6958

CMK CORPORATION

日本シイエムケイ株式会社
Electric Appliances
CMK Corporation develops, produces, and markets various printed wiring boards in Japan, China, Southeast Asia, Europe, the United States, and internationally. The company offers automotive printed wiring boards (PWBs); high heat radiation copper base and metal composite PWBs; semi-flex and rigid-flex PWB series; high frequency correspondence PWBs; stress easing PWB technology series; PPBU series; through-hole PWBs. It also provides double-sided, multilayer, build-up, and environmentally friendly PWBs. The company's products are used in automotive, medical, communications, and aerospace industries. The company was formerly known as Chuo Meiban Kogyo Co., Ltd. and changed its name to CMK Corporation in 1984. CMK Corporation was founded in 1959 and is headquartered in Tokyo, Japan.
← Companies
Price
¥768
Market Cap
¥54.7B
Ent. Value
¥75.9B
Net Debt
−¥21.2B
Shares Out.
71.3M
P / E
14.4×
EV / EBIT
19.9×
⚠ TSE Capital Mandate
P / Book
0.69×
P / NCAV
N/M
Div. Yield
2.60%
Financials
Metric FY 2024
EDINET ↗
FY 2023
EDINET ↗
FY 2022
EDINET ↗
FY 2021
EDINET ↗
Net Sales ¥95.5B ¥90.6B ¥83.8B ¥81.5B
Cost of Sales ¥79.9B ¥76.2B ¥71.2B ¥69.2B
Gross Profit ¥15.6B ¥14.4B ¥12.6B ¥12.3B
SG&A ¥11.8B ¥10.8B ¥10.0B ¥9.3B
Operating Income ¥3.8B ¥3.5B ¥2.6B ¥3.0B
Non-Operating Income ¥2.6B ¥2.0B ¥921M ¥705M
Dividend Income ¥127M ¥295M ¥127M ¥87M
Interest Income ¥109M ¥129M ¥21M ¥9M
Non-Operating Expenses ¥873M ¥746M ¥904M ¥421M
Interest Expense ¥560M ¥335M ¥283M ¥204M
Ordinary Income ¥5.5B ¥4.8B ¥2.6B ¥3.3B
Pre-tax Income ¥5.3B ¥4.2B ¥2.5B ¥3.6B
Income Taxes ¥1.4B ¥163M ¥760M ¥495M
Current Tax ¥931M ¥812M ¥583M ¥530M
Deferred Tax ¥511M ¥-649M ¥122M ¥-36M
Net Income (owners) ¥3.8B ¥3.9B ¥1.6B ¥2.8B
Minority Interest ¥114M ¥148M ¥153M ¥296M
Comprehensive Income ¥9.9B ¥8.0B ¥5.2B ¥4.8B
EBITDA ¥9.7B ¥8.8B ¥7.4B ¥7.3B
Goodwill Amort. (J-GAAP) ¥5M ¥19M ¥19M ¥23M
EPS ¥53.19 ¥64.21 ¥26.83 ¥47.05
Shares Outstanding 71.3M 71.2M 59.2M 59.2M
Shares Issued (total) 71.3M 71.2M 63.1M 63.1M
Treasury Shares 0.0M 0.0M 3.9M 3.9M