Basic policy
In Medium-term Business Plan FY2025-2029, the Company has adopted a policy of distributing profits linked to business performance, as its investment strategy is to strengthen shareholder return. We will continually pay stable dividends, aiming for a consolidated dividend payout ratio of 50% or more, total return ratio of 70% or more. We will also actively consider repurchasing treasury shares to improve capital efficiency in the future. We will make prudent decisions regarding the specific implementation of acquisiton of treasury stock, taking into consideration our financial condition and the market environment.