Financial Highlights
Revenue performance: Reported for Q2 2025 at JPY 2,516,422,000, with YoY growth of 2.24% and QoQ sequential stability at 0.00%. Gross Profit: JPY 1,424,539,000, up 5.19% YoY, 0.00% QoQ, gross margin 56.61%. Operating Income: JPY 1,352,489,000, up 4.52% YoY, 0.00% QoQ with an operating margin of 53.75%. Net Income: JPY 1,144,629,000, up 3.43% YoY, 0.00% QoQ, net margin 45.49%. Earnings per share (EPS): JPY 2,450.50, up 3.43% YoY, flat QoQ. EBITDA: JPY 1,674,136,000; EBITDA margin 66.53%. Key efficiency and leverage metrics: current ratio 0.68, quick ratio 0.68, cash ratio 0.674; debt ratio 0.478, debt-to-equity 0.992, long-term debt to capitalization 0.437, total debt to capitalization 0.498. Operating cash flow per share 7,790.23; free cash flow per share 7,526.31; cash per share 17,406.00. Dividend yield 5.65%. Payout metrics appear elevated with dividendPayoutRatio 1.934 (193.4%). Valuation context: price-to-book 0.774, price-to-earnings 8.55, price-to-sales 15.56, enterprise value multiple 48.51. Cash conversion cycle is negative (-14.09 days), driven by a combination of receivables turnover and payables management, indicating favorable working capital timing. Source data: QQ2 2025 results and ratios for SANKEI REAL ESTATE (2972.T).
Income Statement
| Metric |
Value |
YoY Change |
QoQ Change |
| Revenue |
2.52B |
2.24% |
0.00% |
| Gross Profit |
1.42B |
5.19% |
0.00% |
| Operating Income |
1.35B |
4.52% |
0.00% |
| Net Income |
1.14B |
3.43% |
0.00% |
| EPS |
2.45K |
3.43% |
0.00% |