Projected Income Statement: Restar Corporation

Forecast Balance Sheet: Restar Corporation

Fiscal Period: March 2022 2023 2024 2025 2026 2027 2028 2029
Net Debt 59,846 73,778 78,368 70,893 81,867 - - -
Change - 23.28% 6.22% -9.54% 15.48% - - -
Announcement Date 11/05/22 12/05/23 13/05/24 14/05/25 14/05/26 - - -
Estimates

Cash Flow Forecast: Restar Corporation

Fiscal Period: March 2022 2023 2024 2025 2026 2027 2028 2029
CAPEX 1 11,487 5,245 4,376 2,210 6,538 4,950 5,370 5,820
Change - -54.34% -16.57% -49.5% 195.84% -24.29% 8.48% 8.38%
Free Cash Flow (FCF) 1 -38,112 -5,909 8,361 18,284 -9,820 11,020 9,450 10,770
Change - 84.5% 241.5% 118.68% -153.71% 212.22% -14.25% 13.97%
Announcement Date 11/05/22 12/05/23 13/05/24 14/05/25 14/05/26 - - -
1JPY in Million
Estimates

Forecast Financial Ratios: Restar Corporation

Fiscal Period: March 2022 2023 2024 2025 2026 2027 2028 2029

Profitability

        
EBITDA Margin (%) 2.71% 3.8% 3.93% 3.36% 3.49% 3.47% 3.7% 3.8%
EBIT Margin (%) 1.9% 2.96% 3.11% 2.53% 2.65% 2.67% 2.9% 3%
EBT Margin (%) 2.14% 2.14% 2.34% 0.94% 2.06% 2.25% 2.46% 2.57%
Net margin (%) 1.49% 1.45% 1.37% 1.33% 1.22% 1.42% 1.54% 1.62%
FCF margin (%) -9.54% -1.21% 1.63% 3.26% -1.56% 1.56% 1.23% 1.29%
FCF / Net Income (%) -639.79% -83.4% 119.37% 244.67% -127.68% 109.65% 80.08% 80.07%

Profitability

        
ROA 3.11% 4.73% 2.5% 2.48% 4.17% 2.7% 2.9% 3.1%
ROE 7.9% 8.9% 8.5% 8.8% 8.6% 9.6% 9.3% 9%

Financial Health

        
Leverage (Debt/EBITDA) 5.52x 3.98x 3.89x 3.76x 3.72x - - -
Debt / Free cash flow -1.57x -12.49x 9.37x 3.88x -8.34x - - -

Capital Intensity

        
CAPEX / Current Assets (%) 2.87% 1.08% 0.85% 0.39% 1.04% 0.7% 0.7% 0.7%
CAPEX / EBITDA (%) 105.91% 28.3% 21.72% 11.72% 29.7% 20.19% 18.93% 18.41%
CAPEX / FCF (%) -30.14% -88.76% 52.34% 12.09% -66.58% 44.92% 56.83% 54.04%

Items per share

        
Cash flow per share 1 292.4 350 351.6 395 431.5 - - -
Change - 19.7% 0.46% 12.34% 9.25% - - -
Dividend per Share 1 100 115 115 120 128 157.2 184.4 210.2
Change - 15% 0% 4.35% 6.67% 22.81% 17.3% 13.99%
Book Value Per Share 1 2,580 2,686 2,800 3,051 3,310 - - -
Change - 4.11% 4.25% 8.96% 8.47% - - -
EPS 1 198.1 235.6 233 256.6 273.6 334.4 392.4 447.2
Change - 18.94% -1.14% 10.15% 6.61% 22.23% 17.35% 13.96%
Nbr of stocks (in thousands) 30,068 30,068 30,068 28,118 28,118 28,118 28,118 28,118
Announcement Date 11/05/22 12/05/23 13/05/24 14/05/25 14/05/26 - - -
1JPY
Estimates
2027 *2028 *
P/E 13.2x 11.3x
PBR - -
EV / Sales 0.18x 0.16x
Yield 3.56% 4.18%

EPS & Dividend

Y-o-Y evolution of P/E

Year-on-year evolution of the Yield

Trader
-
Investor
Global
-
Quality
ESG MSCI
BBB

Quarterly revenue - Rate of surprise

  1. Stock Market
  2. Stocks
  3. 3156 Stock
  4. Financials Restar Corporation