Integrated Report 2026 Data SectionFinancial Data Executive Summary Our Value Creation Corporate Strategy Business Sustainability Data Section Appendix Financial Data Trends in Key Financial Data List of Main Companies Consolidated statement of financial position Consolidated statement of profit or loss Consolidated statement of comprehensive income Consolidated statement of changes in equity Consolidated statement of cash flows Consolidated statement of financial position (Unit: million JPY) As of March 31, 2025 As of March 31, 2026 Assets Current assets Cash and cash equivalents 39,592 39,820 Trade receivables 70,530 70,283 Inventories 51,694 53,095 Other financial assets 4,308 4,925 Other current assets 6,665 8,055 Total current assets 172,790 176,180 Non-current assets Property, plant and equipment 48,374 49,242 Goodwill 206,500 221,524 Intangible assets 80,649 74,371 Investments accounted for using equity method 1,821 730 Other financial assets 13,932 10,988 Deferred tax assets 6,120 6,482 Other non-current assets 2,293 2,990 Total non-current assets 359,691 366,330 Total assets 532,482 542,510 Liabilities and equity Liabilities Current liabilities Trade and other payables 65,665 72,379 Borrowings 34,278 78,254 Income taxes payable 4,207 2,588 Provisions 7,725 8,234 Other financial liabilities 5,812 5,709 Other current liabilities 22,865 22,467 Total current liabilities 140,555 189,634 Non-current liabilities Trade and other payables 597 537 Borrowings 220,982 156,303 Retirement benefit liability 5,544 5,962 Provisions 4,575 4,955 Other financial liabilities 8,358 11,278 Deferred tax liabilities 9,291 11,472 Other non-current liabilities 1,405 1,487 Total non-current liabilities 250,755 191,995 Total liabilities 391,310 381,630 Equity Share capital 48,623 48,785 Capital surplus 42,039 42,636 Retained earnings 2,991 (3,846) Treasury shares (568) (568) Other components of equity 48,553 74,662 Equity attributable to owners of parent 141,639 161,668 Non-controlling interests (468) (788) Total equity 141,171 160,880 Total liabilities and equity 532,482 542,510 Consolidated statement of profit or loss (Unit: million JPY) Fiscal year endedMarch 31, 2025 Fiscal year endedMarch 31, 2026 Revenue 361,593 364,403 Cost of sales 195,369 199,138 Gross profit 166,224 165,264 Selling, general and administrative expenses 144,249 144,664 Other income 1,761 2,818 Other expenses 784 810 Share of profit (loss) of investments accounted for using equity method (371) 79 Operating profit 22,580 22,688 Finance income 1,504 341 Finance costs 5,262 16,640 Profit before taxes 18,823 6,390 Income tax expense 8,458 6,170 Profit 10,364 219 Profit (loss) attributable to Owners of parent 10,485 492 Non-controlling interests (120) (273) Earnings per share Basic earnings per share (Unit: JPY) 83.13 3.90 Diluted earnings per share (Unit: JPY) 82.58 3.87 Consolidated statement of comprehensive income (Unit: million JPY) Fiscal year endedMarch 31, 2025 Fiscal year endedMarch 31, 2026 Profit 10,364 219 Other comprehensive income Items that will not be reclassified to profit or loss Remeasurements of defined benefit plans (228) 845 Net change in fair value of equity instruments designated as measured at fair value through other comprehensive income 1,102 (3,450) Items that may be reclassified to profit or loss Effective portion of cash flow hedges (14) 17 Exchange differences on translation of foreign operations (4,929) 26,893 Share of other comprehensive income of investments accounted for using equity method (11) (380) Other comprehensive income, net of taxes (4,081) 23,925 Comprehensive income 6,283 24,144 Comprehensive income attributable to Owners of parent 6,400 24,464 Non-controlling interests (116) (319) Comprehensive income 6,283 24,144 Consolidated statement of changes in equity (Unit: million JPY) Equity attributable to owners of parent Share capital Capital surplus Retained earnings Treasuryshares Other components of equity Remeas-urements of defined benefit plans Net change in fair value of equity instruments designated as measured at fair value through other comprehensive income Effective portion of cash flow hedges As of April 1, 2024 48,423 41,797 (2,773) (568) - (1,110) (3) Comprehensive income Profit - - 10,485 - - - - Other comprehensive income - - - - (228) 1,102 (14) Total comprehensive income - - 10,485 - (228) 1,102 (14) Issuance of new shares 200 (154) - - - - - Purchase of treasury shares - - - - - - - Dividends to owners of parent - - (4,917) - - - - Forfeiture of share acquisition rights and Restricted Stock Unit - (203) 199 - - - - Share-based payment transactions - 600 - - - - - Transfer from other components of equity to retained earnings - - (3) - 228 (225) - Transactions with owners 200 242 (4,720) - 228 (225) - As of March 31, 2025 48,623 42,039 2,991 (568) - (233) (17) (Unit: million JPY) Equity attributable to owners of parent Non-controllinginterests Total Other components of equity Total Exchange differences on translation of foreign operations Share of other comprehensive income of investments accounted for using equity method Total As of April 1, 2024 53,380 369 52,635 139,515 (351) 139,163 Comprehensive income Profit - - - 10,485 (120) 10,364 Other comprehensive income (4,933) (11) (4,085) (4,085) 3 (4,081) Total comprehensive income (4,933) (11) (4,085) 6,400 (116) 6,283 Issuance of new shares - - - 45 - 45 Acquisition of treasury shares - - - - - - Dividends to owners of parent - - - (4,917) - (4,917) Forfeiture of share acquisition rights and Restricted Stock Unit - - - (3) - (3) Share-based payment transactions - - - 600 - 600 Transfer from other components of equity to retained earnings - - 3 - - - Transactions with owners - - 3 (4,275) - (4,275) As of March 31, 2025 48,447 357 48,553 141,639 (468) 141,171 (Unit: million JPY) Equity attributable to owners of parent Share capital Capital surplus Retained earnings Treasuryshares Other components of equity Remeas-urements of defined benefit plans Net change in fair value of equity instruments designated as measured at fair value through other comprehensive income Effective portion of cash flow hedges As of March 31, 2025 48,623 42,039 2,991 (568) - (233) (17) Comprehensive income Profit - - 492 - - - - Other comprehensive income - - - - 845 (3,450) 17 Total comprehensive income - - 492 - 845 (3,450) 17 Issuance of new shares 161 169 - - - - - Purchase of treasury shares - - - (0) - - - Dividends to owners of parent - - (5,306) - - - - Forfeiture of share acquisition rights and Restricted Stock Unit - (183) 112 - - - - Share-based payment transactions - 609 - - - - - Transfer from other components of equity to retained earnings - - (2,136) - (845) 2,982 - Transactions with owners 161 596 (7,330) (0) (845) 2,982 - As of March 31, 2026 48,785 42,636 (3,846) (568) - (701) - (Unit: million JPY) Equity attributable to owners of parent Non-controllinginterests Total Other components of equity Total Exchange differences on translation of foreign operations Share of other comprehensive income of investments accounted for using equity method Total As of March 31, 2025 48,447 357 48,553 141,639 (468) 141,171 Comprehensive income Profit - - - 492 (273) 219 Other comprehensive income 26,940 (380) 23,971 23,971 (46) 23,925 Total comprehensive income 26,940 (380) 23,971 24,464 (319) 24,144 Issuance of new shares - - - 331 - 331 Acquisition of treasury shares - - - (0) - (0) Dividends to owners of parent - - - (5,306) - (5,306) Forfeiture of share acquisition rights and Restricted Stock Unit - - - (70) - (70) Share-based payment transactions - - - 609 - 609 Transfer from other components of equity to retained earnings - - 2,136 - - - Transactions with owners - - 2,136 (4,435) - (4,435) As of March 31, 2026 75,387 (23) 74,662 161,668 (788) 160,880 Consolidated statement of cash flows (Unit: million JPY) Fiscal year endedMarch 31, 2025 Fiscal year endedMarch 31, 2026 Cash flows from operating activities Profit before taxes 18,823 6,390 Depreciation and amortization 27,871 27,119 Interest expenses 4,929 5,876 Decrease (increase) in trade receivables 3,061 3,989 Decrease (increase) in inventories (193) 2,229 Increase (decrease) in trade payables (2,602) 2,917 Other (1,915) 5,655 Subtotal 49,974 54,178 Interest and dividends received 354 309 Interest paid (6,568) (5,334) Income taxes paid (3,977) (7,021) Income taxes refund 2,160 326 Net cash provided by operating activities 41,941 42,458 Cash flows from investing activities Purchase of property, plant and equipment, and intangible assets (11,610) (9,093) Proceeds from sales of property, plant and equipment, and intangible assets 902 448 Proceeds from sale of investments accounted for using equity method 307 296 Other 1,927 (106) Net cash used in investing activities (8,473) (8,454) Cash flows from financing activities Net increase (decrease) in short-term borrowings (2,329) (2,063) Proceeds from short-term borrowings ー 50,195 Proceeds from long-term borrowings 1,962 185,801 Repayments of long-term borrowings (27,003) (260,404) Repayments of lease liabilities (6,814) (5,931) Dividends paid to owners of parent (4,916) (5,306) Other 32 (2,111) Net cash used in financing activities (39,068) (39,821) Effect of exchange rate changes on cash and cash equivalents (1,851) 6,044 Net increase (decrease) in cash and cash equivalents (7,451) 227 Beginning balance of cash and cash equivalents 47,044 39,592 Ending balance of cash and cash equivalents 39,592 39,820