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基本データ
【業種】電気機器
【市場】スタンダード(内国株式)
【決算期】9月
【会社設立】1982.6
【上場】2002.12
【直近決算日】2024-05-15
【決算予定日】

【時価総額】21億1500万円
【予想PER】 倍
【PBR】2.59 倍
【自己資本比率】70.8 %
業績予想(通期のみ)
年度タイプ日付売上高営業利益経常利益純利益
2022-09新規2021-11-125079172130112
修正2022-07-082066(↓)-1231(↓)-1245(↓)-1265(↓)
2023-09新規2022-11-14
2024-09新規2023-11-14
順位名前住所株数割合
1BNP PARIBAS LONDON BRANCH FOR PRIME BROKERAGE CLEARANCE ACC FOR THIRD PARTY(常任代理人 香港上海銀行東京支店)10 HAREWOOD AVENUE LONDON NW1 6AA(東京都中央区日本橋3丁目11番1号)30,688,0004.64%
2株式会社SBI証券東京都港区六本木1丁目6番1号18,709,0002.83%
3楽天証券株式会社東京都港区南青山2丁目6番21号17,834,0002.69%
4松井証券株式会社東京都千代田区麹町1丁目4番地7,895,0001.19%
5藤 井 和 也兵庫県明石市6,000,0000.91%
6平 野 源 三埼玉県さいたま市緑区5,335,0000.80%
7岡 田 教 男茨城県つくば市4,888,0000.74%
8中 澤 和 光群馬県高崎市4,206,0000.63%
9大 原 洋 子京都府京都市右京区3,824,0000.58%
10井 上   剛東京都中央区3,500,0000.53%

提出日報告義務日提出者発表前発表後pdf
2024-06-042024-05-28エボ ファンド8.23%2.44%pdf
2024-05-312024-05-24エボ ファンド5.75%8.23%pdf
2024-05-282024-05-21エボ ファンド6.95%5.75%pdf
2024-05-232024-05-16エボ ファンド8.08%6.95%pdf
2024-05-202024-05-13エボ ファンド9.09%8.08%pdf
2024-05-152024-05-08エボ ファンド10.30%9.09%pdf
2024-05-082024-04-26エボ ファンド5.80%10.30%pdf
2024-05-072024-04-25エボ ファンド7.36%5.80%pdf
2024-05-012024-04-23エボ ファンド6.15%7.36%pdf
2024-04-262024-04-19エボ ファンド7.35%6.15%pdf
2024-04-192024-04-12エボ ファンド8.40%7.35%pdf
2024-04-152024-04-08エボ ファンド9.73%8.40%pdf
2024-04-122024-04-05エボ ファンド10.94%9.73%pdf
2024-04-082024-04-01エボ ファンド7.45%10.94%pdf
2024-04-052024-03-29エボ ファンド16.42%7.45%pdf
2024-04-032024-03-27エボ ファンド17.51%16.42%pdf
2024-03-282024-03-21エボ ファンド18.67%17.51%pdf
2024-03-262024-03-18エボ ファンド19.92%18.67%pdf
2024-03-222024-03-14エボ ファンド21.08%19.92%pdf
2024-03-182024-03-11エボ ファンド16.67%21.08%pdf
2024-03-152024-03-08エボ ファンド6.98%16.67%pdf
2024-03-142024-03-07エボ ファンド7.98%6.98%pdf
2024-03-132024-03-06エボ ファンド0.00%7.98%pdf
2024-03-082024-03-01エボ ファンド7.73%5.90%pdf
2024-03-082024-03-04エボ ファンド5.90%3.30%pdf
2024-03-072024-02-29エボ ファンド8.11%7.73%pdf
2024-03-062024-02-28エボ ファンド12.47%8.11%pdf
2024-03-052024-02-27Evo Fund11.01%12.47%pdf
2024-03-042024-02-26Evo Fund13.32%11.01%pdf
2024-02-292024-02-21Evo Fund14.96%13.32%pdf
2024-02-282024-02-20Evo Fund10.14%14.96%pdf
2024-02-272024-02-19Evo Fund13.93%10.14%pdf
2024-02-222024-02-15Evo Fund12.23%13.93%pdf
2024-02-212024-02-14Evo Fund13.86%12.23%pdf
2024-02-202024-02-13Evo Fund15.16%13.86%pdf
2024-02-192024-02-09Evo Fund16.45%15.16%pdf
2024-02-162024-02-08Evo Fund17.94%16.45%pdf
2024-02-142024-02-06Evo Fund19.52%17.94%pdf
2024-02-132024-02-05Evo Fund7.43%19.52%pdf
2024-02-082024-02-01Evo Fund8.65%7.43%pdf
2024-02-072024-01-31Evo Fund14.35%8.65%pdf
2024-02-062024-01-30Evo Fund17.33%14.35%pdf
2024-02-052024-01-29Evo Fund18.45%17.33%pdf
2024-02-022024-01-26Evo Fund0.00%18.45%pdf
2024-02-012024-01-25Evo Fund5.80%4.11%pdf
2024-01-312024-01-24Evo Fund0.00%5.80%pdf
2024-01-302024-01-23Evo Fund5.75%4.61%pdf
2024-01-262024-01-19Evo Fund0.00%5.75%pdf
2024-01-252024-01-18Evo Fund9.87%4.26%pdf
2024-01-242024-01-17Evo Fund22.53%9.87%pdf
2024-01-232024-01-16Evo Fund24.47%22.53%pdf
2024-01-222024-01-15Evo Fund0.00%24.07%pdf
2023-12-272023-12-20Evo Fund22.52%1.62%pdf
2023-12-122023-12-05Evo Fund23.62%22.52%pdf
2023-12-072023-11-30Evo Fund24.79%23.62%pdf
2023-10-122023-10-04Evo Fund25.45%24.79%pdf
2023-10-052023-09-28Evo Fund26.37%25.45%pdf
2023-10-032023-09-26Evo Fund27.46%26.37%pdf
2023-09-192023-09-11Evo Fund28.41%27.46%pdf
2023-09-132023-09-06Evo Fund29.20%28.41%pdf
2023-09-072023-08-31Evo Fund28.99%29.20%pdf
2023-09-052023-08-29Evo Fund29.76%28.99%pdf
2023-08-222023-08-15Evo Fund34.73%29.76%pdf
2023-08-142023-08-04Evo Fund35.46%34.73%pdf
2023-08-032023-07-27Evo Fund34.18%35.46%pdf
2023-08-022023-07-26Evo Fund35.37%34.18%pdf
2023-07-192023-07-11Evo Fund36.10%35.37%pdf
2023-07-042023-06-27Evo Fund36.91%36.10%pdf
2023-06-262023-06-19Evo Fund37.70%36.91%pdf
2023-06-122023-06-05Evo Fund38.89%37.70%pdf
2023-06-052023-05-29Evo Fund39.60%38.89%pdf
2023-05-172023-05-10Evo Fund38.37%39.60%pdf
2023-05-122023-05-02Evo Fund39.03%38.37%pdf
2023-04-212023-04-14Evo Fund42.32%39.03%pdf
2023-04-102023-04-03エボ ファンド(Evo Fund)41.60%42.32%pdf
2023-03-282023-03-20Evo Fund42.29%41.60%pdf
2023-03-162023-03-09エボ ファンド(Evo Fund)42.99%42.29%pdf
2023-03-082023-03-01Evo Fund44.42%42.99%pdf
2023-03-022023-02-22Evo Fund43.13%44.42%pdf
2023-02-282023-02-20Evo Fund41.80%43.13%pdf
2023-02-272023-02-17Evo Fund0.00%41.80%pdf
2023-02-242023-02-16Evo Fund8.40%2.23%pdf
2023-02-212023-02-14Evo Fund8.41%8.40%pdf
2023-02-142023-02-07Evo Fund10.30%8.41%pdf
2023-02-072023-01-31Evo Fund9.93%10.30%pdf
2023-02-032023-01-27Evo Fund24.68%9.93%pdf
2023-01-242023-01-17Evo Fund24.14%24.68%pdf
2023-01-162023-01-06Evo Fund24.94%24.14%pdf
2022-12-202022-12-13Evo Fund25.52%24.94%pdf
2022-12-012022-11-24Evo Fund25.55%25.52%pdf
2022-11-082022-10-31Evo Fund0.00%25.55%pdf
2022-11-072022-10-28Evo Fund20.49%3.48%pdf
2022-10-122022-10-04Evo Fund19.60%20.49%pdf
2022-09-282022-09-20Evo Fund20.62%19.60%pdf
2022-09-272022-09-16Evo Fund21.15%20.62%pdf
2022-08-292022-08-22Evo Fund21.86%21.15%pdf
2022-08-092022-08-02Evo Fund22.71%21.86%pdf
2022-08-032022-07-27Evo Fund23.83%22.71%pdf
2022-08-012022-07-25Evo Fund24.06%23.83%pdf
2022-07-292022-07-22Evo Fund25.43%24.06%pdf
2022-07-052022-06-28Evo Fund25.70%25.43%pdf
2022-06-282022-06-21Evo Fund26.33%25.70%pdf
2022-06-202022-06-13Evo Fund26.05%26.33%pdf
2022-06-172022-06-10エボ ファンド(Evo Fund)27.01%26.05%pdf
2022-06-132022-06-06Evo Fund27.47%27.01%pdf
2022-06-082022-06-01Evo Fund28.28%27.47%pdf
2022-06-032022-05-27Evo Fund28.51%28.28%pdf
2022-06-022022-05-26Evo Fund29.02%28.51%pdf
2022-05-302022-05-23Evo Fund28.58%29.02%pdf
2022-05-272022-05-20Evo Fund29.75%28.58%pdf
2022-05-122022-05-02Evo Fund29.97%29.75%pdf
2022-04-272022-04-20Evo Fund30.67%29.97%pdf
2022-04-122022-04-05Evo Fund30.23%30.67%pdf
2022-04-112022-04-04Evo Fund0.00%30.23%pdf
2021-09-242021-09-15Evo Fund5.06%4.14%pdf
2021-09-072021-08-31Evo Fund6.25%5.06%pdf
2021-08-262021-08-19Evo Fund6.62%6.25%pdf
2021-08-202021-08-13Evo Fund7.57%6.62%pdf
2021-08-122021-08-04Evo Fund7.91%7.57%pdf
2021-08-102021-08-02Evo Fund9.50%7.91%pdf
2021-07-302021-07-21Evo Fund9.99%9.50%pdf
2021-07-282021-07-19Evo Fund10.94%9.99%pdf
2021-07-202021-07-13Evo Fund11.80%10.94%pdf
2021-07-072021-06-30Evo Fund11.76%11.80%pdf
2021-07-062021-06-29Evo Fund12.74%11.76%pdf
2021-06-282021-06-21Evo Fund13.02%12.74%pdf
2021-06-242021-06-17Evo Fund13.99%13.02%pdf
2021-06-152021-06-08Evo Fund14.77%13.99%pdf
2021-06-082021-06-01Evo Fund15.67%14.77%pdf
2021-05-312021-05-24Evo Fund16.35%15.67%pdf
2021-05-252021-05-18Evo Fund17.34%16.35%pdf
2021-05-172021-05-10Evo Fund18.07%17.34%pdf
2021-05-072021-04-26Evo Fund18.09%18.07%pdf
2021-04-272021-04-20Evo Fund18.66%18.09%pdf
2021-04-162021-04-09Evo Fund19.59%18.66%pdf
2021-03-232021-03-16Evo Fund19.83%19.59%pdf
2021-03-172021-03-10Evo Fund20.85%19.83%pdf
2021-03-112021-03-04Evo Fund21.88%20.85%pdf
2021-03-082021-03-01Evo Fund22.22%21.88%pdf
2021-03-052021-02-26Evo Fund23.52%22.22%pdf
2021-02-172021-02-09Evo Fund25.12%23.52%pdf
2021-02-162021-02-08Evo Fund26.00%25.12%pdf
2021-02-102021-02-03Evo Fund26.77%26.00%pdf
2021-02-092021-02-02Evo Fund26.54%26.77%pdf
2021-02-082021-02-01Evo Fund27.12%26.54%pdf
2021-02-022021-01-26Evo Fund28.02%27.12%pdf
2021-01-282021-01-21Evo Fund28.30%28.02%pdf
2021-01-262021-01-19Evo Fund28.69%28.30%pdf
2021-01-212021-01-14Evo Fund28.61%28.69%pdf
2021-01-192021-01-12Evo Fund29.69%28.61%pdf
2021-01-142021-01-06Evo Fund30.34%29.69%pdf
2021-01-082020-12-28Evo Fund29.12%30.34%pdf
2021-01-062020-12-24Evo Fund29.88%29.12%pdf
2020-12-142020-12-07Evo Fund0.00%29.88%pdf
2020-07-012020-06-24Evo Fund7.78%4.92%pdf
2020-06-302020-06-23Evo Fund10.50%7.78%pdf
2020-06-292020-06-22Evo Fund11.32%10.50%pdf
2020-06-222020-06-15Evo Fund12.44%11.32%pdf
2020-06-162020-06-09Evo Fund14.96%12.44%pdf
2020-06-122020-06-05Evo Fund16.01%14.96%pdf
2020-06-092020-06-01Evo Fund17.24%16.08%pdf
2020-06-092020-06-02Evo Fund16.08%16.01%pdf
2020-06-012020-05-25Evo Fund18.20%17.24%pdf
2020-05-212020-05-14Evo Fund18.15%18.20%pdf
2020-05-202020-05-13Evo Fund19.55%18.15%pdf
2020-05-192020-05-12Evo Fund20.19%19.55%pdf
2020-05-182020-05-11Evo Fund21.43%20.19%pdf
2020-05-142020-05-07Evo Fund21.31%21.43%pdf
2020-05-132020-05-01Evo Fund22.44%21.31%pdf
2020-04-172020-04-10Evo Fund22.96%22.44%pdf
2020-04-162020-04-09Evo Fund23.76%22.96%pdf
2020-04-152020-04-08Evo Fund25.08%23.76%pdf
2020-04-132020-04-06Evo Fund25.88%25.08%pdf
2020-04-062020-03-30Evo Fund5.41%25.88%pdf
2020-04-022020-03-27Evo Fund5.63%5.41%pdf
2020-03-122020-03-05Oakキャピタル株式会社16.90%0.00%pdf
2020-02-062020-01-30Evo Fund0.00%5.63%pdf
2020-01-172020-01-09Evo Fund5.07%3.98%pdf
2019-12-122019-12-05Evo Fund0.00%5.07%pdf
2019-12-112019-12-04Evo Fund5.19%4.15%pdf
2019-11-062019-10-29Oakキャピタル株式会社18.32%16.90%pdf
2019-10-282019-10-18Oakキャピタル株式会社19.48%18.32%pdf
2019-10-232019-10-15Evo Fund0.00%5.19%pdf
2019-10-182019-10-10Oakキャピタル株式会社20.54%19.48%pdf
2019-10-092019-10-02Oakキャピタル株式会社21.71%20.54%pdf
2019-09-192019-09-11Oakキャピタル株式会社23.02%21.71%pdf
2019-08-232019-08-16Evo Fund6.41%4.90%pdf
2019-08-052019-07-29Oakキャピタル株式会社24.22%23.02%pdf
2019-08-052019-07-29Evo Fund0.00%6.41%pdf
2019-07-182019-07-10Evo Fund5.42%4.24%pdf
2019-07-172019-07-09Oakキャピタル株式会社25.91%24.22%pdf
2019-07-092019-07-02Oakキャピタル株式会社27.07%25.91%pdf
2019-06-122019-06-05Evo Fund0.00%5.42%pdf
2019-06-112019-06-04Evo Fund5.65%4.51%pdf
2019-05-272019-05-20Evo Fund6.77%5.65%pdf
2019-05-082019-04-23Evo Fund0.00%6.77%pdf