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Financial Statement Details: 和興エンジニアリング (Annual )

Two or more periods are displayed by each of subject collectively.Two or more companies can be compared and financial statement data can also be downloaded.

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U-Chart(pie chart)2009-03-312010-03-312011-03-31
  • Cash etc.
  • Other Current Assets
  • Tangible Assets
  • Intangible Assets
  • Investment etc.
  • Current Liabilities
  • Fixed Liabilities
  • Capital stock
  • Capital surplus etc.
*IN(*Right half), OUT(*Left half), BALANCE(*Net Assets)
[BS] 2009-03-31
 *  Total: ¥ 15 B
 *  Net: ¥ 8 B
 (Ratio: 51.35%)
[BS] 2010-03-31
 *  Total: ¥ 16 B
 *  Net: ¥ 7 B
 (Ratio: 46.03%)
[BS] 2011-03-31
 *  Total: ¥ 16 B
 *  Net: ¥ 7 B
 (Ratio: 47.88%)
Financial Statement Details2009-03-312010-03-312011-03-31
Cash etc. ¥ 436 M ¥ 457 M ¥ 452 M
Other Current Assets ¥ 10 B ¥ 10 B ¥ 10 B
Tangible Assets ¥ 3 B ¥ 3 B ¥ 3 B
Intangible Assets ¥ 219 M ¥ 211 M ¥ 162 M
Investment etc. ¥ 1 B ¥ 1 B ¥ 1 B
Total Assets ¥ 15 B ¥ 16 B ¥ 16 B
Current Liabilities ¥ 4 B ¥ 6 B ¥ 6 B
Fixed Liabilities ¥ 2 B ¥ 2 B ¥ 2 B
Capital stock ¥ 909 M ¥ 909 M ¥ 909 M
Capital surplus etc. ¥ 7 B ¥ 6 B ¥ 6 B
Liabilities and net assets ¥ 15 B ¥ 16 B ¥ 16 B
U-Chart(pie chart)2009-03-312010-03-312011-03-31
  • Sales
  • Cost of Sales
  • Other income
  • SG&A
  • Other expenses
  • Net income
*IN(*Right half), OUT(*Left half), BALANCE(*Net Income)
[PL] 2009-03-31
 *  Sales: ¥ 31 B
 *  Income: ¥ -253 M
 (Ratio: -0.81%)
[PL] 2010-03-31
 *  Sales: ¥ 31 B
 *  Income: ¥ -402 M
 (Ratio: -1.29%)
[PL] 2011-03-31
 *  Sales: ¥ 29 B
 *  Income: ¥ 61 M
 (Ratio: 0.21%)
Financial Statement Details2009-03-312010-03-312011-03-31
Sales ¥ 31 B ¥ 31 B ¥ 29 B
Cost of Sales ¥ 29 B ¥ 29 B ¥ 27 B
Gross profit ¥ 1 B ¥ 1 B ¥ 1 B
Other income ¥ 77 M ¥ 306 M ¥ 511 M
SG&A ¥ 1 B ¥ 1 B ¥ 1 B
Other expenses ¥ 155 M ¥ 772 M ¥ 537 M
Net income ¥ -253 M ¥ -402 M ¥ 61 M
U-Chart(pie chart)2009-03-312010-03-312011-03-31
  • Operating CF
  • Investment CF
  • Financial CF
  • Foreign Exchange Effects
  • Net Change in Cash
*IN(*Right half), OUT(*Left half), BALANCE(*Net Change in Cash)
[CF] 2009-03-31
 *  OCF: ¥ 389 M
 *  Cash: ¥ +133 M
[CF] 2010-03-31
 *  OCF: ¥ -138 M
 *  Cash: ¥ +16 M
[CF] 2011-03-31
 *  OCF: ¥ -834 M
 *  Cash: ¥ -5 M
Financial Statement Details2009-03-312010-03-312011-03-31
Operating CF ¥ 389 M ¥ -138 M ¥ -834 M
Investment CF ¥ -65 M ¥ -290 M ¥ 544 M
Financial CF ¥ -190 M ¥ 444 M ¥ 284 M
Foreign Exchange Effects - - -
Net Change in Cash ¥ 133 M ¥ 16 M ¥ -5 M
U-Chart(pie chart)2009-03-312010-03-312011-03-31
  • Issuance of new shares
  • Dividends from surplus
  • Net income
  • Purchase of treasury stock
  • Other Change in Stockholders Equity
  • Other Change in Net Assets
  • Net Change in Net Assets
*IN(*Right half), OUT(*Left half), BALANCE(*Net Change in Net Assets)
[SS] 2009-03-31
 *  Income: ¥ -253 M
 *  Net: ¥ -475 M
[SS] 2010-03-31
 *  Income: ¥ -402 M
 *  Net: ¥ -454 M
[SS] 2011-03-31
 *  Income: ¥ 61 M
 *  Net: ¥ -51 M
Financial Statement Details2009-03-312010-03-312011-03-31
Issuance of new shares - - -
Dividends from surplus ¥ -158 M ¥ -79 M ¥ -95 M
Net income ¥ -253 M ¥ -402 M ¥ 61 M
Purchase of treasury stock ¥ -728 K ¥ -255 K ¥ -217 K
Other Change in Stockholders Equity ¥ -2 K ¥ -1 K ¥ -1 K
Other Change in Net Assets ¥ -62 M ¥ 27 M ¥ -17 M
Net Change in Net Assets ¥ -475 M ¥ -454 M ¥ -51 M
U-Chart(pie chart)2009-03-312010-03-312011-03-31
  • Cash etc.
  • Other Current Assets
  • Tangible Assets
  • Intangible Assets
  • Investment etc.
  • Current Liabilities
  • Fixed Liabilities
  • Capital stock
  • Capital surplus etc.
*IN(*Right half), OUT(*Left half), BALANCE(*Net Assets)
[BS] 2009-03-31
 *  Total: ¥ 15 B
 *  Net: ¥ 7 B
 (Ratio: 49.92%)
[BS] 2010-03-31
 *  Total: ¥ 16 B
 *  Net: ¥ 7 B
 (Ratio: 43.81%)
[BS] 2011-03-31
 *  Total: ¥ 16 B
 *  Net: ¥ 7 B
 (Ratio: 45.79%)
Financial Statement Details2009-03-312010-03-312011-03-31
Cash etc. ¥ 85 M ¥ 178 M ¥ 163 M
Other Current Assets ¥ 9 B ¥ 10 B ¥ 11 B
Tangible Assets ¥ 3 B ¥ 3 B ¥ 3 B
Intangible Assets ¥ 216 M ¥ 208 M ¥ 160 M
Investment etc. ¥ 1 B ¥ 1 B ¥ 1 B
Total Assets ¥ 15 B ¥ 16 B ¥ 16 B
Current Liabilities ¥ 4 B ¥ 6 B ¥ 6 B
Fixed Liabilities ¥ 2 B ¥ 2 B ¥ 2 B
Capital stock ¥ 909 M ¥ 909 M ¥ 909 M
Capital surplus etc. ¥ 6 B ¥ 6 B ¥ 6 B
Liabilities and net assets ¥ 15 B ¥ 16 B ¥ 16 B
U-Chart(pie chart)2009-03-312010-03-312011-03-31
  • Sales
  • Cost of Sales
  • Other income
  • SG&A
  • Other expenses
  • Net income
*IN(*Right half), OUT(*Left half), BALANCE(*Net Income)
[PL] 2009-03-31
 *  Sales: ¥ 29 B
 *  Income: ¥ -114 M
 (Ratio: -0.39%)
[PL] 2010-03-31
 *  Sales: ¥ 30 B
 *  Income: ¥ -354 M
 (Ratio: -1.18%)
[PL] 2011-03-31
 *  Sales: ¥ 28 B
 *  Income: ¥ 222 M
 (Ratio: 0.77%)
Financial Statement Details2009-03-312010-03-312011-03-31
Sales ¥ 29 B ¥ 30 B ¥ 28 B
Cost of Sales ¥ 27 B ¥ 28 B ¥ 26 B
Gross profit ¥ 1 B ¥ 1 B ¥ 1 B
Other income ¥ 62 M ¥ 322 M ¥ 523 M
SG&A ¥ 1 B ¥ 1 B ¥ 1 B
Other expenses ¥ 142 M ¥ 840 M ¥ 632 M
Net income ¥ -114 M ¥ -354 M ¥ 222 M
U-Chart(pie chart)2009-03-312010-03-312011-03-31
  • Issuance of new shares
  • Dividends from surplus
  • Net income
  • Purchase of treasury stock
  • Other Change in Stockholders Equity
  • Other Change in Net Assets
  • Net Change in Net Assets
*IN(*Right half), OUT(*Left half), BALANCE(*Net Change in Net Assets)
[SS] 2009-03-31
 *  Income: ¥ -114 M
 *  Net: ¥ -334 M
[SS] 2010-03-31
 *  Income: ¥ -354 M
 *  Net: ¥ -404 M
[SS] 2011-03-31
 *  Income: ¥ 222 M
 *  Net: ¥ +108 M
Financial Statement Details2009-03-312010-03-312011-03-31
Issuance of new shares - - -
Dividends from surplus ¥ -158 M ¥ -79 M ¥ -95 M
Net income ¥ -114 M ¥ -354 M ¥ 222 M
Purchase of treasury stock ¥ -728 K ¥ -255 K ¥ -217 K
Other Change in Stockholders Equity ¥ -1 K ¥ -1 K ¥ -2 K
Other Change in Net Assets ¥ -60 M ¥ 29 M ¥ -17 M
Net Change in Net Assets ¥ -334 M ¥ -404 M ¥ 108 M

Consolidated :Balance sheet (Annual ) 2008-03-312009-03-312010-03-312011-03-31
   Cash and deposits¥ 322 M¥ 436 M¥ 457 M¥ 452 M
   Notes receivable, accounts receivable from completed construction contracts¥ 8 B¥ 6 B¥ 8 B¥ 8 B
    Costs on uncompleted construction contracts¥ 1 B¥ 2 B¥ 1 B¥ 1 B
    Raw materials and supplies¥ 148 M¥ 107 M¥ 93 M¥ 141 M
   Deferred tax assets¥ 147 M¥ 133 M¥ 181 M¥ 306 M
   Accounts payable for construction contracts¥ 3 B¥ 2 B¥ 2 B¥ 2 B
   Advances received on uncompleted construction contracts¥ 135 M¥ 111 M¥ 53 M¥ 42 M
    Allowance for doubtful accounts¥ -8 M¥ -10 M¥ -6 M¥ -4 M
   Other¥ 340 M¥ 352 M¥ 377 M¥ 231 M
   Current assets¥ 11 B¥ 10 B¥ 10 B¥ 11 B
    Buildings and structures¥ 3 B¥ 3 B¥ 3 B¥ 3 B
     Accumulated depreciation¥ -2 B¥ -2 B¥ -2 B¥ -2 B
     Buildings and structures, net¥ 1 B¥ 1 B¥ 1 B¥ 1 B
    Machinery, equipment and vehicles¥ 1 B¥ 1 B¥ 1 B¥ 861 M
     Accumulated depreciation¥ -1 B¥ -1 B¥ -1 B¥ -818 M
     Machinery, equipment and vehicles, net¥ 150 M¥ 107 M¥ 70 M¥ 42 M
    Land¥ 2 B¥ 2 B¥ 1 B¥ 1 B
     Other¥ 1 B¥ 1 B¥ 1 B¥ 1 B
      Accumulated depreciation¥ -1 B¥ -1 B¥ -1 B¥ -1 B
      Other, net¥ 204 M¥ 161 M¥ 150 M¥ 103 M
    Property, plant and equipment¥ 3 B¥ 3 B¥ 3 B¥ 3 B
     Other¥ 233 M¥ 219 M¥ 211 M¥ 162 M
    Intangible assets¥ 233 M¥ 219 M¥ 211 M¥ 162 M
     Investment securities¥ 513 M¥ 422 M¥ 447 M¥ 326 M
     Deferred tax assets¥ 1 B¥ 1 B¥ 1 B¥ 886 M
     Other¥ 56 M¥ 54 M¥ 73 M¥ 56 M
      Allowance for doubtful accounts¥ -10 M¥ -19 M¥ -19 M¥ -13 M
    Investments and other assets¥ 1 B¥ 1 B¥ 1 B¥ 1 B
   Noncurrent assets¥ 5 B¥ 5 B¥ 5 B¥ 4 B
  Assets¥ 17 B¥ 15 B¥ 16 B¥ 16 B
    Provision for bonuses¥ 273 M¥ 226 M¥ 185 M¥ 131 M
    Provision for warranties for completed construction¥ 10 M¥ 16 M¥ 16 M¥ 16 M
    Provision for loss on order received¥ 12 M¥ 43 M¥ 19 M¥ 32 M
    Accounts payable-other¥ 1 B¥ 420 M
    Income taxes payable¥ 217 M¥ 38 M¥ 27 M¥ 34 M
    Short-term loans payable¥ 1 B¥ 1 B¥ 1 B¥ 2 B
   Other¥ 403 M¥ 325 M¥ 391 M¥ 276 M
   Current liabilities¥ 5 B¥ 4 B¥ 6 B¥ 6 B
    Provision for retirement benefits¥ 2 B¥ 2 B¥ 2 B¥ 2 B
    Provision for directors' retirement benefits¥ 113 M¥ 102 M¥ 130 M¥ 138 M
    Other¥ 4 M¥ 14 M¥ 28 M¥ 20 M
   Noncurrent liabilities¥ 3 B¥ 2 B¥ 2 B¥ 2 B
  Liabilities¥ 8 B¥ 7 B¥ 9 B¥ 8 B
   Capital stock¥ 909 M¥ 909 M¥ 909 M¥ 909 M
    Capital surplus¥ 306 M¥ 306 M¥ 306 M¥ 306 M
    Retained earnings¥ 7 B¥ 7 B¥ 6 B¥ 6 B
   Treasury stock¥ -158 M¥ -159 M¥ -159 M¥ -159 M
   Shareholders' equity¥ 8 B¥ 8 B¥ 7 B¥ 7 B
   Valuation difference on available-for-sale securities¥ 28 M¥ -30 M¥ -1 M¥ -18 M
   Valuation and translation adjustments¥ 28 M¥ -30 M¥ -1 M¥ -18 M
  Minority interests¥ 4 M¥ 1 M
  Net assets¥ 8 B¥ 8 B¥ 7 B¥ 7 B
 Liabilities and net assets¥ 17 B¥ 15 B¥ 16 B¥ 16 B
    Provision for directors' bonuses¥ 2 M
Consolidated :Income statement (Annual ) 2008-03-312009-03-312010-03-312011-03-31
  Net sales of completed construction contracts¥ 34 B¥ 31 B¥ 31 B¥ 29 B
  Cost of sales of completed construction contracts¥ 32 B¥ 29 B¥ 29 B¥ 27 B
  Gross profit on completed construction contracts¥ 2 B¥ 1 B¥ 1 B¥ 1 B
    Selling, general and administrative expenses¥ 2 B¥ 1 B¥ 1 B¥ 1 B
 Operating income¥ 491 M¥ -178 M¥ 62 M¥ 86 M
  Interest income¥ 3 M¥ 2 M¥ 830 K¥ 421 K
  Dividends income¥ 9 M¥ 10 M¥ 10 M¥ 10 M
  Commission fee¥ 9 M¥ 7 M¥ 4 M¥ 4 M
  Insurance return¥ 13 M¥ 13 M¥ 23 M¥ 9 M
  Other¥ 4 M¥ 4 M¥ 6 M¥ 24 M
  Non-operating income¥ 40 M¥ 38 M¥ 45 M¥ 48 M
  Interest expenses¥ 10 M¥ 5 M¥ 7 M¥ 5 M
  Other¥ 2 K¥ 13 K¥ 316 K¥ 1 M
  Non-operating expenses¥ 12 M¥ 5 M¥ 7 M¥ 7 M
 Ordinary income¥ 519 M¥ -145 M¥ 101 M¥ 128 M
  Gain on sales of noncurrent assets¥ 381 M
  Gain on sales of property, plant and equipment¥ 79 K¥ 79 M
  Gain on sales of golf memberships¥ 918 K
  Reversal of allowance for doubtful accounts¥ 679 K¥ 3 M
  Gain on revision of retirement benefit plan¥ 80 M
  Extraordinary income¥ 759 K¥ 39 M¥ 82 M¥ 463 M
  Loss on sales of noncurrent assets¥ 6 M
  Impairment loss¥ 9 M¥ 50 M
  Loss on retirement of noncurrent assets¥ 49 M
  Loss on sales of property, plant and equipment¥ 413 K¥ 285 K¥ 186 K
  Loss on retirement of property, plant and equipment¥ 9 M¥ 2 M¥ 1 M
  Loss on valuation of investment securities¥ 7 M¥ 1 M¥ 103 M
  Loss on valuation of golf club membership¥ 150 K¥ 6 M¥ 750 K¥ 20 K
  Loss on sales of golf club memberships¥ 409 K
  Special retirement expenses¥ 315 M
  Extraordinary loss¥ 10 M¥ 26 M¥ 765 M¥ 209 M
 Income before income taxes¥ 510 M¥ -133 M¥ -581 M¥ 381 M
 Income taxes¥ 246 M¥ 123 M¥ -177 M¥ 320 M
  Income taxes-current¥ 315 M¥ 39 M¥ 29 M¥ 35 M
  Income taxes-deferred¥ -68 M¥ 84 M¥ -207 M¥ 284 M
 Income before minority interests¥ 61 M
 Minority interests in income¥ -748 K¥ -3 M¥ -937 K
 Net income¥ 264 M¥ -253 M¥ -402 M¥ 61 M
  Valuation difference on available-for-sale securities¥ -17 M
  Other comprehensive income¥ -17 M
 Comprehensive income¥ 43 M
   Comprehensive income attributable to owners of the parent¥ 43 M
   Comprehensive income attributable to minority interests
  Gain on sales of investment securities¥ 39 M
  Subsidy income¥ 1 M
  Loss on disposal of inventories¥ 1 M
Consolidated :Cash flow statement (Annual ) 2008-03-312009-03-312010-03-312011-03-31
  Subtotal¥ 550 M¥ 501 M¥ -113 M¥ -801 M
   Depreciation and amortization¥ 381 M¥ 295 M¥ 269 M¥ 250 M
   Impairment loss¥ 9 M¥ 50 M
   Amortization of goodwill¥ 2 M
   Increase (decrease) in allowance for doubtful accounts¥ -679 K¥ 11 M¥ -3 M¥ -8 M
   Interest and dividends income¥ -12 M¥ -12 M¥ -11 M¥ -10 M
   Interest expenses¥ 10 M¥ 5 M¥ 7 M¥ 5 M
   Loss (gain) on sales of property, plant and equipment¥ 334 K¥ 285 K¥ -79 M
   Decrease (increase) in notes and accounts receivable-trade¥ 157 M¥ 1 B¥ -1 B¥ -332 M
   Decrease (increase) in inventories¥ 6 M¥ -704 M¥ 645 M¥ 7 M
   Increase (decrease) in notes and accounts payable-trade¥ -541 M¥ -383 M¥ 53 M¥ 97 M
   Increase (decrease) in provision for bonuses¥ -100 M¥ -46 M¥ -40 M¥ -53 M
   Increase (decrease) in provision for directors' retirement benefits¥ -52 M¥ -10 M¥ 27 M¥ 8 M
   Increase (decrease) in provision for retirement benefits¥ 288 M¥ -76 M¥ -449 M¥ -170 M
   Increase (decrease) in provision for warranties for completed construction¥ -3 M¥ 6 M¥ -232 K¥ 422 K
   Increase (decrease) in provision for loss on order received¥ -5 M¥ 30 M¥ -24 M¥ 12 M
   Loss (gain) on valuation of investment securities¥ 7 M¥ 1 M¥ 103 M
   Loss (gain) on sales of noncurrent assets¥ -375 M
   Loss on retirement of noncurrent assets¥ 49 M
   Loss on retirement of property, plant and equipment¥ 9 M¥ 2 M¥ 1 M
   Loss on valuation of golf club memberships¥ 150 K¥ 6 M¥ 750 K¥ 20 K
   Loss (gain) on sales of golf club memberships¥ -508 K
   Extra retirement payment¥ 315 M
   Increase (decrease) in accounts payable-other¥ 838 M¥ -780 M
   Decrease (increase) in other assets¥ -53 M¥ -22 M¥ -60 M¥ 162 M
   Increase (decrease) in other liabilities¥ -20 M¥ -53 M¥ 116 M¥ -116 M
  Interest and dividends income received¥ 13 M¥ 12 M¥ 11 M¥ 10 M
  Interest expenses paid¥ -9 M¥ -7 M¥ -6 M¥ -6 M
  Income taxes paid¥ -396 M¥ -117 M¥ -28 M¥ -37 M
  Net cash provided by (used in) operating activities¥ 156 M¥ 389 M¥ -138 M¥ -834 M
  Purchase of property, plant and equipment¥ -192 M¥ -62 M¥ -363 M¥ -26 M
  Proceeds from sales of property, plant and equipment¥ 330 K¥ 493 K¥ 141 M¥ 588 M
  Proceeds from sales of investment securities¥ 43 M¥ 3 M
  Payments of loans receivable¥ -53 M¥ -50 M¥ -16 M¥ -3 M
  Collection of loans receivable¥ 59 M¥ 64 M¥ 31 M¥ 11 M
  Purchase of intangible assets¥ -79 M¥ -81 M¥ -79 M¥ -14 M
  Payments for retirement of property, plant and equipment¥ -12 M
  Proceeds from sales of golf club memberships¥ 1 M
  Payments into time deposits¥ -22 K¥ -5 M¥ -759 K
  Purchase of investments in subsidiaries¥ -3 M
  Net cash provided by (used in) investing activities¥ -232 M¥ -65 M¥ -290 M¥ 544 M
  Purchase of treasury stock¥ -550 K¥ -728 K¥ -255 K¥ -217 K
  Cash dividends paid¥ -95 M¥ -158 M¥ -79 M¥ -95 M
  Net increase (decrease) in short-term loans payable¥ -70 M¥ -30 M¥ 530 M¥ 387 M
  Repayments of finance lease obligations¥ -453 K¥ -5 M¥ -7 M
  Net cash provided by (used in) financing activities¥ -180 M¥ -190 M¥ 444 M¥ 284 M
 Net increase (decrease) in cash and cash equivalents¥ -256 M¥ 133 M¥ 16 M¥ -5 M
 Cash and cash equivalents¥ 290 M¥ 424 M¥ 440 M¥ 434 M
   Loss (gain) on sales of investment securities¥ -39 M
   Increase (decrease) in provision for directors' bonuses¥ -24 M¥ -2 M
  Proceeds from withdrawal of time deposits¥ 32 M¥ 20 M
  Repayment of long-term loans payable¥ -14 M
Consolidated :Shareowners' equity (Annual ) 2008-03-312009-03-312010-03-312011-03-31
    Total changes of items during the period
     Total changes of items during the period
     Dividends from surplus¥ -95 M¥ -158 M¥ -79 M¥ -95 M
     Total changes of items during the period¥ 169 M¥ -412 M¥ -482 M¥ -33 M
    Purchase of treasury stock¥ -550 K¥ -728 K¥ -255 K¥ -217 K
    Total changes of items during the period¥ -550 K¥ -728 K¥ -255 K¥ -217 K
    Dividends from surplus¥ -95 M¥ -158 M¥ -79 M¥ -95 M
    Net income¥ 264 M¥ -253 M¥ -402 M¥ 61 M
    Purchase of treasury stock¥ -550 K¥ -728 K¥ -255 K¥ -217 K
    Total changes of items during the period¥ 168 M¥ -412 M¥ -482 M¥ -34 M
    Net changes of items other than shareholders' equity¥ -73 M¥ -59 M¥ 29 M¥ -17 M
    Total changes of items during the period¥ -73 M¥ -59 M¥ 29 M¥ -17 M
    Net changes of items other than shareholders' equity¥ -73 M¥ -59 M¥ 29 M¥ -17 M
    Total changes of items during the period¥ -73 M¥ -59 M¥ 29 M¥ -17 M
   Net changes of items other than shareholders' equity¥ -748 K¥ -3 M¥ -1 M
   Total changes of items during the period¥ -748 K¥ -3 M¥ -1 M
   Dividends from surplus¥ -95 M¥ -158 M¥ -79 M¥ -95 M
   Net income¥ 264 M¥ -253 M¥ -402 M¥ 61 M
   Purchase of treasury stock¥ -550 K¥ -728 K¥ -255 K¥ -217 K
   Net changes of items other than shareholders' equity¥ -74 M¥ -62 M¥ 27 M¥ -17 M
   Total changes of items during the period¥ 94 M¥ -475 M¥ -454 M¥ -51 M

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[Data] Balance sheet, Income statement, Cash flow statement, Shareowners' equity (*Consolidated or Non-Consolidated. two or more terms)

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Related Information: 和興エンジニアリング (Annual )

Statement Type
Annual : 和興エンジニアリング
First quarter : 和興エンジニアリング
Third quarter : 和興エンジニアリング
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Construction - EDIUNET Industry Rankings
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Ticker Market Industry Month report Rating
@ 和興エンジニアリング 1756 OSE JASDAQ Construction 3 Annual C

Related Company

@ Daiki Ataka Engineering  (Sales ¥ 37 B) +
@ TAKAHASHI CURTAIN WALL (Sales ¥ 6 B) +
@ カブトデコム (Sales ¥ 45 M) +
@ 守谷商会 (Sales ¥ 27 B) +
@ 鉄建建設 (Sales ¥ 126 B) +
@ ANDO (Sales ¥ 169 B) +
@ 高田工業所 (Sales ¥ 37 B) +
@ MASARU (Sales ¥ 10 B) +
@ SURUGA  (Sales ¥ 1 B) +
@ 大豊建設 (Sales ¥ 112 B) +
@ コーアツ工業 (Sales ¥ 6 B) +
@ FUJI ELECTRIC ENGINEERING & CONSTRUCTION (Sales ¥ 55 B) +
@ 東光電気工事 (Sales ¥ 73 B) +

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*This site has obtained the information from the FSA's EDINET, Tokyo Stock Exchange's TDnet and Pay statistical data services, Fukuoka stock Exchange's Stock market capitalization, Center for Spatial Information Science's CSV Geocoding Service. The copyright of the information belongs to each corporation etc. .

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