Interim report
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Summary of Consolidated Financial Results [ IFRS ] for the Fiscal Year Ended March 31 , 2021 Listed company name Code Listed stock exchanges URL Company representative Contact Phone : Sysmex Corporation : 6869 : Tokyo Stock Exchange : May 12 , 2021 www.sysmex.co.jp/en : Hisashi Ietsugu , Chairman and CEO : Tomoo Aramaki , Executive Vice President : Corporate Business Administration 078 ( 265 ) -0500 June 25 , 2021 Scheduled date for shareholders ' meeting Scheduled date for dividend payment June 28 , 2021 Scheduled date for filing of financial report June 25 , 2021 Preparation of supplementary material for earnings Holding of earnings announcement Yes : Yes 1. Consolidated Results for the Year Ended March 31 , 2021 ( 1 ) Operating results ( Unit : Millions of Yen ) Year ended Mar. 31 , 2021 Year ended Mar. 31 , 2020 Net Sales 305,073 301,980 1.0 % 2.9 % Operating profit 51,792 ( 6.3 ) % 55,284 ( 9.8 ) % ( % changes as compared with the previous fiscal year ) Profit before tax Profit 48,033 ( 2.8 ) % 49,433 ( 14.7 ) % 33,103 ( 4.9 ) % 34,813 ( 15.4 ) % Year ended Mar. 31 , 2021 Year ended Mar. 31 , 2020 Profit attributable to owners of the parent 33,142 ( 5.0 ) % 34,883 ( 15.4 ) % income Total comprehensive Basic earnings per share ( Yen ) Diluted earnings per share ( Yen ) 43,768 60.0 % 27,363 ( 27.8 ) % 158.65 167.10 158.39 166.93 Return on equity ( % ) Profit before tax to total assets ( % ) Operating profit to net sales ( % ) Year ended Mar. 31 , 2021 Year ended Mar. 31 , 2020 11.3 12.9 11.8 13.4 17.0 18.3 Note : Share of loss on equity method : 3,083 million yen for the year ended March 31 , 2021 ; 2,398 million yen for the year ended March 31 , 2020 . ( 2 ) Financial condition As of Mar. 31 , 2021 As of Mar. 31 , 2020 ( 3 ) Cash flows Total assets Total equity Equity attributable to owners of the parent Equity attributable to owners of the parent to total assets ( % ) Equity attributable to owners of the parent per share ( Yen ) 427,475 389,291 308,669 278,347 307,898 277,683 72.0 % 71.3 % 1,473.22 1,329.78 Cash flows from operating activities Cash flows from investing activities Cash flows from financing activities Cash and cash equivalents at the Year ended Mar. 31 , 2021 Year ended Mar. 31 , 2020 58,813 53,182 ( 31,131 ) ( 25,906 ) ( 20,253 ) ( 20,597 ) end of the term 66,467 56,592