コクヨ(7984) – Kokuyo Listed on FTSE Blossom Japan Sector Relative Index

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開示日時:2022/04/04 17:00:00

損益

決算期 売上高 営業益 経常益 EPS
2018.12 31,515,500 1,829,600 1,902,800 120.34
2019.12 32,020,000 1,674,400 1,721,400 129.39
2020.12 30,064,400 1,480,700 1,528,700 70.13

※金額の単位は[万円]

株価

前日終値 50日平均 200日平均 実績PER 予想PER
1,704.0 1,730.7 1,790.955 17.22 13.22

※金額の単位は[円]

キャッシュフロー

決算期 フリーCF 営業CF
2018.12 1,678,200 2,088,000
2019.12 1,187,300 1,672,300
2020.12 1,259,000 1,921,700

※金額の単位は[万円]

▼テキスト箇所の抽出

April 4, 2022 Press release Company name KOKUYO Co., Ltd. Representative (Stock code 7984 TSE Prime) Contact Hidekuni Kuroda, President Naotaka Umeda, Managing Officer, Finance Administration Division (TEL: +81-6-6976-1221) Kokuyo Listed on FTSE Blossom Japan Sector Relative Index Kokuyo Co., Ltd., hereby announces that it has been listed on the FTSE Blossom Japan Sector Relative Index. This listing comes at a time of growing interest in ESG investing, an investing practice that prioritizes Environmental, Social, and Governance (ESG) performance. The FTSE Blossom Japan Sector Relative Index, one of the stock market indices provided by FTSE Russell, serves as a sector-neutral benchmark reflecting the performance of Japanese companies that demonstrate strong ESG performance relative to other companies in their sector. The index is restricted to companies that either have a low carbon emission intensity rank or have achieved a certain score on the Transition Pathway Initiative’s Management Quality assessment, which measures the company’s efforts to reduce its greenhouse gas emissions and its preparedness for a transition to a low carbon economy. Japan’s Government Pension Investment Fund uses the FTSE Blossom Japan Sector Relative Index as one of its ESG-themed benchmarks for passive investment. Unveiled in February 2021, Kokuyo’s long-term vision, CCC 2030, includes a commitment to sustainable business practices. As part of this commitment, Kokuyo has this year established a sustainability policy and refreshed its materiality assessment, identifying material issues that are more relevant to the company’s values and to the goals of CCC 2030. The company has also decided to publish its first integrated report with a view to communicating the company’s non-financial, as well as financial, activities internally and externally and building stronger relationships with stakeholders. Kokuyo will continue to integrate sustainability into its business and further improve its ESG performance.

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