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Mitsubishi Est Unsp/Adr (MITEY)

Mitsubishi Est Unsp/Adr (MITEY)
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[[ session ]] by (Cboe BZX)
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[[ session ]] [[ item.lastPriceExt ]] [[ item.priceChangeExt ]] ([[ item.percentChangeExt ]]) [[ item.tradeTimeExt ]]
Financial Summary for [[ item.sessionDateDisplayLong ]]
Mitsubishi Estate Co., Ltd. is engaged in the development of real estate, including office buildings, residential properties and commercial properties. The Building Business segment is engaged in the development, leasing and property management of office buildings. Its Lifestyle Property segment operates the PREMIUM OUTLETS, MARK IS and other retail facilities. The Residential Business segment provides services, such as development, marketing and leasing. It is engaged in undertaking approximately 30 development projects in over 10 states, including distribution facilities and homes. Its Investment Management segment offers services for both individual and institutional investors. Its Architectural Design and Engineering segment engages in the design and administration of construction and civil engineering projects. Its Hotel Business maintains a network of over eight hotels. Its Real Estate Services segment provides a range of solutions for individuals and corporations.

Fiscal Year End Date: 03/31

(Values in U.S. Thousands) Dec, 2025 Sep, 2025 Jun, 2025 Mar, 2025 Dec, 2024
Sales 3,030,910 2,619,390 2,470,840 3,488,690 2,690,930
Sales Growth +15.71% +6.01% -29.18% +29.65% +27.99%
Net Income 639,210 176,910 221,400 548,100 368,860
Net Income Growth +261.32% -20.09% -59.61% +48.59% +127.92%
(Values in U.S. Thousands) Dec, 2025 Sep, 2025 Jun, 2025 Mar, 2025 Dec, 2024
Total Assets 54,500,129 53,481,750 51,965,340 50,087,500 51,375,820
Total Assets Growth +1.90% +2.92% +3.75% -2.51% +0.98%
Total Liabilities 36,349,070 35,150,602 34,712,801 32,753,150 34,418,090
Total Liabilities Growth +3.41% +1.26% +5.98% -4.84% +2.07%
(Values in U.S. Thousands) Dec, 2025 Sep, 2025 Jun, 2025 Mar, 2025 Dec, 2024
Operating Cash Flow 486,560 2,167,720 2,029,260 395,890 525,360
Operating Cash Flow Growth -77.55% +6.82% +412.58% -24.64% +234.79%
Net Cash Flow -659,230 -127,630 331,500 689,090 904,470
Change in Net Cash Flow -416.52% -138.50% -51.89% -23.81% +364.83%
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