6249
Gamecard-Joyco Holdings, Inc.
株式会社ゲームカードホールディングス
Machinery
Gamecard Holdings, Inc. engages in gaming business. It is involved in the issuance and sale pf pachinko prepaid cards; development and sale of IC card systems and peripheral devices for pachinko and slot machines; and sales promotion support for pachinko parlors. The company was formerly known as Gamecard-Joyco Holdings,Inc. and changed its name to Gamecard Holdings, Inc. in October 2025. Gamecard Holdings, Inc. was founded in 1988 and is based in Tokyo, Japan.
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← Companies
⚠ TSE Capital Mandate
P / Book
0.55×
Overview
Filings & Signals
Ownership
Financials
▾ Collapse Charts
Income Statement
Balance Sheet
Cash Flow
Ratios & Per Share
Metric
FY 2024
EDINET ↗
FY 2023
EDINET ↗
FY 2022
EDINET ↗
FY 2021
EDINET ↗
Net Sales
¥37.9B
¥36.3B
¥21.7B
¥11.4B
Cost of Sales
¥23.1B
¥20.1B
¥11.9B
¥6.1B
Gross Profit
¥14.9B
¥16.2B
¥9.8B
¥5.4B
SG&A
¥5.8B
¥5.7B
¥5.4B
¥4.3B
Operating Income
¥9.0B
¥10.5B
¥4.5B
¥1.1B
Non-Operating Income
¥416M
¥300M
¥187M
¥162M
Dividend Income
¥50M
¥25M
¥12M
¥13M
Interest Income
¥149M
¥125M
¥114M
¥76M
Non-Operating Expenses
¥44M
¥49M
¥12M
¥11M
Interest Expense
¥5M
¥5M
¥4M
¥4M
Ordinary Income
¥9.4B
¥10.8B
¥4.6B
¥1.3B
Pre-tax Income
¥9.4B
¥10.6B
¥4.6B
¥1.3B
Income Taxes
¥2.8B
¥3.1B
¥330M
¥8M
Current Tax
¥2.6B
¥3.1B
¥735M
¥194M
Deferred Tax
¥151M
¥-67M
¥-404M
¥-186M
Net Income (owners)
¥6.6B
¥7.5B
¥4.3B
¥1.3B
Comprehensive Income
¥6.9B
¥8.0B
¥3.6B
¥1.4B
EBITDA
¥9.7B
¥11.2B
¥5.1B
¥1.8B
EPS
¥456.96
¥527.77
¥309.82
¥93.91
Shares Outstanding
14.0M
14.7M
14.2M
13.6M
Shares Issued (total)
14.7M
14.7M
14.3M
14.3M
Treasury Shares
0.7M
0.0M
0.0M
0.6M
Metric
FY 2024
EDINET ↗
FY 2023
EDINET ↗
FY 2022
EDINET ↗
FY 2021
EDINET ↗
Total Assets
¥67.0B
¥65.6B
¥54.6B
¥48.2B
Current Assets
¥57.4B
¥53.4B
¥42.2B
¥36.7B
Cash & Deposits
¥11.3B
¥13.5B
¥9.1B
¥4.7B
Trade Receivables
¥3.4B
¥5.7B
¥4.2B
¥995M
Non-Current Assets
¥9.6B
¥12.2B
¥12.4B
¥11.5B
PP&E
¥546M
¥552M
¥456M
¥426M
Intangible Assets
¥518M
¥924M
¥1.3B
¥1.8B
Investment Securities
¥7.4B
¥9.3B
¥8.8B
¥7.9B
Deferred Tax Assets
¥467M
¥696M
¥786M
¥121M
Total Liabilities
¥8.4B
¥11.2B
¥8.6B
¥6.0B
Current Liabilities
¥6.0B
¥8.6B
¥6.3B
¥3.6B
Accounts Payable
¥3.0B
¥3.3B
¥4.0B
¥2.3B
Taxes Payable
¥1.2B
¥2.9B
¥739M
¥64M
Non-Current Liabilities
¥2.4B
¥2.6B
¥2.3B
¥2.4B
Pension Obligations
¥444M
¥492M
¥446M
¥447M
Deferred Tax Liab.
¥6M
—
—
¥8M
Total Equity
¥58.6B
¥54.4B
¥46.0B
¥42.2B
Capital Stock
¥6.0B
¥6.0B
¥5.5B
¥5.5B
Capital Surplus
¥5.5B
¥5.5B
¥5.1B
¥5.0B
Retained Earnings
¥48.4B
¥43.1B
¥36.2B
¥32.3B
Treasury Stock
¥-1.3B
¥-28M
¥-28M
¥-747M
AOCI
¥23M
¥-247M
¥-658M
¥86M
Equity (owners)
¥58.6B
¥54.6B
¥46.7B
¥42.1B
Net Cash ⓘ
¥11.3B
¥13.5B
¥9.1B
¥4.7B
NCAV ⓘ
¥49.0B
¥42.2B
¥33.7B
¥30.7B
NCAV/Share
¥3,495
¥2,877
¥2,365
¥2,247
BV/Share
¥4,177
¥3,724
¥3,279
¥3,084
Metric
FY 2024
EDINET ↗
FY 2023
EDINET ↗
FY 2022
EDINET ↗
FY 2021
EDINET ↗
Operating CF
¥6.8B
¥6.2B
¥1.7B
¥1.5B
Interest Paid
¥-5M
¥-25M
¥-5M
¥-5M
Interest Received
¥181M
¥176M
¥113M
¥71M
D&A
¥662M
¥727M
¥677M
¥717M
Investing CF
¥-4.0B
¥-1.4B
¥5.4B
¥-4.0B
CapEx
¥210M
¥251M
¥139M
¥156M
Purchase Investments
¥-815M
—
¥-5.2B
¥-3.3B
Proceeds from Invest.
¥3.1B
—
¥2.0B
¥4.5B
Financing CF
¥-2.7B
¥317M
¥262M
¥-214M
Dividends Paid
¥-1.3B
¥-569M
¥-478M
¥-466M
Share Buybacks
¥-1.3B
¥0M
¥0M
—
Free Cash Flow
¥6.6B
¥5.9B
¥1.6B
¥1.4B
Net Change in Cash
¥69M
¥5.1B
¥7.4B
¥-2.7B
Metric
FY 2024
EDINET ↗
FY 2023
EDINET ↗
FY 2022
EDINET ↗
FY 2021
EDINET ↗
ROE
11.7%
15.0%
9.7%
3.1%
ROA
9.9%
12.6%
8.4%
2.6%
EPS
¥456.96
¥527.77
¥309.82
¥93.91
DPS
¥100.00
¥60.00
¥35.00
¥35.00
BPS
¥4,178.90
¥3,707.48
¥3,233.17
¥3,089.96
FCF/Share
¥470
¥406
¥110
¥99
NCAV/Share
¥3,495
¥2,877
¥2,365
¥2,247
Payout Ratio
21.9%
11.4%
11.3%
37.3%
Event Timeline
S Shareholder
A Capital Signal
▾ Hide Chart
Large Shareholder Reports 10
Date Activist Stake Event Flag Demands Source
2026-05-21
SANKYO CO., LTD.
11.09%
change
Passive
—
2025-11-12
Rangeley Capital, LLC
6.05%
+1.03%
change
Passive
—
2025-08-27
Rangeley Capital, LLC
5.02%
initial_5pct
Passive
—
2024-04-10
SMBC Nikko Securities Inc.
0.52%
-12.99%
change
Passive
—
2024-02-20
SMBC Nikko Securities Inc.
13.51%
-1.03%
change
Passive
—
2024-02-06
SMBC Nikko Securities Inc.
14.54%
-1.16%
change
Passive
—
2023-12-15
SMBC Nikko Securities Inc.
15.7%
-1.08%
change
Passive
—
2023-12-07
SMBC Nikko Securities Inc.
16.78%
initial_5pct
Passive
—
2023-07-11
MAMIYA-OP CO., LTD.
6.62%
-1.63%
correction
Passive
—
2023-07-10
MAMIYA-OP CO., LTD.
8.25%
change
Passive
—
Top 10 Shareholders
Ownership DNA
Cross-Holdings Tracker 3
#
Shareholder
Shares (thou.)
% of Total
1
SANKYO
株式会社SANKYO
1,401
9.99%
2
MAMIYA-OP CO.,LTD.
マミヤ・オーピー株式会社
1,316
9.38%
3
株式会社平和
612
4.36%
4
京楽産業. 株式会社
611
4.36%
5
サミー株式会社
611
4.36%
6
株式会社大一商会
611
4.36%
7
株式会社ニューギン
611
4.36%
8
FUJISHOJI CO.,LTD.
株式会社藤商事
611
4.36%
9
株式会社サンセイアールアンドディ
463
3.30%
10
株式会社三洋物産
463
3.30%
Domestic Nominees
0.0%
+0.0% vs 2024
Trust bank custodians — GPIF, pensions, investment trusts
Foreign Custodians
0.0%
+0.0% vs 2024
Sub-custodians for foreign asset managers
Direct / Strategic
52.1%
+2.9% vs 2024
Named entities with disclosed investment intent
Shareholder
Trend
2023
2024
2025
SANKYO
式会社SANKYO
9.84%
9.56%
9.99%
+0.43%
MAMIYA-OP CO.,LTD.
マミヤ・オーピー
6.63%
8.02%
9.38%
+1.36%
サミー
4.29%
4.17%
4.36%
+0.19%
式会社平和
4.29%
4.17%
4.36%
+0.19%
京楽産業.
4.29%
4.17%
4.36%
+0.19%
式会社大一商会
4.29%
4.17%
4.36%
+0.19%
式会社ニューギン
4.29%
4.17%
4.36%
+0.19%
FUJISHOJI CO.,LTD.
式会社藤商事
4.29%
4.17%
4.36%
+0.19%
式会社サンセイアールアンドディ
3.25%
3.15%
3.30%
+0.15%
式会社三洋物産
NEW ENTRY
—
—
—
3.30%
NEW
SAXA, Inc.
サクサ
last seen 2024
Exited Top 10
3.58%
3.47%
—
Concentration (HHI)
ⓘ
275
282
324
3 fiscal years · top-10 holders per year · >2,500 HHI = high concentration · entity-resolved
Portfolio Book Value
¥1,633M
+160% since 2023
Holdings
3
+2 new
1 exited
Trend
1 building
vs 2023
Held Company
FY2025
¥1,633M total
FY2023
¥629M total
Book Val ¥M
Shares
Book Val ¥M
Shares
㈱SANKYO
1,086
+400.0%
↑
500,000
553
100,000
M
譬ェ蠑丈シ夂、セ繝医Μ繝励Ν繧「繧、繧コ
㈱トリプルアイズ
421
NEW
New
400,000
—
SAXA, Inc.
サクサ㈱
126
NEW
New
41,200
—
サクサホールディングス㈱ (注)
—
−100%
Exit
—
76
41,200
M
Portfolio total
1,633
629
Book value in ¥M · ↓ reduced · ↑ increased vs prior year · M = mutual holding