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発表日 時刻 コード 企業名
02/10 12:00 7944 ローランド
Notice Regarding the Change of Stock Compensation Plan for the Directors, Etc. その他
of the Company by articulating the correlation between the compensation of the Directors’ Etc. and the performance and shareholder value of the Company. (2) The Company shall introduce the Plan on the condition that the proposal regarding the compensation paid to the executives is approved at the
02/10 12:00 7944 ローランド
Notice of Decision on Matters Related to Acquisition of Treasury Stock その他
of Incorporation per Article 165-2 of the Companies Act) Roland Corporation (the “Company”) hereby announces that its Board of Directors decided on the following matters related to the acquisition of treasury stock pursuant to Article 156 of the Companies Act as applied mutatis mutandis per the
02/10 12:00 7944 ローランド
Notice regarding Partial Amendment to the Articles of Incorporation その他
shareholders, etc. (2) The proposed amendment to Article 16, paragraph (2) shall establish a provision to enable the Company to limit the scope of matters to be included in the materials in paper-based format to be sent to shareholders who have requested it. (3) The provisions related to the Disclosure on
02/10 12:00 3226 日本アコモデーションファンド投資法人
Notification Concerning Acquisition of DBJ Green Building Certification その他
Certification Rank Name of property Location Certification rank Park Axis Toyocho Shinsui Koen 34-4 Minamisuna 2-chome, Koto-ku, Tokyo Properties with the best class environmental & social awareness Park Cube Atagoyama Tower 17-7, Nishi Shinbashi 3-chome, Minato-ku, Tokyo Properties with excellent
02/10 12:00 3282 コンフォリア・レジデンシャル投資法人
Notice Concerning Determination of the Number of New Investment Units to be issued by way of Third-Party Allotment その他
to be issued: 1,140 units) (2) Total paid-in amount (issue value): 8,468,796 yen (302,457 yen per unit) (3) Subscription period: February 15, 2022 (Tuesday) (Subscription date) (4) Payment date: February 16, 2022 (Wednesday) (5) Allottee: Mizuho Securities Co., Ltd. <Disclaimer> This document is a
02/10 12:00 3283 日本プロロジスリート投資法人
Nippon Prologis REIT Announces Debt Financing and Completion of Interest Rate Swap Agreements その他
. (Note 2) Borrowing Amount 2.0 Billion Yen 4.0 Billion yen Interest Rate (Note 3) (Note 4) (Note 5) Base interest rate (JBA 3-month Japanese yen TIBOR) +0.224% Base interest rate (JBA 3-month Japanese yen TIBOR) +0.300% Borrowing Date February 15, 2022 Borrowing Method Borrowing based on individual term
02/10 12:00 3459 サムティ・レジデンシャル投資法人
[Delayed]Notice Concerning Acquisition of Property その他
Management Company”), to which Samty Residential entrusts management of its portfolio assets, decided today to acquire the following property (the “Asset to Be Acquired”) (the “Acquisition”). Details are as follows. 1. Overview of the Asset to Be Acquired Area Other Regional Cities (Note 1) (Note 2
02/10 12:00 3459 サムティ・レジデンシャル投資法人
[Delayed]Notice Concerning Borrowing of Funds その他
(the “Borrowing”) as follows. 1. Details of the Borrowing (1) Reasons for the Borrowing Samty Residential will conduct the Borrowing to fund the repayment of existing borrowing with a repayment date of January 31, 2022. For an overview of the existing borrowing, please refer to “2. Repayment of
02/10 12:00 3459 サムティ・レジデンシャル投資法人
[Delayed]Notice Concerning Borrowing of Funds その他
acquisition. For details of the asset to be acquired, please refer to “Notice Concerning Acquisition of Property” separately announced today. (2) Details of the Borrowing Term Loan 19 1. Lender Aozora Bank, Ltd. 2. Loan amount 500 million yen 3. Interest rate To be decided (fixed interest rate) (Note 1) 4
02/10 12:00 3459 サムティ・レジデンシャル投資法人
[Delayed]Notice Concerning Borrowing of Funds (Determination of Interest Rate) その他
rate for borrowing of funds (the “Borrowing”) announced in “Notice Concerning Borrowing of Funds” dated January 24, 2022, has been determined as follows. 1. Details of the Borrowing Term Loan 18 1. Lender(s) Loan syndicate with Sumitomo Mitsui Banking Corporation as arranger 2. Loan amount 3,850
02/10 12:00 8984 ビ・ライフ投資法人
Notice Concerning Recognition on CDP &#39;Supplier Engagement Leaderboard&#39; (Highest Recognition) その他
February 10, 2022 For Immediate Release Investment Corporation: Daiwa House REIT Investment Corporation 2-4-8, Nagatacho, Chiyoda-ku, Tokyo Toshiharu Asada, Executive Director (TSE Code: 8984) Asset Manager: Daiwa House Asset Management Co., Ltd. Koichi Tsuchida, President and CEO Inquiries: Koyu
02/10 12:00 8955 日本プライムリアルティ投資法人
Notice Concerning Partial Early Repayment of Borrowing その他
Repaid Date of Repayment: February 22, 2022 (planned) Lender Mizuho Bank, Ltd. Amount before Repayment ¥4,400 million Amount of Repayment ¥1,000 million Amount after Repayment ¥3,400 million Drawdown Date December 24, 2021 Prescribed Repayment Date July 5, 2022 2. Funds for Repayment The repayment
02/10 12:00 8955 日本プライムリアルティ投資法人
Notice Concerning Results of New Investment Units to be Issued through Third Party Allotment その他
) Total number of new investment units to be 828 units issued: (Planned number of units to be issued: 1,900 units) 2) Gross proceeds (total purchase price): 295,450,272 yen (356,824 yen per unit) 3) Subscription date: February 15, 2022 (Tuesday) 4) Payment date: February 16, 2022 (Wednesday) 5
02/10 12:00 3768 リスクモンスター
[Delayed]Summary of Consolidated Financial Results for the Nine Months Ended December 31, 2021 (Based on Japanese GAAP) その他
months ended December 31, 2021 50.12 – Nine months ended December 31, 2020 52.07 – (2) Consolidated financial position Total assets Net assets Equity ratio Net assets per share Millions of yen Millions of yen % Yen As of December 31, 2021 6,702 5,702 83.4 745.48 As of March 31, 2021 6,658 5,400
02/10 12:00 2979 SOSiLA物流リート投資法人
Notice Concerning Prepayment of Borrowing その他
(1) Prepayment amount: 270 million yen (2) Prepayment date February 28, 2022 (3) Source of Funds for Prepayment Cash on hand 2. Details of Borrowing to be Prepaid Borrowing Category Lender amount (million yen) Shortterm Sumitomo Mitsui Banking Corporation 270 Interest rate Base interest rate + 0.15
02/10 12:00 3182 オイシックス・ラ・大地
FY2022/3 3Q Financial Results その他
102.92 (2) Consolidated Financial Position Period ended Total Assets Net Assets Yen Yen Shareholders’ Equity Ratio Million yen Million yen % December 31, 2021 56,761 24,353 39.8 March 31, 2021 38,360 19,991 49.8 2. Dividends Fiscal Year ended or ending Dividend per Share 1Q 2Q 3Q Year-end Total Yen
02/10 12:00 3182 オイシックス・ラ・大地
Notice of Results Forecast Revisions その他
) Net income per share is calculated from the average number of shares during the period as of the end of the 3Q. 2. Reasons for revision of forecast Regarding the forecast of Consolidated Financial Results for the Fiscal Year Ending March 31, 2022, announced on May 13, 2021, the company have assumed
02/10 12:00 3010 ポラリス・ホールディングス
[Summary]Consolidated Financial Results for the Nine Months Ended December 31, 2021(Under Japanese GAAP) その他
December 31, 2020: ¥(1,212) million [-%] Basic earnings per share Diluted earnings per share Nine months ended Yen Yen December 31, 2021 (21.23) - December 31, 2020 (22.13) - (2) Consolidated financial position Total assets Net assets Equity-to-asset ratio As of Millions of yen Millions of yen
02/10 12:00 3482 ロードスターキャピタル
2021年12月期 投資に関する説明会 その他
各位 2022 年 2 月 10 日 会社名ロードスターキャピタル株式会社 代表者名代表取締役社長岩野達志 (コード番号 :3482 東証マザーズ) 問合わせ先取締役最高財務責任者川畑拓也 (TEL. 03-6630-6690) <マザーズ> 投資に関する説明会開催状況について 以下のとおり、投資に関する説明会を開催いたしましたので、お知らせいたします。 記 ○ 開催状況 開催日時 2022 年 2 月 10 日 16:00-17:00 開催方法 説明会資料名 オンラインによる開催 2021 年 12 月期決算説明資料 【 添付資料 】 ・投資説明会において使用した資料 以上2021 年
02/10 12:00 3901 マークラインズ
[Summary]Consolidated Financial Results for the Year Ended December 31, 2021 その他
Yen Yen % % % December 31, 2021 67.07 66.94 27.2 28.2 36.6 December 31, 2020 47.80 47.66 23.2 25.5 36.1 (Reference) Equity in earnings (losses) of affiliated companies: Fiscal year ended December 31, 2021: ¥ million Fiscal year ended December 31, 2020: ¥ million (2) Consolidated Financial Position