Sumitomo Forestry Co., Ltd.

TSE:1911.T

6770 (JPY) • At close September 19, 2024
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) JPY.

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Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 174,771128,752139,95785,85092,77482,421105,865111,50683,49981,75675,69456,15564,87055,61852,71423,85439,59147,38525,18844,720
Kortetermijnbeleggingen 7,4633,1773,3033,2043,6585,3045,0106,50034,00026,00043,00011,00015,00020,00019,00017,19415,0003,00031,0455,000
Liquide middelen en kortetermijnbeleggingen 182,234131,929143,26089,05496,43287,725110,875118,006117,499107,756118,69467,15579,87075,61871,71441,04854,59150,38556,23349,720
Nettovorderingen 298,517255,460279,744246,640224,634144,882199,374206,644213,187208,995229,326218,797181,084173,083157,192161,041173,258223,721145,472197,083
Voorraad 704,306594,573432,656317,455294,694294,223246,003175,953149,622125,71794,00177,22784,25481,74975,98372,21865,61058,91344,70348,112
Overige vlottende activa 50,97190,80136,25224,81320,29916,40115,84913,11211,1617,7524,8344,2993,7222,9892,8833,9303,5554,0531,6585,516
Totaal vlottende activa 1,236,0281,072,763891,912677,962636,059609,820572,101513,715491,469450,220446,855367,478348,930333,439307,772278,237297,014337,072248,066300,431
Niet-vlottende activa:
Materiële vaste activa, netto 226,274198,802184,183185,948179,446170,000153,113145,798108,700109,046103,73385,90085,64187,60288,87088,14679,92174,05065,10673,933
Goodwill 45,8925,9114,5596,5567,58812,65115,76212,1898,2585,9813,1227379242013097451,0259271,4341,532
Immateriële activa 18,46616,96516,11215,07014,88613,90013,30911,2299,82010,3058,5708,4207,4666,8676,3285,6945,3995,3865,4545,575
Goodwill en immateriële activa 64,35822,87620,67121,62622,47426,55129,07123,41818,07816,28611,6929,1578,3907,0686,6376,4396,4246,3136,8887,107
Langetermijnbeleggingen 245,007200,395178,133172,058134,187157,159126,46085,30640,87549,32222,49948,58833,48728,45832,09417,87832,89068,5849,44066,413
Belastingvorderingen 8,3127,7367,7736,8355,9834,9453,2793,2762,5732,1961,7971,3431,2511,3541,1381,7611,5991,1011,1931,242
Overige niet-vlottende activa 32,74335,02631,55426,72326,6192,50019,65922,10447,49338,46958,62135,50725,79731,49633,22735,27732,88213,01639,99115,067
Totaal niet-vlottende activa 576,694464,835422,314413,190368,709361,155331,582279,902217,719215,319198,342180,495154,566155,978161,966149,501153,716163,064122,618163,762
Totaal activa 1,812,7221,537,5981,314,2261,091,1521,004,768970,976903,682793,617709,188665,538645,197547,973503,496489,417469,738427,738450,730500,136370,684464,193
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 269,007209,106232,230191,831192,460194,142181,853182,492176,444167,563191,430169,623155,425150,161147,582126,947148,198175,437115,942160,703
Kortlopende schulden 95,38258,11325,86161,11139,89862,09061,59038,73634,27733,48637,90227,06221,97819,68313,13811,13317,40516,9767,35113,219
Belastingschulden 8,1525,1376,2481,9374,8624,9024,8305,5117,5724,6178,1025,5895,7496,9092,2051,3073,0124,6024,1971,596
Uitgestelde opbrengsten 86,916077,42759,26861,81176,18271,10569,44570,45064,15176,29660,12055,78155,22141,92044,14052,46757,69747,00047,594
Overige kortlopende verplichtingen 136,684226,89185,48568,083130,534117,54042,97933,25932,08326,91020,50219,33821,23718,70916,79414,31714,78810,50910,19410,878
Totaal kortlopende verplichtingen 587,989494,110421,003380,293362,892373,772357,527323,932313,254292,110326,130276,143254,421243,774219,434196,537232,858260,619180,487232,394
Langlopende verplichtingen:
Langetermijnschulden 310,498290,210276,903241,822228,593186,795139,040125,08284,79169,88355,07442,16745,94549,54653,64837,9948,4118,7638,2298,848
Uitgestelde opbrengsten niet-vlottend 17,991019,25820,35524,07721,10687,40019,74924,72714,11611,97612,05312,3938,5886,86019,44116,11212,38313,91515,875
Uitgestelde belastingverplichtingen niet-vlottend 34,61235,40623,04418,5786,26211,47417,00311,5375,02212,24410,80710,1987,3168,7829,3582,9896,37715,4002,25915,136
Overige niet-vlottende verplichtingen 56,32635,31833,92930,64749,95645,445-42,92717,97317,26716,40315,13214,16114,08615,61717,50814,58513,88314,11612,77313,610
Totaal niet-vlottende verplichtingen 401,436360,934353,134311,402284,811243,714200,516174,341131,807112,64692,98978,57979,74082,53387,37475,00944,78350,66237,17653,469
Totaal passiva 989,425855,044774,137691,695647,703617,486558,043498,273445,061404,756419,119354,722334,161326,307306,808271,546277,641311,281217,663285,863
Eigen vermogen:
Preferente aandelen 00000000000000000000
Gewone aandelen 55,08850,07450,06432,80332,78632,75232,67227,67227,67227,67227,67227,67227,67227,67227,67227,67227,67227,67227,67227,672
Ingehouden winsten 524,297447,216359,641283,416255,545241,427219,562196,511166,762161,286146,654127,489114,223107,584105,066105,346107,198108,91990,80799,319
Overige gereserveerde algehele resultaten 141,0920000000000000000000
Overige totale aandeelhoudersvermogen 34,012130,31686,02351,36334,28644,27759,53250,80949,06256,79244,35137,33027,23827,63029,85023,03938,05051,13934,02148,215
Totaal eigen vermogen van aandeelhouders 754,489627,606495,728367,582322,617318,456311,766274,992243,496245,750218,677192,491169,133162,886162,588156,057172,920187,730152,500175,206
Totaal eigen vermogen 823,296627,606495,728367,582357,065353,490311,766274,992243,496245,750218,677192,491169,133162,886162,588156,057172,920187,730152,500175,206
Totaal passiva en aandeelhoudersvermogen 1,812,7211,537,5981,314,2261,091,1521,004,768970,976903,682793,617709,188665,538645,197547,973503,496489,417469,738427,738450,730500,136370,684464,193