Company profile

ASIRO Inc.

EDINET
E34994
Securities
7378
Industry
Services
Latest annual securities report
2026-01-27 Annual Securities Report PDF HTML
Latest financial report
2026-06-15 Semiannual Securities Report PDF HTML
Latest filing
2026-07-10 Treasury Share Repurchase Status Report PDF HTML

Industry position

Services

View details
Profitability Very strong Current Top 9% 5-year trend Improving
Financial strength Above average Based on Equity ratio Current Top 35% 5-year trend Deteriorating
Growth Very strong Current Top 4% 5-year trend Broadly stable
Cash generation Very strong Current Top 10% 5-year trend Broadly stable

Latest half-year results

H1 FY2026

2025/11/01 - 2026/04/30

Consolidated · IFRS · Cumulative YTD

For H1 FY2026, revenue was ¥3.56 billion, up 6.5% year over year. Operating income was ¥651.48 million, down 23.4% year over year. Net income was ¥414.7 million, down 30.1% year over year.

Revenue ¥3.56B up 6.5% year over year
Operating income ¥651.48M down 23.4% year over year
Net income ¥414.7M down 30.1% year over year
Operating cash flow ¥299.49M
Free cash flow ¥319.18M
Total assets ¥4.49B
Total equity ¥2.86B

Half-year trend

Half-year financial trend

H1 values are cumulative year-to-date.

H2 values are calculated when comparable.

Consolidated · IFRS · Cumulative YTD

Mode

Half-year financial data

Annual key financial indicators

FY2025

Consolidated IFRS

Revenue reached ¥6.65 billion, up 38.5% year over year. Operating income was ¥1.42 billion, up 331.8% year over year. Operating margin was 21.4%. Net income was ¥1.02 billion, up 620.1% year over year. ROE was 32.7%; equity ratio was 64.8%; free cash flow was ¥1.29 billion.

Revenue ¥6.65B up 38.5% year over year
Operating income ¥1.42B up 331.8% year over year
Net income ¥1.02B up 620.1% year over year
Total assets¥4.83B
Total equity¥3.14B
Operating cash flow¥1.34B
Free cash flow¥1.29B

Industry position details

Services

Annual data for the same fiscal year and industry

Comparison sample varies by metric

Profitability Very strong

Operating margin Top 13% / ROE Top 7%

Financial strength Above average
Based on Equity ratio

Equity ratio Top 35%

Growth Very strong

Revenue growth Top 5% / 3-year revenue CAGR Top 5%

Cash generation Very strong

Operating cash flow margin Top 13% / Free cash flow margin Top 7%

Profitability Industry position history Improving
2025 Top 9% 2024 Bottom 43% 2023 Bottom 18% 2022 Top 26% 2021 Top 26%
Financial strength Industry position history Deteriorating
2025 Top 35% 2024 Top 45% 2023 Top 41% 2022 Top 31% 2021 Top 13%
Growth Industry position history Broadly stable
2025 Top 4% 2024 Top 5% 2023 Top 8% 2022 Top 12%
Cash generation Industry position history Broadly stable
2025 Top 11% 2024 Top 19% 2023 Bottom 12% 2022 Top 20% 2021 Top 14%
Profitability Operating margin 21.4% Industry median 7.8% Top 13% Comparison sample 232
Profitability ROE 32.7% Industry median 10.5% Top 7% Comparison sample 232
Financial strength Equity ratio 64.8% Industry median 55.4% Top 35% Comparison sample 232
Growth Revenue growth +38.5% Industry median +7.8% Top 5% Comparison sample 220
Growth 3-year revenue CAGR +44.5% Industry median +8.9% Top 5% Comparison sample 189
Cash generation Operating cash flow margin 20.1% Industry median 8.1% Top 13% Comparison sample 232
Cash generation Free cash flow margin 19.4% Industry median 3.4% Top 7% Comparison sample 232

Annual financial data

Fiscal year Scope Accounting standard Revenue Operating income Ordinary income Profit before tax Net income Profit attributable to owners of parent Comprehensive income Total assets Total liabilities Net assets Shareholders' equity Equity Equity attributable to owners of parent Equity for ratio Operating cash flow Investing cash flow Financing cash flow Free cash flow Cash and cash equivalents Basic EPS P/E Share price Market cap Book value per share Dividend per share Shares issued Equity ratio Official equity ratio ROE ROA Operating margin Ordinary income margin Net margin Operating cash flow margin Free cash flow margin Dividend payout ratio Revenue YoY Operating income YoY Ordinary income YoY Profit before tax YoY Net income YoY Total assets YoY Equity YoY Operating cash flow YoY Investing cash flow YoY Financing cash flow YoY Free cash flow YoY Cash and cash equivalents YoY EPS YoY Dividend per share YoY Shares issued YoY Employees YoY Average salary YoY Employees Average salary
FY2025 Consolidated IFRS 6647361000 1419373000 1415248000 1023632000 1023632000 990782000 4833389000 3140085000 3134153000 3134153000 1339147000 -49742000 -419718000 1289405000 2466157000 140.51 8.95 1257.5645 9281540306.6360 7380568 0.6484379801 0.6484 0.3266056252 0.2117834919 0.2135242843 0.1539907341 0.2014554347 0.1939724652 0.3853708036 3.3179835236 3.4424745426 6.2005627462 0.1900396796 0.376360429 0.8347143558 -3.6189989785 -0.2039861506 0.7930192943 0.5447552759 6.1615698267 0.0 -0.1699346405 127
FY2024 Consolidated IFRS 4798254000 328712000 318572000 142160000 142160000 128104000 4061536000 2296051000 2277131000 2277131000 729894000 -10769000 -348607000 719125000 1596471000 19.62 53.82 1055.9484 7793498970.6912 7380568 0.5606575936 0.5607 0.0624294342 0.0350015364 0.0685065859 0.0296274436 0.1521165824 0.1498722244 0.5004944052 5.1705618442 6.3683820978 12.4672904735 0.0914941607 0.027025869 8.0717939774 0.9360605611 0.0776226108 3.6473749894 0.302228552 12.6094674556 0.0040813173 0.9125 153
FY2023 Consolidated IFRS 3197782000 53271000 43235000 -12397000 -12397000 -38282000 3721079000 2227450000 2217209000 2217209000 -103212000 -168425000 -377944000 -271637000 1225953000 -1.69 7350568 0.5958510959 0.5959 -0.0055912636 -0.0033315606 0.0166587341 -0.0038767496 -0.0322761214 -0.0849454403 0.4524901594 -0.8898581229 -0.9094300809 -1.0360772239 -0.0699557857 -0.1508356032 -1.2018252107 0.3731413833 -2.1488427798 -2.1191741653 -0.3463442126 -1.0337797322 -0.0538309292 0.4035087719 80
FY2022 Consolidated IFRS 2201586000 483658000 477366000 343624000 343624000 350514000 4000970000 2647361000 2611048000 2611048000 511393000 -268681000 328978000 242712000 1875533000 50.03 15.67 783.9701 6090481825.8368 7768768 0.6526037436 0.6526 0.1316038617 0.0858851728 0.2196861717 0.1560802076 0.2322839081 0.1102441603 0.4178597626 0.3399918546 0.3474067488 0.5019910044 0.4276497982 0.1748786671 0.7131749446 -21.4988276671 -0.2845302486 -0.153026898 0.4384653674 0.3643305154 0.137614292 0.1176470588 57
FY2021 Consolidated IFRS 1552753000 360941000 354285000 228779000 228779000 214607000 2802487000 2222398000 2222398000 2222398000 298506000 -11942000 459807000 286564000 1303843000 36.67 19.47 713.9649 4875666302.1000 6829000 0.7930092093 0.793 0.1029424073 0.081634277 0.232452296 0.1473376641 0.1922430676 0.1845522115 51

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Source data: Financial Services Agency EDINET / Data organization, aggregation, and metric calculations: bestforever.jp