The Torigoe Co., Ltd.

TSE:2009.T

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

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

2023202220212020201920182017201620152014201320122011201020092008
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 8,273.1778,482.4079,876.7487,434.6489,158.0189,456.1337,143.5618,818.0016,069.4286,422.7016,692.9796,553.7375,107.9657,885.4278,591.1325,518.411
Kortetermijnbeleggingen 2,324.1272,261.52,261.52,961.52,961.52,961.52,961.53,161.54,542.54,242.54,542.54,777.4984,477.4984,377.4962,427.4882,027.482
Liquide middelen en kortetermijnbeleggingen 10,597.30410,743.90712,138.24810,396.14812,119.51812,417.63310,105.06111,979.50110,611.92810,665.20111,235.47911,331.2359,585.46312,262.92311,018.627,545.893
Nettovorderingen 4,074.6944,053.3223,704.5233,573.0513,546.4713,745.4183,706.8373,305.7743,491.6563,496.2573,529.5573,263.1233,545.3553,265.3353,603.2374,111.937
Voorraad 6,862.2926,795.5695,405.9135,293.2914,939.4414,511.5084,185.5323,679.5084,629.9724,036.3133,907.143,000.2373,767.3532,705.3982,280.8193,621.153
Overige vlottende activa 133.748116.672114.319201.093144.226126.552129.934109.305118.61138.08596.992123.032185.182128.899105.517430.783
Totaal vlottende activa 21,668.03821,709.4721,363.00319,463.58320,749.65620,801.11118,127.36419,074.08818,852.16618,335.85618,769.16817,717.62717,083.35318,362.55517,008.19315,709.766
Niet-vlottende activa:
Materiële vaste activa, netto 10,219.0210,066.01710,202.05410,270.7729,725.5179,877.51110,744.4329,806.2529,213.9749,181.918,509.6188,224.9318,323.4898,463.8218,683.3068,937.085
Goodwill 0.24300000.6730.864000000000
Immateriële activa 358236.777243.786307.898171.5322327611.34313.11824.50484.585157.417238.452265.783340.937101.146
Goodwill en immateriële activa 358.243236.777243.786307.898171.53223.673276.86411.34313.11824.50484.585157.417238.452265.783340.937101.146
Langetermijnbeleggingen 9,946.1927,164.615,776.7555,781.3396,884.5446,447.5018,096.7676,796.4578,542.7136,834.1592,920.064133.031-916.043-2,383.305-260.61836.417
Belastingvorderingen 225.9216.6330.1310.1160.592,961.50.1970.5820.554.2412.2027.326.035449.38433.978336.424
Overige niet-vlottende activa 107.4152,399.622,427.6243,159.7083,036.79175.9563,074.3843,276.2394,689.1884,340.8584,644.4154,889.5624,588.2284,500.1952,544.2052,144.908
Totaal niet-vlottende activa 20,856.7919,883.65718,650.3519,519.83319,818.97219,586.14122,192.64419,890.87322,459.54320,385.67216,160.88413,412.26112,240.16111,295.87411,741.80811,555.98
Totaal activa 42,524.82841,593.1340,013.35538,983.41740,568.63140,387.25440,320.00838,964.96141,311.70938,721.52834,930.05231,129.88829,323.51429,658.42928,750.00127,265.746
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,353.811,191.0821,225.8071,089.0091,101.2811,332.451,175.9471,372.6091,187.8141,194.9141,249.722809.4661,508.7131,105.491478.688561.589
Kortlopende schulden 2,218.4851,546.2371,464.9922,232.9441,487.9441,504.9442,352.9441,468.721,484.722,250.721,407.0041,3872,223.61,855.51,825.51,800.5
Belastingschulden 260.385340.543253.015157.034243.066256.243293.572391.584106.814285.109438.915377.845406.63418.624555.617963.283
Uitgestelde opbrengsten 260.3850271.049160.784290.525256.243322.184414.622132.684321.609493.96411.555441.83450.155594.7171,064.233
Overige kortlopende verplichtingen 958.1711,282.12988.71886.542833.834880.453840.67927.903805.3541,025.926906.978814.931779.209645.881,102.379713.55
Totaal kortlopende verplichtingen 4,790.8514,019.4393,950.5584,369.2793,713.5843,974.094,691.7454,183.8543,610.5724,793.1694,057.6643,422.9524,953.3524,057.0264,001.2844,139.872
Langlopende verplichtingen:
Langetermijnschulden 158.0091,302.9491,904.186234.2181,422.1621,964.106312.051,550.052,071.77399.491,412.3291,6743041,4651,4931,085
Uitgestelde opbrengsten niet-vlottend 45.696016.86321.93824.47328.44730.8733.58834.03932.28834.80635.3432.127420.491330.847336.619
Uitgestelde belastingverplichtingen niet-vlottend 2,815.4352,462.9752,016.2642,227.182,632.5792,547.1993,021.592,586.6193,712.1263,254.2791,984.7991,056.412529.264296.622308.708312.307
Overige niet-vlottende verplichtingen 231.874264.04217.051235.672197.052209.959227.987180.579191.651814.581882.876948.5671,054.065839.424868.604808.333
Totaal niet-vlottende verplichtingen 3,251.0144,029.9644,154.3642,719.0084,276.2664,749.7113,592.4974,350.8366,009.5864,500.6384,314.813,714.3191,919.4563,021.5373,001.1592,542.259
Totaal passiva 8,041.8658,049.4038,104.9227,088.2877,989.858,723.8018,284.2428,534.699,620.1589,293.8078,372.4747,137.2716,872.8087,078.5637,002.4436,682.131
Eigen vermogen:
Preferente aandelen 0000000000000000
Gewone aandelen 2,805.2662,805.2662,805.2662,805.2662,805.2662,805.2662,805.2662,805.2662,805.2662,805.2662,805.2662,805.2662,805.2662,805.2662,805.2662,805.266
Ingehouden winsten 25,370.18824,758.27824,152.25323,646.36523,444.26922,762.53321,989.42521,113.48520,419.13519,832.06519,229.32718,313.78717,645.19616,732.8415,930.98414,814.054
Overige gereserveerde algehele resultaten 5,591.5295,268.394,238.5774,728.5915,610.9865,376.7176,520.7535,790.6313,492.236,0713,80400000
Overige totale aandeelhoudersvermogen 688.201685.923685.986685.986686.096686.23686.337686.8454,943.077688.27688.3152,843.5861,971.9033,014.422,985.9682,939.718
Totaal eigen vermogen van aandeelhouders 34,455.18433,517.85731,882.08231,866.20832,546.61731,630.74632,001.78130,396.22731,659.70829,396.60126,526.90823,962.63922,422.36522,552.52621,722.21820,559.038
Totaal eigen vermogen 34,482.96133,543.72731,908.43331,895.1332,578.78131,663.45332,035.76430,430.27131,691.55129,427.72126,557.57823,992.61722,450.70622,579.86621,747.55820,583.615
Totaal passiva en aandeelhoudersvermogen 42,524.82641,593.1340,013.35538,983.41740,568.63140,387.25440,320.00638,964.96141,311.70938,721.52834,930.05231,129.88829,323.51429,658.42928,750.00127,265.746