JALUX financials at a glance

Year Year 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024
Rev. Revenue
¥98.62B ¥107.95B ¥114.13B ¥120.23B ¥113.23B ¥105.56B ¥95.54B ¥89.08B ¥85.94B ¥99.84B ¥112.72B ¥141.50B ¥143.22B ¥153.40B ¥185.73B ¥144.69B ¥80.35B ¥45.64B ¥27.92B ¥0.00M
GM % Gross Margin %
23.40% 21.55% 21.49% 19.85% 19.88% 20.61% 21.53% 21.13% 22.10% 19.57% 18.01% 16.17% 16.32% 16.40% 14.32% 17.86% 15.58% 33.58% 37.97% 0.00%
OM Operating Margin
2.78% 2.30% 2.87% 1.82% 0.53% -0.33% 1.63% 1.82% 1.62% 1.71% 2.14% 2.67% 2.82% 3.07% 2.49% 2.74% -3.63% -1.53% 5.49% 0.00%
EPS Earnings Per Share
¥0.00
Div. Dividends
¥0.00 ¥0.00 ¥0.00 ¥0.00 ¥0.00 ¥0.00 ¥0.00 ¥0.00 ¥0.00 ¥0.00 ¥0.00 ¥0.00 ¥0.00 ¥0.00 ¥0.00 ¥0.00 ¥0.00 ¥0.00 ¥0.00 ¥0.00
PR % Payout Ratio %
0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Sha. Shares
12.78m 12.78m 25.52m 12.76m 12.76m 12.7m 12.71m 12.72m 12.63m 12.63m 12.64m 12.64m 12.64m 12.64m 12.64m 12.64m 12.64m 12.64m 0m 0m
OCF Operating Cash Flow
¥2.00B ¥2.52B ¥1.59B ¥1.87B ¥1.40B ¥-1170.79M ¥4.95B ¥1.84B ¥2.10B ¥1.92B ¥-489.00M ¥3.10B ¥2.91B ¥2.44B ¥-4463.00M ¥1.49B ¥3.83B ¥-972.00M ¥0.00M ¥0.00M
FCF Free Cash Flow
¥1.30B ¥1.43B ¥845.37M ¥1.39B ¥-758.94M ¥-2675.69M ¥3.97B ¥922.00M ¥1.16B ¥474.00M ¥-1409.00M ¥1.86B ¥-29.77M ¥735.00M ¥-4972.00M ¥-468.00M ¥3.18B ¥-1445.00M ¥0.00M ¥0.00M
FCFS Free Cash Flow Per Share
¥92.70 ¥41.53 ¥9.20 ¥63.63 ¥-81.91 ¥-242.40 ¥292.29 ¥113.14 ¥61.88 ¥69.50 ¥-111.58 ¥159.99 ¥-7.20 ¥70.87 ¥-412.88 ¥-62.41 ¥253.74 ¥-127.73 ¥0.00 ¥0.00