Tokyo Radiator Manufacturing Co., Ltd.TSE: 7235

Financial Results(142 KB) (202503 tansin2 en)

· Issued by Tokyo Radiator Manufacturing 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 Six Months Ended September 30, 2024

(Based on Japanese GAAP)

November 8, 2024

Company name:

TOKYO RADIATOR MFG. CO.,LTD.

Stock exchange listing:

Tokyo

Stock code:

7235

URL http://www.tokyo-radiator.co.jp/

Representative:

President

Hironori Kimura

Inquiries:

Executive Corporate Officer

Kazuhiko Yano

TEL 0466-87-1231

Scheduled date to file Semi-annual Securities Report:

November 8, 2024

Scheduled date to commence dividend payments:

December 6, 2024

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 six months ended September 30, 2024 (from April 1, 2024 to September 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

%

Six months ended September 30, 2024

16,735

3.1

742

14.0

837

14.9

576

4.6

Six months ended September 30, 2023

16,230

7.9

651

-

728

-

551

-

Earnings per share

Diluted earnings per share

Yen

Yen

Six months ended September 30, 2024

61.37

-

Six months ended September 30, 2023

58.76

-

(2) Consolidated financial position

Total assets

Net assets

Equity ratio

Millions of yen

Millions of yen

%

As of September 30, 2024

31,071

23,106

67.9

As of March 31, 2024

31,628

21,902

63.1

2. Cash dividends

Annual dividends per share

1st quarter-end

2nd quarter-end

3rd quarter-end

Fiscal year-end

Yen

Yen

Yen

Yen

Year ended March 31, 2024

-

9.00

-

14.00

Year ending March 31, 2025

-

13.00

Year ending March 31, 2025 (Forecast)

-

13.00

Total

Yen 23.00

26.00

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

33,000

(1.2)

1,400

0.2

1,500

(3.2)

1,100

(34.6)

117.17

1

4. Notes

(1) Significant changes in the scope of consolidation during the six months ended September 30, 2024:

No

  1. Application of special accounting methods for preparing semi-annual consolidated financial statements: No
  2. 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 September 30, 2024

14,400,000

shares

As of March 31, 2024

14,400,000

shares

Number of treasury shares at the end of the period

As of September 30, 2024

4,966,108

shares

As of March 31, 2024

5,012,108

shares

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

Six months ended September 30, 2024

9,401,035

shares

Six months ended September 30, 2023

9,387,893

shares

2

Semi-annual consolidated financial statements

Consolidated balance sheets

(Thousands of yen)

As of March 31, 2024

As of September 30, 2024

Assets

Current assets

Cash and deposits

7,088,813

7,090,440

Notes and accounts receivable - trade, and contract assets

5,447,168

5,694,619

Electronically recorded monetary claims - operating

2,953,812

2,648,432

Merchandise and finished goods

1,215,043

1,103,549

Work in process

527,506

492,510

Raw materials and supplies

2,125,072

1,969,777

Income taxes refund receivable

-

5,395

Other

531,734

527,445

Allowance for doubtful accounts

-

(5,500)

Total current assets

19,889,152

19,526,670

Non-current assets

Property, plant and equipment

Buildings and structures

6,550,926

6,682,234

Accumulated depreciation

(3,793,373)

(3,946,254)

Buildings and structures, net

2,757,553

2,735,980

Machinery, equipment and vehicles

17,777,364

18,297,093

Accumulated depreciation

(13,621,364)

(14,180,117)

Machinery, equipment and vehicles, net

4,155,999

4,116,975

Tools, furniture and fixtures

7,165,394

7,574,346

Accumulated depreciation

(6,228,864)

(6,687,586)

Tools, furniture and fixtures, net

936,529

886,760

Land

1,106,558

1,106,558

Construction in progress

264,043

283,791

Total property, plant and equipment

9,220,685

9,130,066

Intangible assets

153,859

141,065

Investments and other assets

Investment securities

1,783,111

1,673,164

Deferred tax assets

66,597

63,702

Retirement benefit asset

449,884

476,945

Other

73,721

60,176

Allowance for doubtful accounts

(8,500)

-

Total investments and other assets

2,364,814

2,273,989

Total non-current assets

11,739,359

11,545,122

Total assets

31,628,511

31,071,792

3

(Thousands of yen)

As of March 31, 2024

As of September 30, 2024

Liabilities

Current liabilities

Notes and accounts payable - trade

2,888,852

2,542,936

Electronically recorded obligations - operating

2,939,846

2,256,338

Accrued expenses

1,397,293

1,070,142

Income taxes payable

144,128

104,222

Provision for product warranties

39,168

37,050

Provision for loss on special claims

119,683

90,364

Notes payable - facilities

-

4,274

Electronically recorded obligations - non-operating

127,128

134,848

Accounts payable - facilities

277,940

72,726

Other

556,822

393,018

Total current liabilities

8,490,865

6,705,922

Non-current liabilities

Retirement benefit liability

22,621

20,284

Deferred tax liabilities

885,528

934,589

Other

326,614

304,153

Total non-current liabilities

1,234,764

1,259,027

Total liabilities

9,725,629

7,964,949

Net assets

Shareholders' equity

Share capital

1,317,600

1,317,600

Capital surplus

778,300

778,662

Retained earnings

18,363,652

18,809,207

Treasury shares

(3,704,604)

(3,670,604)

Total shareholders' equity

16,754,947

17,234,865

Accumulated other comprehensive income

Valuation difference on available-for-sale securities

892,149

814,481

Foreign currency translation adjustment

1,808,945

2,586,865

Remeasurements of defined benefit plans

486,582

451,714

Total accumulated other comprehensive income

3,187,677

3,853,061

Non-controlling interests

1,960,256

2,018,915

Total net assets

21,902,882

23,106,842

Total liabilities and net assets

31,628,511

31,071,792

4

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

Consolidated statements of income (cumulative)

(Thousands of yen)

Six months ended

Six months ended

September 30, 2023

September 30, 2024

Net sales

16,230,107

16,735,092

Cost of sales

14,127,277

14,551,509

Gross profit

2,102,830

2,183,582

Selling, general and administrative expenses

1,450,983

1,440,687

Operating profit

651,847

742,895

Non-operating income

Interest income

71,115

46,199

Dividend income

33,816

40,019

Rental income

1,364

802

Commission income

4,905

4,731

Other

8,315

19,612

Total non-operating income

119,517

111,364

Non-operating expenses

Interest expenses

8,081

8,779

Foreign exchange losses

27,818

7,378

Loss on sale of trade receivables

6,336

-

Other

299

944

Total non-operating expenses

42,537

17,103

Ordinary profit

728,827

837,157

Extraordinary income

Gain on sale of non-current assets

16

1,660

Total extraordinary income

16

1,660

Extraordinary losses

Loss on retirement of non-current assets

6,859

1,437

Total extraordinary losses

6,859

1,437

Profit before income taxes

721,984

837,379

Income taxes - current

113,690

140,233

Income taxes - deferred

(32,102)

80,329

Total income taxes

81,587

220,563

Profit

640,396

616,816

Profit attributable to non-controlling interests

88,719

39,830

Profit attributable to owners of parent

551,676

576,985

5

Consolidated statements of comprehensive income (cumulative)

(Thousands of yen)

Six months ended

Six months ended

September 30, 2023

September 30, 2024

Profit

640,396

616,816

Other comprehensive income

Valuation difference on available-for-sale securities

201,579

(77,668)

Foreign currency translation adjustment

541,915

915,511

Remeasurements of defined benefit plans, net of tax

(7,979)

(34,868)

Total other comprehensive income

735,514

802,974

Comprehensive income

1,375,910

1,419,791

Comprehensive income attributable to

Comprehensive income attributable to owners of parent

1,181,424

1,242,369

Comprehensive income attributable to non-controlling

194,486

177,421

interests

6

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