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XJPX
3024
Market cap26mUSD
Jun 12, Last price  
1,008.00JPY
Name

Create Corp

Chart & Performance

D1W1MN
XJPX:3024 chart
P/E
27.32
P/S
0.11
EPS
36.90
Div Yield, %
3.17%
Shrs. gr., 5y
Rev. gr., 5y
2.06%
Revenues
35.86b
+2.81%
31,997,000,00029,629,967,00031,525,655,00034,881,190,00035,860,535,000
Net income
143m
-65.87%
169,000,000-107,472,000180,795,000419,943,000143,318,000
CFO
4m
-99.44%
513,000,000291,825,000166,211,000772,331,0004,329,000
Dividend
Mar 28, 20250 JPY/sh
Earnings
Aug 04, 2025

Profile

Create Corporation, together with its subsidiaries, engages in the wholesale of plumbing materials under the TORO brand in Japan. It operates through Plumbing Equipment and Construction Related segments. The company offers plumbing fittings and water taps, water supply pipe equipment, and drainage pipe equipment; and housing equipment, such as air-conditioners. It is also involved in the import of iron castings; sale of drainage pipe fittings and drainage implements; construction and package of drainage implements; processing and production of resinous plumbing systems; construction; and interior finishing works. The company was formerly known as Fukui Kazuo Shoten Co., Ltd. and changed its name to Create Corporation in April 1993. Create Corporation was founded in 1916 and is headquartered in Osaka, Japan.
IPO date
Mar 01, 2006
Employees
Domiciled in
JP
Incorporated in
JP

Valuation

Title
JPY in thousands, except ratios and share amounts
FYFYFYFYFY
2024‑032023‑032022‑032021‑032020‑03
Income
Revenues
35,860,535
2.81%
34,881,190
10.64%
Cost of revenue
35,382,281
29,878,707
Unusual Expense (Income)
NOPBT
478,254
5,002,483
NOPBT Margin
1.33%
14.34%
Operating Taxes
203,373
272,885
Tax Rate
42.52%
5.45%
NOPAT
274,881
4,729,598
Net income
143,318
-65.87%
419,943
132.28%
Dividends
(108,376)
(62,866)
Dividend yield
3.02%
2.06%
Proceeds from repurchase of equity
(20)
(57,050)
BB yield
0.00%
1.87%
Debt
Debt current
607,387
673,821
Long-term debt
974,548
1,246,726
Deferred revenue
(39,190)
Other long-term liabilities
1,381,205
1,347,417
Net debt
29,815
22,326
Cash flow
Cash from operating activities
4,329
772,331
CAPEX
(71,214)
(49,044)
Cash from investing activities
50,908
(207,064)
Cash from financing activities
(421,909)
(60,124)
FCF
3,400,220
4,696,520
Balance
Cash
1,381,341
1,748,005
Long term investments
170,779
150,216
Excess cash
154,162
Stockholders' equity
4,078,915
4,087,667
Invested Capital
2,893,279
7,716,644
ROIC
5.18%
64.13%
ROCE
16.53%
63.24%
EV
Common stock shares outstanding
3,896
3,940
Price
921.00
19.15%
773.00
26.31%
Market cap
3,588,157
17.83%
3,045,256
26.75%
EV
3,617,972
3,067,582
EBITDA
585,240
5,096,669
EV/EBITDA
6.18
0.60
Interest
13,365
13,820
Interest/NOPBT
2.79%
0.28%