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| 発表日 | 時刻 | コード | 企業名 |
|---|---|---|---|
| 02/10 | 12:00 | 6218 | エンシュウ |
| Consolidated Financial Results for the Nine Months Ended December 31, 2021 [Japanese GAAP] その他 | |||
| months ended December 31, 2021: ¥ 484 million [ -%] Nine months ended December 31, 2020: ¥ 41 million [ (96.7) %] Basic earnings per share Diluted earnings per share Nine months ended Yen Yen December 31, 2021 18.90 - December 31, 2020 8.87 - (2) Consolidated Financial Position Total assets Net | |||
| 02/10 | 12:00 | 6268 | ナブテスコ |
| Announcement of Formulation of New Medium-term Management Plan その他 | |||
| will pursue to become “Leaders in Innovation” by “Change Yourself” and “Change the World” through three challenges. (1) Basic policy TIME FOR CHALLENGE -Change Yourself, Change the World- (2) Three challenges In this medium-term management plan, we will promote three challenges: “Challenge of | |||
| 02/10 | 12:00 | 6268 | ナブテスコ |
| Notice of the Differences of Consolidated Financial Results as Compared to the Financial Forecast その他 | |||
| owners of the parent (Million yen) Total basic earnings per share (Yen) 306,000 33,000 169,000 110,800 914.30 Result (B) 299,802 30,017 101,966 64,818 534.67 Change (B-A) (6,198) (2,983) (67,034) (45,982) - Rate of Change (%) (2.0) (9.0) (39.7) (41.5) - (2) Reason for the Differences Component Solutions | |||
| 02/10 | 12:00 | 6269 | 三井海洋開発 |
| 2021 Full-Year Financial Results その他 | |||
| fiscal year ended December 31, 2020: ¥6,531 million(2) Consolidated financial position Total assets Total equity Equity attributable to owners of parent Ratio of equity attributable to owners of parent to total assets Equity attributable to owners of parent per share As of Millions of yen Millions | |||
| 02/10 | 12:00 | 6269 | 三井海洋開発 |
| Summary of Financial Results 2021 その他 | |||
| fiscal year ended December 31, 2020: ¥6,531 million(2) Consolidated financial position Total assets Total equity Equity attributable to owners of parent Ratio of equity attributable to owners of parent to total assets Equity attributable to owners of parent per share As of Millions of yen Millions | |||
| 02/10 | 12:00 | 5187 | クリエートメディック |
| Summary of Financial Results 2021 その他 | |||
| payable date (as planned) 2022-03-31 Annual securities report filing date (as planned) 2022-03-30 Supplemental material of annual results Way of getting - Convening briefing of annual results Target audience Note to fraction processing method true true (2022 年 2 月 14 日に 当社ウェブサイトに て決算説明会の動画 配信を予定しており ます | |||
| 02/10 | 12:00 | 7059 | コプロ・ホールディングス |
| Financial Results for Nine Months その他 | |||
| Fiscal Year Ending March 31, 2022 February 10, 2022Contents 1. Major Topics from 2nd Quarter Financial Results Announcement 2. Consolidated Financial Highlights 3. Breakdown of Sales & Key Performance Indicators (Dispatching business of construction and plant engineers) 4. Breakdown of Sales & Key | |||
| 02/10 | 12:00 | 7059 | コプロ・ホールディングス |
| Summary of Consolidated Financial Results for the Nine Months Ended December 31, 2021(Based on Japanese GAAP) その他 | |||
| place at the beginning of the previous fiscal year. (2) Consolidated financial position Total assets Net assets Equity ratio Millions of yen Millions of yen % As of December 31, 2021 8,568 6,227 72.3 As of March 31, 2021 8,514 6,272 73.7 2. Cash dividends Annual dividends per share 1st quarter-end 2nd | |||
| 02/10 | 12:00 | 6613 | QDレーザ |
| [Summary]Non-consolidated Financial Results for the Nine Months Ended December 31, 2021 [Japanese GAAP] その他 | |||
| , 2020 (27.83) - (2) Non-consolidated Financial Position Total assets Net assets Capital adequacy ratio As of Million yen Million yen % December 31, 2021 4,196 3,646 86.5 March 31, 2021 4,675 3,808 81.5 (Reference) Equity: As of December 31, 2021: ¥ 3,631 million As of March 31, 2021: ¥ 3,808 million 2 | |||
| 02/10 | 12:00 | 6363 | 酉島製作所 |
| RESULTS OF OPERATIONS FOR THE THIRD QUARTER ENDED DECEMBER 31,2021(CONSOLIDATED)(Japanese GAAP) その他 | |||
| beginning of the first quarter of the current fiscal year. As the consolidated operating results for the third quarter ended December 31, 2021 follow this accounting standard, etc., the percentage change from a comparable previous period is not stated. Yen (2) Financial position Millions of yen, except | |||
| 02/10 | 12:00 | 6420 | フクシマガリレイ |
| Summary of Financial Results for the third quarter 2022 その他 | |||
| December 31, 2021: ¥ 5,787 million [ 60.3%] Nine months ended December 31, 2020: ¥ 3,609 million [ (23.2) %] Basic earnings per share Diluted earnings per share Nine months ended Yen Yen December 31, 2021 294.62 - December 31, 2020 150.15 - (2) Consolidated Financial Position Total assets Net assets | |||
| 02/10 | 12:00 | 6460 | セガサミーホールディングス |
| Data Appendix (Q3 FY2022/3) その他 | |||
| 1 / 9 ■Profit and Loss (Billion yen) Entertainment Contents Pachislot & Pachinko Resort Other / Elimination Consolidated total SEGA SAMMY HOLDINGS INC. Data Appendix (Q3 FY2022/3) 2022/2/10 2020/3 2021/3 2022/3 2020/3 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Thru Q2 Thru Q3 Full Year Thru Q2 Thru Q3 Full | |||
| 02/10 | 12:00 | 6460 | セガサミーホールディングス |
| FLASH REPORT CONSOLIDATED FINANCIAL STATEMENTS [Japanese GAAP] 9 Months Ended December 31, 2021 その他 | |||
| 9 months ended December 31, 2021 : ¥31,926 million ( -%) For 9 months ended December 31, 2020 : ¥(8,432) million ( -%) Net income per share Yen Net income per share (diluted) Yen For 9 months ended December 31, 2021 125.39 124.96 For 9 months ended December 31, 2020 (26.54) - (2) CONSOLIDATED | |||
| 02/10 | 12:00 | 6460 | セガサミーホールディングス |
| Fiscal Year Ending March 2022 Q3 Results Presentation その他 | |||
| Fiscal Year Ending March 2022 Q3 Results Presentation 2022/2/10 Disclaimer Market forecasts, operating results forecast, and other information contained in this material are based on judgements and projections of the Company‘s managements based on currently available information. Therefore, please | |||
| 02/10 | 12:00 | 1954 | 日本工営 |
| Summary of Financial Results for the second quarter 2022 その他 | |||
| 1,268 - 1,517 - 640 - 615 - December 31, 2020 47,140 - (1,730) - (2,005) - (2,225) - (2,055) - Basic earnings per share Diluted earnings per share Six months ended Yen Yen December 31, 2021 40.87 40.87 December 31, 2020 (135.96) (135.96) (2) Consolidated Financial Position Total assets Total equity | |||
| 02/10 | 12:00 | 1963 | 日揮ホールディングス |
| Changes in Directors, Auditors and Executive Officers of the Company and Its Consolidated Subsidiaries その他 | |||
| Advisor <JGC CORPORATION> I. Changes in Directors (The appointment of directors is scheduled to be effective on June 15, 2022, following its general shareholders’ meeting) 1) New assignment New Title Name Current Title Member of the Board Takuya Hanada Senior Executive Officer 2) Retirement Current | |||
| 02/10 | 12:00 | 1963 | 日揮ホールディングス |
| Outline of 9 Months Financial Results for Fiscal Year 2021 その他 | |||
| for Fiscal Year 2021 April 1, 2021 – December 31, 2021 February 10, 2022 JGC HOLDINGS CORPORATIONContents 1. Highlights of Fiscal Year 2021 3Q 2. Income Statement 3. Segment Information 4. Balance Sheets 5. Outline of Contracts 6. Forecasts for Fiscal Year 2021 © 2021 JGC HOLDINGS CORPORATION | |||
| 02/10 | 12:00 | 1963 | 日揮ホールディングス |
| Summary-Consolidated Third Quarter Financial Statements その他 | |||
| : Comprehensive income (millions of yen): 3Q of Fiscal year ended March 31, 2022: (44,166) (-%) 3Q of Fiscal year ended March 31, 2021: 21,395 (872.5%) Earnings per share (Yen) Earnings per share (diluted) (Yen) 3Q of Fiscal year ended March 31, 2022 (175.81) - 3Q of Fiscal year ended March 31, 2021 27.72 - (2 | |||
| 02/10 | 12:00 | 1969 | 高砂熱学工業 |
| Summary of Financial Results for the third quarter 2022 その他 | |||
| specific accounting of the consolidated quarterly financial statements Note to applying of specific accounting of the consolidated quarterly financial statements true Dec 2021 詳細は、添付資料 1 0ページ「2. 四半 期連結財務諸表及び 主な注記 (4) 四半 期連結財務諸表に関 する注記事項 ( 四半 期連結財務諸表の作 成に特有の会計処理 の適用 )」をご覧く ださい。 Notes, Quarterly | |||
| 02/10 | 12:00 | 1979 | 大気社 |
| [Summary]Financial Report for the Third Quarter of the Fiscal Year ending March 31, 2022 その他 | |||
| 8,941 million yen 4.0 % Profit attributable to Profit attributable to owners of parent per owners of parent per share share (Diluted) Nine months ended yen yen December 31, 2021 129.84 - December 31, 2020 134.59 - (2) Consolidated financial position Total assets Net assets Equity capital ratio As of | |||