9325

Phyz Holdings Co., Ltd.

ファイズホールディングス株式会社
Industrials · Specialty Business Services
PHYZ Holdings Inc. provides various EC solutions for companies operating EC sites in Japan. It operates through E-commerce solution service business, International logistics services business and Information system business segments. The company provides operation services, including consulting, warehouse operations, and general worker dispatch services; transport services for products transportation between locations using mid- and large-sized vehicles; and delivery services. It also offers system developments, and staffing and recruitment services. The company was formerly known as PHYZ Inc. and changed its name to PHYZ Holdings Inc. in October 2019. The company was incorporated in 2013 and is headquartered in Osaka, Japan. PHYZ Holdings Inc. is a subsidiary of AZ-COM MARUWA Holdings Inc.
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Price
¥1,248
Market Cap
¥13.4B
Ent. Value
¥11.4B
Net Cash
¥2.0B
Shares Out.
10.7M
P / E
13.1×
EV / EBIT
7.4×
P / Book
2.88×
P / NCAV
N/M
Div. Yield
1.20%
Financials
Metric FY 2025
TDnet
FY 2024
EDINET ↗
FY 2023
EDINET ↗
FY 2022
EDINET ↗
FY 2021
EDINET ↗
Net Sales ¥40.3B ¥31.6B ¥27.5B ¥23.7B ¥18.0B
Cost of Sales ¥37.6B ¥29.0B ¥25.2B ¥21.5B ¥16.6B
Gross Profit ¥2.7B ¥2.6B ¥2.4B ¥2.2B ¥1.5B
SG&A ¥1.2B ¥1.1B ¥1.0B ¥1.1B ¥894M
Operating Income ¥1.5B ¥1.5B ¥1.3B ¥1.1B ¥576M
Non-Operating Income ¥111M ¥40M ¥65M ¥82M ¥38M
Dividend Income ¥1M ¥1M ¥2M ¥1M
Interest Income ¥0M ¥0M ¥0M ¥0M
Non-Operating Expenses ¥26M ¥20M ¥18M ¥41M
Interest Expense ¥16M ¥7M ¥8M ¥5M
Ordinary Income ¥1.6B ¥1.5B ¥1.4B ¥1.2B ¥572M
Pre-tax Income ¥1.6B ¥1.5B ¥1.4B ¥1.2B ¥572M
Income Taxes ¥508M ¥520M ¥452M ¥391M ¥191M
Current Tax ¥540M ¥426M ¥469M ¥182M
Deferred Tax ¥-19M ¥25M ¥-78M ¥9M
Net Income (owners) ¥1.0B ¥919M ¥854M ¥808M ¥368M
Minority Interest ¥40M ¥60M ¥8M ¥13M
Comprehensive Income ¥962M ¥919M ¥818M ¥379M
EBITDA ¥2.0B ¥1.7B ¥1.5B ¥1.3B ¥724M
Goodwill Amort. (J-GAAP) ¥44M ¥27M ¥25M ¥7M
EPS ¥95.35 ¥85.63 ¥79.60 ¥75.30 ¥34.37
Shares Outstanding 10.7M 10.7M 10.7M 10.7M
Shares Issued (total) 10.8M 10.8M 10.8M 10.8M
Treasury Shares 0.1M 0.1M 0.1M 0.1M