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4073 Stock Chart & Stats
¥584.00
-¥1.00(-0.18%)
At close: 4:00 PM EST
¥584.00
-¥1.00(-0.18%)
Day’s Range― - ―
52-Week Range¥414.00 - ¥878.00
Previous CloseN/A
Volume5.60K
Average Volume (3M)31.02K
Market Cap
¥1.26B
Enterprise Value¥2.39K
Total Cash (Recent Filing)¥383.26M
Total Debt (Recent Filing)¥1.48B
Price to Earnings (P/E)―
Beta0.67
Next Earnings
Aug 14, 2026EPS EstimateN/A
Next Dividend Ex-DateN/A
Dividend YieldN/A
Share Statistics
EPS (TTM)-30.91
Shares Outstanding2,539,060
10 Day Avg. Volume29,700
30 Day Avg. Volume31,023
Financial Highlights & Ratios
PEG Ratio0.03
Price to Book (P/B)5.45
Price to Sales (P/S)0.80
P/FCF Ratio-10.75
Enterprise Value/Market CapN/A
Enterprise Value/RevenueN/A
Enterprise Value/Gross ProfitN/A
Enterprise Value/EbitdaN/A
Forecast
1Y Price TargetN/A
Price Target UpsideN/A
Rating ConsensusN/A
Number of Analyst Covering0
EPS Forecast (FY)N/A
Revenue Forecast (FY)N/A
Bulls Say, Bears Say
Bulls Say
Revenue Rebound And Growth TrendA renewed revenue increase in FY2025 indicates recovering end-market demand and the company's ability to win business. That rebound, supported by multi-year growth metrics, suggests the core product/service retains commercial traction important for restoring margins and cash generation over months.
Historic Episodes Of Strong ProfitabilityPrior multi-year profitability demonstrates the business model can produce healthy margins when execution and market conditions align. This implies operating leverage and a feasible path back to sustainable earnings if revenue growth continues and cost structure is managed, a durable capability.
Lean Operating FootprintA small workforce for a software-infrastructure firm points to a lean cost base and potential scalability without proportionate headcount increases. This structural agility can support margin recovery and faster break-even as revenues rise, reducing fixed-cost drag over the medium term.
Bears Say
Markedly Higher LeverageSubstantially increased leverage severely limits financial flexibility and raises refinancing and interest-service risk. With a much heavier debt load and a thinner equity base, the firm is more exposed to prolonged weak operating performance and constrained in funding investments or absorbing shocks.
Negative Operating And Free Cash FlowThe shift back to cash burn after a positive year raises durable execution risk: ongoing negative operating and free cash flow forces reliance on external financing, heightens liquidity risk given higher debt, and undermines the company's ability to self-fund growth or weather cyclical downswings.
Margin Compression And Volatile ProfitabilitySignificant gross- and net-margin deterioration signals pricing pressure, higher delivery costs, or mix shift that materially erode earnings power. Coupled with historical profit volatility, margins are less reliable, making cash generation and strategic planning more uncertain over the medium term.
4073 FAQ
What was Global Communication Planning Co.Ltd.’s price range in the past 12 months?
Global Communication Planning Co.Ltd. lowest stock price was ¥414.00 and its highest was ¥878.00 in the past 12 months.
What is Global Communication Planning Co.Ltd.’s market cap?
Global Communication Planning Co.Ltd.’s market cap is ¥1.26B.
When is Global Communication Planning Co.Ltd.’s upcoming earnings report date?
Global Communication Planning Co.Ltd.’s upcoming earnings report date is Aug 14, 2026 which is in 18 days.
How were Global Communication Planning Co.Ltd.’s earnings last quarter?
Global Communication Planning Co.Ltd. released its earnings results on May 15, 2026. The company reported ¥24.684 earnings per share for the quarter, missing the consensus estimate of N/A by N/A.
Is Global Communication Planning Co.Ltd. overvalued?
According to Wall Street analysts Global Communication Planning Co.Ltd.’s price is currently Overvalued.
Does Global Communication Planning Co.Ltd. pay dividends?
Global Communication Planning Co.Ltd. pays a Notavailable dividend of ¥7.968 which represents an annual dividend yield of N/A. See more information on Global Communication Planning Co.Ltd. dividends here
What is Global Communication Planning Co.Ltd.’s EPS estimate?
Global Communication Planning Co.Ltd.’s EPS estimate for its next earnings report is not yet available.
How many shares outstanding does Global Communication Planning Co.Ltd. have?
Global Communication Planning Co.Ltd. has 2,539,060 shares outstanding.
What happened to Global Communication Planning Co.Ltd.’s price movement after its last earnings report?
Global Communication Planning Co.Ltd. reported an EPS of ¥24.684 in its last earnings report, missing expectations of N/A. Following the earnings report the stock price went down -4.255%.
Which hedge fund is a major shareholder of Global Communication Planning Co.Ltd.?
Currently, no hedge funds are holding shares in JP:4073
What is the TipRanks Smart Score and how is it calculated?
Smart Score combines eight research factors - such as analyst recommendations, hedge fund trends, and technical indicators - to measure a stock’s outlook. These signals are unified into a single score that reflects bullish or bearish momentum. See detailed methodology
Company Description
Global Communication Planning Co.Ltd.
Global Communication Planning Co.,Ltd. specializes in delivering credit card processing solutions. Its services encompass "card crew plus," a proprietary cashless payment system, alongside the provision of various payment terminals and tailored contract development. Additionally, the company furnishes payment Application Service Provider (ASP) capabilities and operational support, as well as health management assistance. This Japanese corporation was established in 1995 and maintains its headquarters in Sakura.
Technical Analysis
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