Interim report
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Consolidated Results for the Fiscal Year Ended February 28 , 2021 [ IFRS ] April 9 , 2021 Listed company name : YASKAWA Electric Corporation https://www.yaskawa.co.jp/en/ Representative : Hiroshi Ogasawara , Representative Director , President Stock exchange listings : Tokyo ( First section ) , Fukuoka Stock ticker number : 6506 ( Note : This document is a summarized translation of the financial statement submitted to the Tokyo Stock Exchange and Fukuoka Stock Exchange for the period stated above . Figures under ¥ 1 million are rounded down . ) 1. Summary of Consolidated Results for the Fiscal Year Ended February 28 , 2021 ( from March 1 , 2020 to February 28 , 2021 ) ( 1 ) Consolidated Statements of Income Revenue Operating profit Profit before tax Profit ( Millions of yen , percentage change from the previous year ) Total comprehensive income Profit attributable to owners of parent Year ended 389,712 -5.2 % 27,180 12.3 % 27,172 10.3 % 19,260 22.3 % 18,927 21.5 % 28,569 262.7 % February 28 , 2021 Year ended 410,957 -13.4 % 24,198 -54.4 % 24,642 -55.2 % 15,742 -63.4 % February 29 , 2020 15,572 -63.4 % 7,878 -77.6 % Earnings Earnings per share ( basic , Yen ) per share ( diluted , Yen ) Return on equity attributable to owners of parent ( % ) Profit before tax on total assets ( % ) Operating profit ratio ( % ) Year ended 72.41 72.38 8.0 February 28 , 2021 5.8 7.0 Year ended 59.42 59.39 February 29 , 2020 6.6 5.4 5.9 Reference : Equity in earnings of affiliates Year ended February 28 , 2021 : ¥ 538 million Year ended February 29 , 2020 : ¥ 1,289 million ( 2 ) Consolidated Financial Position ( Millions of yen , except ratio and per share data ) Ratio of equity attributable to Equity attributable to owners of parent per share ( Yen ) 50.5 942.11 owners of parent to total assets ( % ) Total assets Total equity Equity attributable to owners of parent As of February 28 , 2021 487,428 As of February 29 , 2020 450,127 249,561 246,266 231,167 228,362 ( 3 ) Consolidated Statements of Cash Flows Year ended February 28 , 2021 Year ended February 29 , 2020 Net cash provided by operating activities Net cash used in investing activities Net cash provided by ( used in ) financing activities 39,602 -9,601 -20,284 21,480 -20,645 491 1 50.7 873.69 ( Millions of yen ) Cash and cash equivalents at end of period 50,953 40,307