Interim report
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mixi GROUP Company name : mixi , Inc. Stock exchange listing : Tokyo Stock Exchange Securities code : 2121 URL : https://mixi.co.jp/en/ Representative : Koki Kimura , President and Representative Director Inquiries : Hiroyuki Ohsawa , Director and CFO Phone : + 81-3-6897-9500 Consolidated Financial Results for the Fiscal Year Ended March 31 , 2021 [ Japanese GAAP ] Fiscal year ended March 31 , 2021 March 31 , 2020 Scheduled date of Ordinary General Meeting of Shareholders : June 25 , 2021 Scheduled date of commencing dividend payments : June 10 , 2021 Scheduled date of filing securities report : June 28 , 2021 Availability of supplementary briefing material on financial results : Available Schedule of financial results briefing session : Scheduled ( conference call for institutional investors and securities analysts ) ( Amounts of less than one million yen are rounded down . ) 1. Consolidated Financial Results for the Fiscal Year Ended March 31 , 2021 ( April 1 , 2020 to March 31 , 2021 ) ( 1 ) Consolidated Operating Results ( % indicates changes from the previous corresponding period . ) Profit attributable Operating income Ordinary income to owners of parent Fiscal year ended March 31 , 2021 ¥ million % ¥ million % 119,319 6.4 27,117 35.1 112,171 ( 22.1 ) 20,069 ( 52.3 ) ¥ million % ¥ million % ¥ million 22,928 33.7 23,019 36.1 15,692 17,147 ( 58.2 ) 16,915 ( 58.9 ) 10,760 March 31 , 2020 * EBITDA ( Earnings Before Interest , Taxes , Depreciation , and Amortization ) is amount based on operating income excluding depreciation and amortization of goodwill . ( Note ) Comprehensive income : Fiscal Year ended March 31 , 2021 : ¥ 16,364 million [ 57.4 % ] Fiscal Year ended March 31 , 2020 : ¥ 10,393 million [ ( 61.8 % ) ] As of March 31 , 2021 As of March 31 , 2020 ( Reference ) Equity : Net sales Fiscal year ended March 31 , 2021 March 31 , 2020 Basic earnings per share ( 2 ) Consolidated Financial Position ( 3 ) Consolidated Cash Flows ¥ 208.24 142.80 EBITDA * Diluted earnings Rate of return on per share equity Total assets ¥ million 226,356 202,814 Cash flows from operating activities ¥ As of March 31 , 2021 : ¥ 188,251 million As of March 31 , 2020 : ¥ 180,124 million ¥ million 34,672 17,792 205.72 141.68 Net assets ¥ million 189,590 181,305 Cash flows from investing activities 1 ¥ million ( 7,159 ) ( 30,683 ) % 8.5 6.0 Ordinary income to total assets Equity ratio % 83.2 88.8 Cash flows from financing activities 10.7 8.5 FASF % ¥ million ( 3,141 ) ( 6,085 ) May 7 , 2021 % 45.8 ( 59.4 ) Operating income to net sales % 19.2 15.3 Net assets per share ¥ 2,497.55 2,390.52 Cash and cash equivalents at end of period ¥ million 149,812 125,427