Earnings release
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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 . Company name : Listed stock exchange : Tokyo Stock code : 4384 Representative : RAKSUL INC . https://corp.raksul.com/ Representative Director , P resident and CEO Director , CFO Inquiries : Scheduled date of ordinary general meeting of shareholders : Scheduled date to file securities Report : Scheduled date of dividend payments : Supplementary materials : Meeting for institutional investors and analysts : Year ended July 31 , 2021 Year ended July 31 , 2020 Year ended July 31 , 2021 Year ended July 31 , 2020 ( 2 ) Financial position 2. Cash dividends Summary of Financial Results for the Year Ended July 31 , 2021 ( Based on Japanese GAAP ) Year ended July 31 , 2021 Year ended July 31 , 2020 1. Financial Results for the Year Ended July 31 , 2021 ( August 1 , 2020 - July 31 , 2021 ) ( 1 ) Operating results ( cumulative ) As of July 31 , 2021 As of July 31 , 2020 Reference : Shareholders ' equity ( 3 ) Cash flows Net sales Millions of yen 30,261 21,494 Earnings per share Year ended July 31 , 2020 Year ended July 31 , 2021 Year ending July 31 , 2022 ( forecast ) % 40.8 25.2 Yen 5.62 ( 17.64 ) Total assets Diluted earnings per share 1Q - end Millions of yen 1,539 ( 126 ) Y asukane Matsumoto Yo Nagami Millions of yen 220 ( 244 ) Yen 4.98 Yen Net profit ( Percentages show the change from the same period of previous fiscal year ) Operating profit Ordinary profit Millions of yen 130 ( 368 ) October 21 , 2021 October 22 , 2021 Yes Yes Millions of yen 21,916 19,379 July 31 , 2021 : 7,467 million yen Net assets 2Q - end Cash flows from operating Cash flows from investing activities activities Millions of yen ( 3,618 ) ( 283 ) 1 Profit attributable to owners of parent / equity ( Figures are rounded down to the nearest million yen ) % Yen 0.00 0.00 0.00 % 2.3 ( 7.3 ) Equity ratio TEL + 81-3-6629-4893 Millions of yen % 7,996 34.1 6,801 34.5 July 31 , 2020 : 6,692 million yen Ordinary profit / total assets % Dividends per share 3Q - end Yen Cash flows from financing activities % 0.6 ( 2.6 ) Millions of yen 75 9,956 September 10 , 2021 Millions of yen 160 ( 494 ) Year - end Net assets per share Operating profit / net sales Yen 0.00 0.00 0.00 % % 0.7 ( 1.1 ) Cash and cash equivalents at end of period Yen 260.02 236.73 Annual Millions of yen 13,447 15,451 Yen 0.00 0.00 0.00