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Square Enix Co. Ltd (SQNXF)

Square Enix Co. Ltd (SQNXF)
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Square Enix Holdings Co., Ltd. engages in the provision of entertainment contents and services. It operating segments consists of Digital Entertainment, Amusement, Publication and Merchandising. Digital Entertainment segment handles the design, development, sale, license sale and operation of digital entertainment contents. Amusement segment provides the design, development, manufacture, sale, and rental of amusement equipment as well as conducts the planning, development and distribution of arcade game machines. Publishing segment provides comic magazines, comics and game related printed books including game strategy books are published by the square enix group. Merchandising segment includes the planning, production, distribution and licensing of derivative products related to the groups original intellectual property as well as third-party IPs. Square Enix Holdings Co., Ltd. is headquartered in Tokyo, Japan.

Fiscal Year End Date: 03/31

(Values in U.S. Thousands) Mar, 2025 Mar, 2024 Mar, 2023 Mar, 2022 Mar, 2021
Sales 2,141,740 2,458,770 2,540,180 3,250,950 3,164,810
Sales Growth -12.89% -3.20% -21.86% +2.72% +27.62%
Net Income 161,130 102,890 364,560 454,020 253,250
Net Income Growth +56.60% -71.78% -19.70% +79.28% +28.95%
(Values in U.S. Thousands) Mar, 2025 Mar, 2024 Mar, 2023 Mar, 2022 Mar, 2021
Total Assets 2,746,660 2,835,040 2,957,290 3,390,030 3,159,750
Total Assets Growth -3.12% -4.13% -12.77% +7.29% +13.49%
Total Liabilities 526,630 646,850 609,520 858,600 872,940
Total Liabilities Growth -18.59% +6.12% -29.01% -1.64% +17.57%
(Values in U.S. Thousands) Mar, 2025 Mar, 2024 Mar, 2023 Mar, 2022 Mar, 2021
Operating Cash Flow 282,350 360,440 90,470 245,370 329,000
Operating Cash Flow Growth -21.67% +298.41% -63.13% -25.42% +98.61%
Net Cash Flow 134,830 222,720 224,070 147,390 213,850
Change in Net Cash Flow -39.46% -0.60% +52.03% -31.08% +496.02%
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