Main content
Products
Community
Get started
/TABLE-Feedforce Group -2024/25 group results
TABLE-Feedforce Group -2024/25 group results
RefinitivLess than 1 min read
Jun 26 (Reuters)-Feedforce Group Inc.CONSOLIDATED FINANCIAL HIGHLIGHTS(in billions of yen unless specified)Year endedYear endedYear toNEXTMay 31, 2025May 31, 2024May 31, 2026YEARLATESTYEAR-AGOCOMPANYCOMPANYRESULTSRESULTSFORECASTH1 FORECASTSales4.374.234.922.26(+3.4 pct)(+6.6 pct)(+12.6 pct)(+8.3 pct)Operating1.591.241.85742 mln(+28.7 pct)(+20.2 pct)(+16.2 pct)(+11.3 pct)Recurring1.531.171.82728 mln(+31.0 pct)(+14.3 pct)(+19.4 pct)(+14.3 pct)NetNet1.00473 mln1.20481 mln(+111.8 pct)(+319.4 pct)(+19.8 pct)(+20.1 pct)EPS39.69 yen18.23 yen47.95 yen18.81 yenEPS Diluted39.31 yen17.95 yenAnn Div10.00 yenNIL10.00 yen-Q2 Div5.00 yenNIL5.00 yen-Q4 Div5.00 yenNIL5.00 yenNOTE – Feedforce Group Inc..*Second Net profit row denotes profit attributable to owners ofthe parentTo see Company Overview page, click reuters://REALTIME/verb=CompanyData/ric=7068.T
AsiaJapanese stocksReuters
© Copyright Thomson Reuters 2025. Click For Restrictions – http://about.reuters.com/fulllegal.asp
Login or create a forever free account to read this news
Compare charts
Analyze on Supercharts
Latest news Live
Dow Jones Newswires
Sign in to read exclusive news
PRESSR: Lenovo Hybrid AI Advantage accelerates Enterprise AI Transformation with new services, solutions and platforms
London Stock Exchange
REG – HSBC GF ICAV Gl Ag £ – Net Asset Value(s)
London Stock Exchange
REG – HSBC GF ICAV Gl Ag $ – Net Asset Value(s)
London Stock Exchange
REG – HSBC GF ICAV SUS $ – Net Asset Value(s)
London Stock Exchange
REG – HSBC GF ICAV Gl Crp$ – Net Asset Value(s)
London Stock Exchange
REG – HSBC GF ICAV Gl Crp£ – Net Asset Value(s)
London Stock Exchange
REG – HSBC GF ICAV Sukuk $ – Net Asset Value(s)
London Stock Exchange
REG – HSBC GF ICAV GblGov£ – Net Asset Value(s)
London Stock Exchange
REG – HSBC GF ICAV GblGov$ – Net Asset Value(s)
London Stock Exchange
REG – HSBC GF ICAV China $ – Net Asset Value(s)
London Stock Exchange
REG – HSBC GF ICAV Ch Gov£ – Net Asset Value(s)
London Stock Exchange
REG – HSBC GF ICAV Ch Gov$ – Net Asset Value(s)
London Stock Exchange
REG – HSBC GF ICAV GL Sus£ – Net Asset Value(s)
London Stock Exchange
REG – HSBC ETFs PLC – Net Asset Value(s)
More news from Reuters
France says it intercepted drones targeting Israel prior to Iran ceasefire
Japan futures extend rise on supply woes, Nikkei’s gain
Iron ore rise on dollar weakness, China stimulus hopes
Brookfield to sell Australian senior housing platform Aveo for $2.5 billion
Lilly to launch Mounjaro pen in India to compete with Novo’s Wegovy
EnglishEnglish
Select market data provided by ICE Data services. Select reference data provided by FactSet. Copyright © 2025 FactSet Research Systems Inc.© 2025 TradingView, Inc.
More than a product
Supercharts
Crypto coins
More products
Yield Curves
Pine Script®
Social network
Wall of Love
Refer a friend
House Rules
Editors’ picks
Pine Script
Indicators & strategies
Freelancers
Tools & subscriptions
Market data
Special offers
CME Group futures
Eurex futures
US stocks bundle
About company
TradingView store
Tarot cards for traders
The C63 TradeTime
Policies & security
Terms of Use
Privacy Policy
Cookies Policy
Accessibility Statement
Security vulnerability
Status page
Business solutions
Charting libraries
Lightweight Chartsâ„¢
Advanced Charts
Trading Platform
Growth opportunities
Advertising
Brokerage integration
Partner program
Education program
Social network
Wall of Love
Refer a friend
House Rules
Editors’ picks
Pine Script
Indicators & strategies
Freelancers
Business solutions
Charting libraries
Lightweight Chartsâ„¢
Advanced Charts
Trading Platform
Growth opportunities
Advertising
Brokerage integration
Partner program
Education program