M&A Capital Partners×Strike Group
Different ways of making money, on the same scale.
Same yardstick
| Metric | M&A Capital PartnersFY ending Sep 2025 | Strike GroupFY ending Sep 2025 |
|---|---|---|
| Revenue | ¥22.4B | ¥20.3B |
| COGS ratio | 37.0% | 41.3% |
| Operating margin | 31.7% | 31.2% |
| Net margin | 22.6% | 23.2% |
| FCF margin | 42.1% | 17.7% |
Highlighted = best value for that metric
Compare industry percentiles by axis
Each row uses the same 0–100 scale. Dots show each company's rank within its primary industry.
- M&A Capital PartnersPrimary industry: M&A Advisory
- Strike GroupPrimary industry: M&A Advisory
CompanyRank
Revenue growth
- M&A Capital PartnersN/A
- Strike Group756 peers
- M&A Capital Partners
Profitability
- M&A Capital Partners83.39 peers
- Strike Group72.29 peers
- M&A Capital Partners
Cash conversion
- M&A Capital Partners64.37 peers
- Strike Group35.77 peers
- M&A Capital Partners
Efficiency
- M&A Capital Partners5.69 peers
- Strike Group61.19 peers
- M&A Capital Partners
Financial strength
- M&A Capital PartnersN/A
- Strike GroupN/A
- M&A Capital Partners
Each dot is a company's percentile within its primary industry; peer groups may differ. Missing axes are labeled as unavailable. No combined score is calculated, and industry rank is not an investment recommendation.
Money flows side by side
Chart height is proportional to revenue.
M&A Capital Partners¥22.4B · keeps ¥32 per ¥100
Strike Group¥20.3B · keeps ¥31 per ¥100
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