FACT SHEET 2020

20206月期

For the year ended June 30, 2020

2020

レーザーテック株式会社

Lasertec Corporation

Copyright © Lasertec Corporation All Rights Reserved

目次

2

2

CONTENTS

  • 事業概要
    Business Overview
  • 連結貸借対照表
    Consolidated Balance Sheets
  • 連結損益計算書
    Consolidated Statements of Income
  • 連結キャッシュフロー計算書
    Consolidated Statements of Cash Flows
  • 連結売上・製品別・地域別売上高の推移
    Consolidated Net Sales / Net Sales by Product and Region
  • 受注・受注残高・たな卸資産の推移
    Orders, Amount and Outstanding / Inventories
  • 連結財務データ
    Consolidated Financial Data
  • 連結キャッシュフロー・フリーキャッシュフローの推移
    Consolidated Cash Flows / Free Cash Flows Information
  • 設備投資・減価償却・R&Dの推移と従業員データ
    Capital Expenditures, Depreciation and R&D / Employees Data
  • 株価・株式情報
    Stock Information

Copyright © Lasertec Corporation All Rights Reserved

事業概要

3

3

Business Overview

会社概要 Corporate Information

商号

レーザーテック株式会社

Corporate Name

Lasertec Corporation

所在地

222-8552神奈川県横浜市港北区新横浜2-10-1

Headquarters

2-10-1Shin-yokohama,Kohoku-ku, Yokohama City,

222-8552 Japan

創業

昭和357

Established

July, 1960

資本金

93,100万円 (2019630日現在)

Capital

¥ 931 Million (as of June 30, 2019)

主要製品 Major Products and Services

半導体関連装置 Semiconductor-related products

マスク/マスクブランクス欠陥検査、ウェハ関連検査装置

Systems related to defect inspection/measurement of mask, maskblanks and wafer

その他 Other Products

FPD用マスク欠陥検査装置、レーザー顕微鏡など

Systems related to defect inspection of FPD mask, Confocal Microscope,

製品別売上高 Net Sales by Product

製品別売上高 Net Sales by Product FY6/20

サービス Services

半導体関連装置

14.2%

Semiconductor-related

その他 Other Products

products

80.7%

5.1%

Copyright © Lasertec Corporation All Rights Reserved

連結貸借対照表

4

Consolidated Balance Sheets

(百万円/Million)

2016/6

2017/6

2018/6

2019/6

2020/6

(資産の部)

Assets

資産合計

Total Assets

25,870

33,019

38,121

50,055

81,794

流動資産合計

Total Current assets

18,799

24,719

29,387

39,841

70,002

現金及び預金

Cash and deposits

8,030

9,805

10,176

13,185

24,723

受取手形及び売掛金

Notes and accounts receivable-trade

3,613

5,425

3,820

4,313

5,662

仕掛品

Work in process

4,392

6,540

10,317

15,479

30,083

原材料及び貯蔵品

Raw materials and supplies

1,224

1,260

2,115

3,278

3,978

繰延税金資産

Deferred tax assets

776

-

-

-

-

その他

Others

765

1,693

2,963

3,589

5,563

貸倒引当金

Allowance for doubtful accounts

(3)

(6)

(5)

(5)

(8)

固定資産合計

Noncurrent assets

7,070

8,300

8,733

10,214

11,791

有形固定資産合計

Total Property, plant and equipment

6,523

6,676

6,601

8,054

7,914

建物及び構築物

Buildings and structures

3,652

3,764

3,845

4,537

4,601

減価償却累計額

Accumulated depreciation

(1,823)

(1,875)

(1,974)

(2,079)

(2,210)

建物及び構築物(純額)

Buildings and structures, net

1,828

1,889

1,871

2,457

2,390

機械装置及び運搬具

Machinery, equipment and vehicles

147

264

385

1,307

1,300

減価償却累計額

Accumulated depreciation

(142)

(160)

(224)

(277)

(577)

機械装置及び運搬具(純額)

Machinery, equipment and vehicles, net

4

104

161

1,030

723

工具、器具及び備品

Tools, furniture and fixtures

1,333

1,568

1,593

1,797

2,069

減価償却累計額

Accumulated depreciation

(915)

(1,150)

(1,401)

(1,488)

(1,569)

工具、器具及び備品(純額)

Tools, furniture and fixtures, net

417

418

192

309

499

リース資産

Leased asset

6

6

6

3

26

減価償却累計額

Accumulated depreciation

(2)

(4)

(5)

(0)

-4

リース資産(純額)

Leased asset,net

3

2

1

3

22

土地

Land

4,254

4,254

4,254

4,254

4,254

建設仮勘定

Construction in progress

14

7

121

-

23

無形固定資産

Intangible assets

48

173

534

462

843

投資その他の資産合計

Total Investments and other assets

497

1,450

1,597

1,696

3,033

投資有価証券

Investment securities

324

583

610

478

532

長期未収入金

Long-term accounts and receivable-other

73

-

-

-

-

繰延税金資産

Deferred tax assets

60

820

932

1,113

2,347

その他

Others

39

46

53

105

153

貸倒引当金

Allowance for doubtful accounts

(0)

(0)

(0)

(0)

-

Copyright © Lasertec Corporation All Rights Reserved

連結貸借対照表

5

Consolidated Balance Sheets

(百万円/Million)

2016/6

2017/6

2018/6

2019/6

2020/6

(負債の部)

Liabilities

負債合計

Total Liabilities

4,061

8,539

11,068

18,948

42,618

流動負債合計

Total Current Liabilities

3,839

8,328

10,779

18,433

42,058

買掛金

Accounts payable-trade

909

1,627

1,392

1,843

4,985

未払法人税等

Income taxes payable

880

863

604

1,433

4,581

前受金

Advances received

1,071

4,301

7,318

12,234

25,655

役員賞与引当金

Provision for directors' bonuses

160

209

226

281

537

製品保証引当金

Provision for product warranties

196

288

321

327

33

品質補償引当金

Provision for quality compensation

-

-

-

230

92

その他

Others

622

1,038

916

2,081

6,172

固 定 負 債 合 計

Total Non-current liabilities

222

210

288

514

559

退職給付に係る負債

Net defined benefit liability

196

187

201

227

276

資産除去債務

Asset retirement obligations

-

-

-

218

219

その他

Others

25

23

87

67

64

(純資産の部)

Net assets

純資産合計

Total Net assets

21,808

24,479

27,053

31,107

39,175

株主資本合計

Total Shareholders' equity

21,839

24,237

26,799

31,019

39,047

資本金

Capital stock

931

931

931

931

931

資本剰余金

Capital surplus

1,080

1,080

1,080

1,080

1,080

利益剰余金

Retained earnings

20,804

23,202

25,765

29,985

38,014

自己株式

Treasury stock

(976)

(976)

(976)

(977)

(977)

その他の包括利益累計額合計

Total Accumulated other comprehensive

(52)

220

232

66

106

income

その他有価証券評価差額金

Valuation difference on available-for-sale

112

295

314

221

259

securities

為替換算調整勘定

Foreign currency translation adjustments

(164)

(74)

(81)

(155)

(153)

新株予約権

Subscription rights to shares

21

21

21

21

21

負債純資産合計

Total Liabilities and net assets

25,870

33,019

38,121

50,055

81,794

Copyright © Lasertec Corporation All Rights Reserved

連結損益計算書

6

Consolidated Statements of Income

(百万円/Million)

2016/6

2017/6

2018/6

2019/6

2020/6

売上高

Net Sales

15,291

17,278

21,252

28,769

42,572

売上原価

Cost of sales

6,403

7,808

9,251

12,853

19,581

売上総利益

Gross profit

8,887

9,469

12,001

15,916

22,991

販売費及び一般管理費

SG&A expenses

4,459

4,568

6,315

7,975

7,929

営業利益

Operating income

4,428

4,901

5,685

7,941

15,062

営業外収益合計

Total non-operating income

151

74

30

30

58

受取利息

Interest income

4

3

6

8

9

受取配当金

Dividends income

8

8

11

13

13

固定資産賃貸料

Rent income on noncurrent assets

1

1

1

2

2

為替差益

Foreign exchange gains

136

55

-

-

27

その他

Others

1

4

11

6

6

営業外費用合計

Total non-operating Expenses

4

10

9

137

6

支払利息

Interest expenses

-

0

-

-

-

固定資産除却損

Loss on disposal of fixed assets

-

10

0

2

5

為替差損

Foreign exchange losses

-

-

9

134

-

ゴルフ会員権評価損

Loss on valuation of golf club membership

3

-

-

-

-

その他

Others

1

0

0

0

0

経常利益

Ordinary income

4,575

4,964

5,706

7,834

15,115

税金等調整前当期純利益

Income before income taxes

4,575

4,964

5,706

7,834

15,115

法人税等合計

Total Income taxes

1,347

1,429

1,340

1,900

4,291

法人税、住民税及び事業税

Income taxes-current

1,308

1,483

1,461

2,043

5,541

法人税等調整額

Income taxes-deferred

39

(54)

(121)

(142)

(1,250)

当期純利益

Net income

3,227

3,534

4,366

5,933

10,823

親会社株主に帰属する当期純利益

Profit attributable to owners of parent

3,227

3,534

4,366

5,933

10,823

*会計処理の変更に伴う遡及適用に関して

20186月期の会計方針の変更に伴い、20176月期の決算数字を遡及適用し変更しています。 この変更は、従来海外連結子会社の決算日の直物為替相場により円貨に換算していた会計処理を、 20186月期より期中平均相場により円貨に換算する方法に変更するものであります。

※ Retrospective changes to figures due to change in accounting policy

Because of a change in accounting policy, retrospective changes have been made to figures in the financial result of the fiscal year ended June 2017. Previously, we converted the values of profits and losses of each overseas consolidated subsidiary to Japanese yen using the spot rate of foreign currency exchange as of the date of account settlement by the subsidiary. Starting the fiscal year ending June 2018, we have changed the method of conversion to the one using the average foreign exchange rate of the period.

Copyright © Lasertec Corporation All Rights Reserved

連結キャッシュ・フロー計算書

7

Consolidated Statements of Cash Flows

(百万円/Million)

2016/6 2017/6 2018/6 2019/6 2020/6

[ 営 業 活 動 に よ る キ ャ ッ シ ュ ・ フ ロ ー ] Cash flows from operating activities

営 業 活 動 に よ る キ ャ ッ シ ュ ・ フ ロ ー 合 計 Total cash provided by (used in) operating activities

3,083

3,495

2,916

5,800

16,486

税金等調整前当期純利益

Income before income taxes and minority interests

4,575

4,964

5,706

7,834

15,115

減価償却費

Depreciation

271

418

558

499

881

固定資産除却損

Loss on retirement of property, plant and equipment

-

10

0

2

5

貸倒引当金の増加/(減少)額

Increase (decrease) in allowance for doubtful accounts

(0)

2

(0)

0

2

役員賞与引当金の増加/(減少)

Increase (decrease) in provision for directors' bonuses

9

49

17

55

255

製品保証引当金の増加/(減少)

Increase (decrease) in provision for product warranties

(26)

89

31

7

(294)

品質補償引当金の増加/(減少)額

Increase (decrease) in provision for quality compensation

-

-

-

230

(137)

退職給付に係る負債の増加/(減少)

Increase (decrease) in net defined benefit liability

44

(9)

13

27

49

受取利息及び受取配当金

Interest and dividends income

(12)

(12)

(17)

(21)

(22)

支払利息

Interest expenses

-

0

-

-

-

為替(差益)/差損

Foreign exchange losses (gains)

(82)

40

0

12

99

ゴルフ会員権評価損

Loss on valuation of golf club membership

3

-

-

-

-

売上債権の(増加)/減少額

Decrease (increase) in notes and accounts receivable-

(102)

(1,781)

1,601

(517)

(1,333)

trade

(1,193)

(2,150)

(4,637)

(6,348)

(15,294)

たな卸資産の(増加)/減少額

Decrease (increase) in inventories

長期未収入金の増加/(減少)

Increase(decrease) Long-term accounts receivable-other

73

73

-

-

-

仕入債務の増加/(減少)

Increase (decrease) in accounts payable-trade

354

110

(503)

(224)

1,222

前受金の増加/(減少)

Increase (decrease) in advances received

495

3,195

3,072

4,918

13,438

その他

Others

95

60

(1,293)

549

5,033

小計

Sub-total

4,505

5,061

4,546

7,027

19,020

利息及び配当金の受取額

Interest and dividends income received

12

12

17

21

22

利息の支払額

Interest expenses paid

-

0

-

-

-

法人税等の支払額

Income taxes paid

(1,435)

(1,577)

(1,648)

(1,248)

(2,556)

[ 投 資 活 動 に よ る キ ャ ッ シ ュ ・ フ ロ ー ] Cash flows from investing activities

投 資 活 動 に よ る キ ャ ッ シ ュ ・ フ ロ ー 合 計 Total cash provided by (used in) investing activities

(368)

(612)

(684)

(994)

(2,038)

定期預金の預入による支出

Payments into time deposits

(62)

(134)

(69)

(68)

(62)

定期預金の払戻による収入

Proceeds from repayment of time deposits

62

134

69

68

62

有形固定資産の取得による支出

Purchase of property, plant and equipment

(353)

(470)

(223)

(897)

(1,178)

有形固定資産の売却による収入

Proceeds from sale of property, plant and equipment

-

-

-

1

-

無形固定資産の取得による支出

Payments for acquisition of intangible assets

(15)

(142)

(460)

(52)

(620)

無形固定資産の売却による収入

Proceeds from sale of intangible assets

-

-

-

-

0

差入保証金の差入による支出

Payment of guarantee deposits

-

-

-

(46)

(31)

その他

Others

0

-

-

-

(208)

[ 財 務 活 動 に よ る キ ャ ッ シ ュ ・ フ ロ ー ] Cash flows from financing activities

財 務 活 動 に よ る キ ャ ッ シ ュ ・ フ ロ ー 合 計 Total cash provided by (used in) financing activities

(1,038)

(1,151)

(1,805)

(1,715)

(2,800)

配当金の支払額

Cash dividends paid

(1,037)

(1,149)

(1,803)

(1,713)

(2,795)

その他

Others

(1)

(1)

(1)

(1)

(4)

現金及び現金同等物に係る換算差額

Effect of exchange rate changes on cash and cash

(245)

37

(56)

(77)

(107)

equivalents

現金及び現金同等物の増加/(減少)

Net increase (decrease) in cash and cash equivalents

1,430

1,769

370

3,013

11,539

現金及び現金同等物の期首残高

Cash and cash equivalents at beginning of period

6,537

7,967

9,736

10,107

13,120

現金及び現金同等物の期末残高

Cash and cash equivalents at end of period

7,967

9,736

10,107

13,120

24,660

Copyright © Lasertec Corporation All Rights Reserved

連結売上高 / 製品別・地域別売上高の推移

8

Consolidated Net Sales / Net Sales by Product and Region

(百万円/

営業利益 Operating Income

(百万円/

売上高 Net Sales

Million

営業利益率 Operating Income Margin

Million

営業利益 Operating Income

20,000

50.0%

50,000

45.0%

15,000

40.0%

40,000

35.0%

30.0%

30,000

10,000

25.0%

20.0%

20,000

5,000

15.0%

10.0%

10,000

5.0%

0

0.0%

0

2016/6

2017/6

2018/6

2019/6

2020/6

2016/6

2017/6

2018/6

2019/6

2020/6

(百万円/Million)

2016/6

2017/6

2018/6

2019/6

2020/6

売上高

Net Sales

15,291

17,278

21,252

28,769

42,572

営業利益

Operating Income

4,428

4,901

5,685

7,941

15,062

営業利益率

Operating Income Margin

29.0%

28.4%

26.8%

27.6%

35.4%

(百万円/

製品別売上高 Net Sales by Product

(百万円/

地域別売上高 Net Sales by Region

Million

Million

50,000

50,000

40,000

40,000

30,000

30,000

20,000

20,000

10,000

10,000

0

0

2016/6

2017/6

2018/6

2019/6

2020/6

2016/6

2017/6

2018/6

2019/6

2020/6

サービス Services

その他 Other Products

半導体関連装置 Semiconductor-related products

日本 Japan

アジア地域 Asia

北米地域/欧州地域 North America/Europe

【製品別売上高 Net Sales by Product

(百万円/Million)

2016/6

2017/6

2018/6

2019/6

2020/6

半導体関連装置 Semiconductor-related products

10,034

12,280

15,498

19,762

34,372

その他

Other Products

2,868

1,953

1,802

4,409

2,150

サービス

Services

2,388

3,044

3,951

4,597

6,049

合計

Total

15,291

17,278

21,252

28,769

42,572

【地域別売上高 Net Sales by Region

(百万円/Million)

2016/6

2017/6

2018/6

2019/6

2020/6

日本

Japan

4,263

5,419

3,655

5,319

7,182

アジア地域

Asia

7,754

8,818

11,702

20,340

27,750

北米地域/欧州地域

North America/Europe

3,273

3,040

5,894

3,110

7,640

合計

Total

15,291

17,278

21,252

28,769

42,572

Copyright © Lasertec Corporation All Rights Reserved

受注高・受注残高 / たな卸資産の推移

9

Orders, Amount and Outstanding / Inventories

(百万円/

製品別受注高 Orders - Amount by Product

(百万円/

製品別受注残高 Orders - Outstanding by Product

¥million)

¥million

100,000

100,000

80,000

80,000

60,000

60,000

40,000

40,000

20,000

20,000

0

0

2016/6

2017/6

2018/6

2019/6

2020/6

2016/6

2017/6

2018/6

2019/6

2020/6

半導体関連装置 Semiconductor-related products

その他 Other Products

サービス Services

半導体関連装置 Semiconductor-related products

その他 Other Products

サービス Services

【製品別受注高 Orders - Amount by Product

(百万円/Million)

2016/6

2017/6

2018/6

2019/6

2020/6

半導体関連装置 Semiconductor-related products

10,826

19,208

34,826

37,338

70,157

その他

Other Products

2,027

2,962

3,909

2,329

3,490

サービス

Services

2,456

3,149

4,144

4,781

6,527

合計

Total

15,309

25,320

42,880

44,449

80,175

【製品別受注残高 Orders - Outstanding by Product

(百万円/Million)

2016/6

2017/6

2018/6

2019/6

2020/6

半導体関連装置 Semiconductor-related products

8,210

15,137

34,466

52,041

87,826

その他

Other Products

1,560

2,570

4,677

2,597

3,937

サービス

Services

440

545

737

921

1,398

合計

Total

10,211

18,253

39,881

55,560

93,163

たな卸資産 Inventories

(百万円/

たな卸資産回転率 Inventory Turnover

(回)

Million)

40,000

7

6

30,000

5

20,000

4

3

10,000

2

1

0

0

2016/6

2017/6

2018/6

2019/6

2020/6

(百万円/Million)

2016/6

2017/6

2018/6

2019/6

2020/6

たな卸資産

Inventories

5,617

7,800

12,432

18,758

34,062

たな卸資産回転率

Inventory Turnover

3.0

2.6

2.1

1.8

1.6

Copyright © Lasertec Corporation All Rights Reserved

連結 財務データ

10

Consolidated Financial Data

自己資本 Equity

(百万円/

資産合計 Total Assets

(百万円/

有利子負債計 Total Interest-Bearing Debt

自己資本比率 Equity Ratio

(%)

D/Eレシオ Debt Equity Ratio

(%)

Million)

Million)

100.0%

100,000

3,000

15.0%

80,000

2,500

12.5%

75.0%

60,000

2,000

10.0%

50.0%

1,500

7.5%

40,000

1,000

5.0%

20,000

25.0%

500

2.5%

0

0.0%

0

0.0%

2016/6

2017/6

2018/6

2019/6

2020/6

2016/6

2017/6

2018/6

2019/6

2020/6

(百万円/Million)

2016/6

2017/6

2018/6

2019/6

2020/6

資産合計

Total Assets

25,870

33,019

38,121

50,055

81,794

自己資本

Equity

21,786

24,457

27,032

31,086

39,154

自己資本比率

Equity Ratio

84.2%

74.1%

70.9%

62.1%

47.9%

(百万円/Million)

2016/6

2017/6

2018/6

2019/6

2020/6

有利子負債計

Total Interest-Bearing Debt

D/Eレシオ

Debt Equity Ratio

インタレスト・カバレッジ・レシオInterest Coverage Ratio

25,000

20,000

15,000

10,000

5,000

0 2016/6 2017/6 2018/6 2019/6 2020/6

-

-

-

-

-

-

-

-

-

-

総資産当期純利益率 ROA

(%)

自己資本当期純利益率 ROE

35.0%

30.0%

25.0%

20.0%

15.0%

10.0%

5.0%

0.0%

2016/6

2017/6

2018/6

2019/6

2020/6

(/Times)

2016/6

2017/6

2018/6

2019/6

2020/6

インタレスト・カバレッジ・レシオ Interest Coverage Ratio

-

25,040

-

-

-

(%)

2016/6

2017/6

2018/6

2019/6

2020/6

総資産当期純利益率

ROA

13.0%

12.0%

12.3%

13.5%

16.4%

自己資本当期純利益率

ROE

15.5%

15.3%

17.0%

20.4%

30.8%

Copyright © Lasertec Corporation All Rights Reserved

連結キャッシュ・フロー / フリーキャッシュフローの推移

11

Consolidated Cash Flows / Free Cash Flows Information

(百万円/

キャッシュ・フロー Cash Flows

Million

30,000

25,000

20,000

15,000

10,000

5,000

0

(5,000)

2016/6

2017/6

2018/6

2019/6

2020/6

(10,000)

財務活動によるキャッシュ・フロー合計 Total cash provided by (used in) financing activities

投資活動によるキャッシュ・フロー合計 Total cash provided by (used in) investing activities 営業活動によるキャッシュ・フロー合計 Total cash provided by (used in) operating activities

現金及び現金同等物の期末残高 Cash and cash equivalents at end of period

(百万円/

Million

フリー・キャッシュ・フロー Free Cash Flows

20,000

15,000

10,000

5,000

0

2016/6

2017/6

2018/6

2019/6

2020/6

【キャッシュ・フロー Cash Flows

フリー・キャッシュ・フロー Free cash flows

(百万円/Million)

2016/6

2017/6

2018/6

2019/6

2020/6

営業活動によるキャッシュ・フロー合計

Total cash provided by (used in) operating activities

3,083

3,495

2,916

5,800

16,486

投資活動によるキャッシュ・フロー合計

Total cash provided by (used in) investing activities

(368)

(612)

(684)

(994)

(2,038)

財務活動によるキャッシュ・フロー合計

Total cash provided by (used in) financing activities

(1,038)

(1,151)

(1,805)

(1,715)

(2,800)

現金及び現金同等物の期末残高

Cash and cash equivalents at end of period

7,967

9,736

10,107

13,120

24,660

フリー・キャッシュ・フロー

Free cash flows

2,714

2,883

2,232

4,805

14,448

Copyright © Lasertec Corporation All Rights Reserved

設備投資・減価償却・R&Dの推移と従業員データ

12

Capital Expenditures, Depreciation and R&D / Employees Data

(百万円/

設備投資額 Capital Expenditure

Million

減価償却費 Depreciation And Amortization

2,500

2,000

1,500

1,000

500

0 2016/6 2017/6 2018/6 2019/6 2020/6

(百万円/

研究開発費 R&D Expenses

Million

研究開発比率 R&D Expense Ratio

4,000

16.0%

3,500

14.0%

3,000

12.0%

2,500

10.0%

2,000

8.0%

1,500

6.0%

1,000

4.0%

500

2.0%

0

0.0%

2016/6

2017/6

2018/6

2019/6

2020/6

(百万円/Million)

2016/6

2017/6 2018/6

2019/6

2020/6

設備投資額

Capital Expenditure

383

911

920

2,097

1,103

減価償却費

Depreciation And Amortization

271

418

558

499

881

研究開発費

R&D Expenses

1,583

1,461

2,772

3,590

3,297

研究開発比率

R&D Expense Ratio

10.4%

8.5%

13.0%

12.5%

7.7%

(百万円/

一人当たり売上高 Net Sales per Head

全従業員数 Total Employees

Million)

一人当たり営業利益 Operating Income per Head

500

100

400

80

300

60

200

40

100

20

0

0

2016/6

2017/6

2018/6

2019/6

2020/6

2016/6

2017/6

2018/6

2019/6

2020/6

(/Number of Employees)

2016/6

2017/6

2018/6

2019/6

2020/6

全従業員数

Total Employees

264

288

332

375

448

(百万円/Million)

2016/6

2017/6

2018/6

2019/6

2020/6

一人当たり売上高

Net Sales per Head

57.9

59.9

64.0

76.7

95.0

一人当たり営業利益

Operating Income per Head

16.7

17.0

17.1

21.1

33.6

Copyright © Lasertec Corporation All Rights Reserved

株価・株式情報

13

Stock Information

(/)

2016/6

2017/6

2018/6

2019/6

2020/6

期末株価

Share price at term-end

311

782

1,560

2,135

10,160

1株当たり当期純利益

Net income per share

36

39

48

66

120

1株当たり純資産

Net assets per share

242

271

300

345

434

1株当たり配当金

Dividend per share

12.8

14.0

17.0

23.5

42.5

20201月1日付けで、普通株式1株につき2株の割合で株式分割を行いました。

そのため、20166月期の期首に当該株式分割が行われたと仮定して、上記株価及び金額を算定しています。

The company's common stock was split 2-for-1 effective as Jan 1, 2020.

The figures above are calculated as if the stock split took place at the beginning of the fiscal year ended June 2016.

大株主一覧(上位10社)

2020630日現在

持株数(千株)

持株比率

Major Shareholders (Top 10)

As of June 30, 2020

Number of Shares

Shareholding Ratio

日本マスタートラスト

The Master Trust Bank of

5,895

6.53%

信託銀行株式会社(信託口)

Japan,Ltd.

日本トラスティ・サービス

Japan Trustee Services Bank,

4,389

4.86%

信託銀行株式会社(信託口)

Ltd.

内山 靖子

Yasuko Uchiyama

4,006

4.44%

内山 洋

Hiroshi Uchiyama

3,483

3.86%

株式会社三菱UFJ銀行

MUFG Bank, Ltd.

3,008

3.33%

内山 秀

Shu Uchiyama

2,788

3.09%

前田 せつ子

Setsuko Maeda

2,587

2.86%

NORTHAN TRUST CO.AVFCRE

NorthanTrust Co.

2,461

2.72%

FIDELITY FUNDS

日本トラスティ・サービス

Japan Trustee Services Bank,

1,809

2.00%

信託銀行株式会社(信託口5

Ltd.

STATE STREET BANK WEST CLIENT-

State Street Bank

1,509

1.67%

TREATY 505234

(注) 1. 当社は、自己株式を4,108千株保有しておりますが、上記大株主からは除外しております。また、持株比率は、 自己株式を控除して計算しております。

. 持株・持株比率は、表示単位未満を切り捨てて表示しております。

  1. The company holds 4,108 thousand shares of its own as treasury stock, which is not on the list of major shareholders above. The figures of shareholding ratio are calculated using the number of outstanding shares excluding the treasury stock .
  2. The figures of number of shares are rounded down to the nearest thousand.

The figures of shareholding ratio are rounded down to the second decimal place.

Copyright © Lasertec Corporation All Rights Reserved

株価・株式情報

14

Stock Information

株主構成

株主数 Number of shareholders

株式数 Shares

Composition of Shareholders by Category

2019/6

2020/6

2019/6

2020/6

金融機関

Financial institutions

38

0.6%

45

0.2%

9,724,600

20.6%

21,043,300

22.3%

金融機関

Financial institutions

銀行

Bank

1

0.0%

2

0.0%

1,504,000

3.2%

3,013,000

3.2%

信託銀行

Trust banks

17

0.3%

19

0.1%

8,049,600

17.1%

17,574,800

18.6%

生命保険会社

Life insurance companies

19

0.3%

17

0.1%

107,400

0.2%

195,200

0.2%

損害保険会社

Non-life insurance companies

0

0.0%

0

0.0%

0

0.0%

0

0.0%

その他金融機関

Other financial institutions

1

0.0%

7

0.0%

63,600

0.1%

260,300

0.3%

金融商品取引業者

Financial instruments business operators

46

0.7%

58

0.2%

700,300

1.5%

1,669,669

1.8%

その他の法人

Other companies

54

0.8%

211

0.9%

1,246,402

2.6%

2,379,403

2.5%

外国法人等

Foreign institutions and others

245

3.7%

637

2.6%

17,342,621

36.8%

31,926,038

33.9%

個人・その他

Japanese individuals and other

6,215

94.2%

23,467

96.1%

16,075,081

34.1%

33,159,504

35.2%

自己名義株式

Treasury stock

1

0.0%

1

0.0%

2,054,196

4.4%

4,108,486

4.4%

合計

Total

6,599

100.0%

24,419

100.0%

47,143,200

100.0%

942,864,000

100.0%

Copyright © Lasertec Corporation All Rights Reserved

レーザーテック株式会社

222-8552

神奈川県横浜市港北区新横浜2-10-1 Tel045-478-7111(代)Fax045-476-1061https://www.lasertec.co.jp/

経営企画室

Tel045-478-7127

Lasertec Corporation 2-10-1Shin-yokohama,Kohoku-ku, Yokohama City, 222-8552 Japan Phone+81-45-478-7111Head Office Fax+81-45-476-1061 https://www.lasertec.co.jp/

Corporate Planning Office

Phone+81-45-478-7127

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Lasertec Corporation published this content on 05 August 2020 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 05 August 2020 07:16:09 UTC