TAKMF Dividend: Takamatsu Construction Group Co Ltd Yield Insights
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TAKMF
Takamatsu Construction Group Co Ltd (TAKMF) Price
TAKMF Stock Price Chart
TAKMF Financial
Takamatsu Construction Group Co Ltd
$0
0%
$0
At close: Dec 03, 16:00:00 GMT-5
$0
0%
$0
Pre-market: Dec 04, 09:25:45 GMT-5
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Income
Balance sheet
Cash flow
Annual
Quarterly
TAKMF Income
Financials in millions USD. Fiscal year is February - January.
Breakdown
TTM
03/31/2025
03/31/2024
03/31/2023
03/31/2022
03/31/2021
Revenue
355,464
346,685
312,680
282,495
263,907
283,080
Revenue Growth (YoY)
7%
11%
11%
7%
-7%
0%
Cost of Revenue
304,152
302,059
269,628
240,472
225,364
244,775
Gross Profit
51,312
44,626
43,052
42,023
38,543
38,305
Selling, General & Admin
34,560
32,589
30,812
29,366
26,789
25,583
Research & Development
--
576
588
617
528
523
Operating Expenses
34,561
33,166
31,401
29,985
27,318
26,107
Other Non Operating Income (Expenses)
-6
-15
102
259
165
16
Pretax Income
16,197
10,585
11,884
11,755
11,316
12,028
Income Tax Expense
5,768
4,121
2,711
4,221
4,586
4,552
Net Income
10,414
6,452
9,165
7,534
6,727
7,467
Net Income Growth
22%
-30%
22%
12%
-10%
-14%
Shares Outstanding (Diluted)
34.81
34.81
34.81
34.81
34.81
34.81
Shares Change (YoY)
0%
0%
0%
0%
0%
0%
EPS (Diluted)
299.09
185.3
263.22
216.38
193.2
214.45
EPS Growth
22%
-30%
22%
12%
-10%
-14%
Free Cash Flow
-8,219
3,557
-13,910
-13,441
-2,038
-7,759
Free Cash Flow Per Share
-236.05
102.15
-399.5
-386.03
-58.53
-222.84
Gross Margin
14.43%
12.87%
13.76%
14.87%
14.6%
13.53%
Operating Margin
4.71%
3.3%
3.72%
4.26%
4.25%
4.3%
Profit Margin
2.92%
1.86%
2.93%
2.66%
2.54%
2.63%
Free Cash Flow Margin
-2.31%
1.02%
-4.44%
-4.75%
-0.77%
-2.74%
EBITDA
19,073
13,680
13,793
13,665
12,855
13,710
EBITDA Margin
5.36%
3.94%
4.41%
4.83%
4.87%
4.84%
D&A For EBITDA
2,322
2,220
2,142
1,627
1,630
1,512
EBIT
16,751
11,460
11,651
12,038
11,225
12,198
EBIT Margin
4.71%
3.3%
3.72%
4.26%
4.25%
4.3%
Effective Tax Rate
35.61%
38.93%
22.81%
35.9%
40.52%
37.84%