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Capcom CO Ltd ADR (CCOEY)

Capcom CO Ltd ADR (CCOEY)
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Financial Summary for [[ item.sessionDateDisplayLong ]]
CAPCOM CO., LTD. plans, develops, manufactures, sells and distributes consumer video game. Its operating segment consists of Digital Contents, Arcade Operations, Amusement Equipments and Other Businesses segments. Digital Contents segment develops and sells household games and online games and contents for cell phones. Amusement Equipment segment develops, manufactures and sells game machine for store operators. Arcade Operations segment operates Plaza Capcom` amusement facilities in commercial complexes as well as hosts various events. Others segment involves the character-related license business and the real estate leasing business. CAPCOM CO., LTD. is headquartered in Osaka, Japan.

Fiscal Year End Date: 03/31

(Values in U.S. Thousands) Mar, 2026 Mar, 2025 Mar, 2024 Mar, 2023 Mar, 2022
Sales 1,289,410 1,119,390 1,051,630 931,880 979,480
Sales Growth +15.19% +6.44% +12.85% -4.86% +9.33%
Net Income 360,280 319,780 299,280 271,850 289,720
Net Income Growth +12.67% +6.85% +10.09% -6.17% +23.66%
(Values in U.S. Thousands) Mar, 2026 Mar, 2025 Mar, 2024 Mar, 2023 Mar, 2022
Total Assets 2,239,430 2,065,680 1,679,980 1,608,500 1,667,550
Total Assets Growth +8.41% +22.96% +4.44% -3.54% +8.36%
Total Liabilities 472,500 572,070 333,920 416,150 363,920
Total Liabilities Growth -17.41% +71.32% -19.76% +14.35% -9.79%
(Values in U.S. Thousands) Mar, 2026 Mar, 2025 Mar, 2024 Mar, 2023 Mar, 2022
Operating Cash Flow 207,110 446,280 254,750 161,240 417,830
Operating Cash Flow Growth -53.59% +75.18% +57.99% -61.41% +203.92%
Net Cash Flow -314,110 272,810 135,380 -45,620 281,170
Change in Net Cash Flow -215.14% +101.51% +396.76% -116.23% +584.28%
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