Construction in progress

409,323

341,753

Total property, plant and equipment

13,576,479

13,812,219

Intangible assets

574,038

574,817

Investments and other assets

Investment securities

511,598

524,123

Retirement benefit asset

340,919

336,735

Deferred tax assets

19,192

41,273

Other

243,535

248,159

Allowance for doubtful accounts

(28,050)

(28,050)

Total investments and other assets

1,087,197

1,122,241

Total non-current assets

15,237,715

15,509,277

Total assets

32,371,333

33,239,254

3

(Thousands of yen)

As of March 31, 2024

As of June 30, 2024

Liabilities

Current liabilities

Notes and accounts payable - trade

5,198,950

5,491,369

Short-term borrowings

1,572,018

1,547,019

Income taxes payable

72,693

87,184

Provision for bonuses

330,000

168,000

Other

1,355,522

1,607,287

Total current liabilities

8,529,184

8,900,860

Non-current liabilities

Long-term borrowings

1,536,000

1,449,000

Deferred tax liabilities

150,597

184,701

Retirement benefit liability

309,035

335,729

Provision for retirement benefits for directors (and other

67,792

67,792

officers)

Provision for share awards for directors (and other

172,101

150,532

officers)

Deferred tax liabilities for land revaluation

269,710

269,710

Other

359,173

365,462

Total non-current liabilities

2,864,410

2,822,927

Total liabilities

11,393,595

11,723,788

Net assets

Shareholders' equity

Share capital

4,749,333

4,749,333

Capital surplus

5,082,571

5,082,571

Retained earnings

9,181,017

8,989,877

Treasury shares

(244,331)

(215,966)

Total shareholders' equity

18,768,590

18,605,814

Accumulated other comprehensive income

Valuation difference on available-for-sale securities

22,556

32,269

Revaluation reserve for land

(397,291)

(397,291)

Foreign currency translation adjustment

2,383,975

3,076,875

Remeasurements of defined benefit plans

184,797

182,688

Total accumulated other comprehensive income

2,194,037

2,894,541

Share acquisition rights

15,109

15,109

Total net assets

20,977,737

21,515,465

Total liabilities and net assets

32,371,333

33,239,254

4

Consolidated statements of income (cumulative) and consolidated statements of comprehensive income (cumulative)

Consolidated statements of income (cumulative)

(Thousands of yen)

Three months ended

Three months ended

June 30, 2023

June 30, 2024

Net sales

6,426,910

6,506,307

Cost of sales

5,704,423

5,756,751

Gross profit

722,487

749,556

Selling, general and administrative expenses

590,040

645,170

Operating profit

132,446

104,386

Non-operating income

Interest income

7,257

22,227

Dividend income

18

13

Rental income

7,612

7,712

Foreign exchange gains

12,362

5,102

Other

13,847

7,263

Total non-operating income

41,097

42,319

Non-operating expenses

Interest expenses

7,739

7,957

Taxes and dues

1,549

1,295

Depreciation

1,789

1,439

Other

19

314

Total non-operating expenses

11,097

11,006

Ordinary profit

162,446

135,699

Extraordinary income

Gain on sale of non-current assets

3,179

1,024

Total extraordinary income

3,179

1,024

Extraordinary losses

Loss on sale of non-current assets

729

9

Loss on retirement of non-current assets

2,745

19,853

Total extraordinary losses

3,474

19,863

Profit before income taxes

162,151

116,860

Income taxes - current

58,958

57,409

Income taxes - deferred

6,202

12,346

Total income taxes

65,161

69,755

Profit

96,989

47,104

Profit attributable to owners of parent

96,989

47,104

5

Consolidated statements of comprehensive income (cumulative)

(Thousands of yen)

Three months ended

Three months ended

June 30, 2023

June 30, 2024

Profit

96,989

47,104

Other comprehensive income

Valuation difference on available-for-sale securities

7,414

9,713

Foreign currency translation adjustment

53,155

692,899

Remeasurements of defined benefit plans, net of tax

580

(2,108)

Total other comprehensive income

61,150

700,504

Comprehensive income

158,140

747,608

Comprehensive income attributable to

Comprehensive income attributable to owners of parent

158,140

747,608

Comprehensive income attributable to non-controlling

-

-

interests

6

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