Interim report
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PASONA FASF July 15 , 2021 CONSOLIDATED FINANCIAL REPORT ( Japanese GAAP ) Listed company name : Listing stock exchange : Securities code number : URL : Representative : FY2020 ( June 1 , 2020 to May 31 , 2021 ) Pasona Group Inc. The First Section of the Tokyo Stock Exchange 2168 https://www.pasonagroup.co.jp Yasuyuki Nambu , Group CEO and President For further information contact : Yuko Nakase , Senior Managing Executive Officer and CFO Tel . + 81-3-6734-0200 Date of Annual General Meeting of shareholders : August 20 , 2021 Scheduled payment date of cash dividends : August 6 , 2021 Scheduled filing date of the securities report : August 23 , 2021 Supplemental materials prepared for financial results : Yes Holding of financial results meeting : Yes ( for analysts and institutional investors ) ( All amounts are in millions of yen rounded down unless otherwise stated ) 1. CONSOLIDATED BUSINESS RESULTS ( 1 ) Consolidated Financial Results FY2020 FY2019 Percentage figures are the increase / ( decrease ) for the corresponding period of the previous fiscal year . ( Note ) Comprehensive income Operating Income % Net Sales % 334,540 324,984 2.9 19,940 ( 0.6 ) 10,577 FY2020 : ¥ 10,251 million Ordinary Income Profit attributable to owners of parent % % 6,784 88.5 20,379 99.1 11.8 10,236 10.8 FY2019 : ¥ 3,369 million 594 ( 69.9 ) Net Income per Share Diluted Net Income per Share Return on Equity Ordinary Income to Total Assets Yen % Operating Income to Net Sales FY2020 FY2019 Yen 173.36 15.21 % 19.4 2.0 14.0 7.9 ( Reference ) Equity in earnings of unconsolidated subsidiaries and affiliates FY2020 : ¥ ( 110 ) million ¥ ( 3 ) million ( 2 ) Consolidated Financial Position % 6.0 3.3 FY2019 : May 31 , 2021 May 31 , 2020 Total Assets Net Assets Equity Ratio ( % ) Net Assets per Share ( Yen ) 151,641 140,441 49,779 42,316 25.2 22.7 974.85 813.28 ( Reference ) Equity As of May 31 , 2021 : ¥ 38,155 million As of May 31 , 2020 : ¥ 31,811 million ( 3 ) Consolidated Cash Flows Operating Activities Investing Activities Financing Activities Cash and Cash Equivalents , End of Period FY2020 FY2019 18,868 11,424 ( 9,665 ) ( 6,964 ) ( 5,147 ) 52,298 12,102 48,147 · 1 -