CROOZ, Inc.

TSE:2138.T

580 (JPY) • At close November 5, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 12,156.24814,306.57713,765.77215,056.96213,532.00412,861.41710,159.71211,329.4337,377.6845,219.5774,096.2161,776.2392,442.3691,518.6657.9271,021.022773.351821.926590.063
Kortetermijnbeleggingen 700.07-1,138.291-618.0942,915.7993,136.9972,942.58435.9020000-337.9220000000
Liquide middelen en kortetermijnbeleggingen 12,856.31814,306.57713,765.77217,972.76116,669.00115,804.00110,159.71211,329.4337,377.6845,219.5774,096.2161,776.2392,442.3691,518.6657.9271,021.022773.351821.926590.063
Nettovorderingen 3,136.3322,502.6283,006.8893,596.4272,921.2912,412.7012,311.7551,623.4032,678.6731,833.0782,349.8622,236.5011,127.556851.1640905.361686.592550.793421.618
Voorraad 309.1060000037.64166.96688.5220.28112.86120.79736.74829.495014.39317.6566.40413.239
Overige vlottende activa 734.094689.631788.3726.3071,245.3471,140.9841,140.028440.937156.224235.96272.0162.318-3.105-2.85619.00622.33930.203-6.312-4.605
Totaal vlottende activa 17,035.8517,498.83617,560.96122,295.49520,835.63919,357.68613,649.13613,460.73910,301.1037,288.8966,730.9494,095.8553,603.5682,396.4031,277.641,963.1151,507.8021,372.8111,020.315
Niet-vlottende activa:
Materiële vaste activa, netto 600.7021,102.7911,248.597821.0191,070.4141,252.101471.329511.656215.61221.133412.859320.771161.88667.65131.33645.14452.84252.05737.45
Goodwill 000326.523468.7011,093.1591,119.0711,159.00400000000000
Immateriële activa 185.204326.837405.9554.88468.03362.196109.55151.777957.9391,364.806406.52849.63529.24846.7372.215529.04281.25398.14970.445
Goodwill en immateriële activa 185.204326.837405.95381.407536.7341,155.3551,228.6221,210.781957.9391,364.806406.52849.63529.24846.7372.215529.04281.25398.14970.445
Langetermijnbeleggingen 8,544.4066,5335,7303,1333,1272,137861.605523.751157.997196.239191.702593.187137.6422.100000
Belastingvorderingen 41.528265.721453.004292.347209.516319.78775.08265.805241.255222.295195.3773.816.22540.09466.3166.6672.91900
Overige niet-vlottende activa 676.395-318.276-311.743149.192168.418188.524408.525496.597415.536420.329451.62516.854229.456101.19198.589103.945112.735104.133105.427
Totaal niet-vlottende activa 10,048.2357,910.0737,525.8084,776.9655,112.0825,052.7673,045.1632,808.591,988.3372,424.8021,658.091984.247574.457257.766268.456684.796449.749254.339213.322
Totaal activa 27,084.08525,408.9125,086.77127,072.46425,947.72524,410.45616,694.30116,269.3312,289.4439,713.78,389.0445,080.1054,178.0252,654.1691,546.0962,647.9111,957.5511,627.1511,233.638
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,661.9041,540.9952,039.0642,378.2452,228.6792,390.5282,345.2331,768.3451,693.4121,128.225850.5913.901882.51505.913476.381861.714688.726491.04400.424
Kortlopende schulden 2,219.871,279.258845.467324.2381,668.61,140.2596606000000057.6628.800104.224
Belastingschulden 535.861165.599146.025374.19738.71150.36693.484668.119681.797273.4981,483.318392.624643.284504.15112.90424.52571.20359.168102.839
Uitgestelde opbrengsten 23.45248.12632.8932,245.4431,681.7651,650.9360-6000000012.90428.50400192.425
Overige kortlopende verplichtingen 2,531.2423,036.5912,256.4261,106.101851.619348.6491,453.9312,060.4011,617.331945.6392,285.171,475.296715.15542.39258.1444.289115.631151.1766.771
Totaal kortlopende verplichtingen 6,436.4685,904.975,173.856,054.0276,430.6635,530.3724,459.1643,828.7463,310.7432,073.8643,135.672,389.1971,597.661,048.305605.0251,563.307804.357642.216703.844
Langlopende verplichtingen:
Langetermijnschulden 9,658.9649,467.35810,255.29111,221.90911,225.52610,137.158117.50000000113.6171.20067.221
Uitgestelde opbrengsten niet-vlottend 0000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 28.5450.1155.88740.4697.00382.8590000000000000
Overige niet-vlottende verplichtingen 151.36667.5041.0411.19611.4340.0040.002359.3970.0020.0010.0020.003000.00100.0010.1650.975
Totaal niet-vlottende verplichtingen 9,838.8759,534.97710,262.21811,273.57411,243.96310,220.021117.502359.3970.0020.0010.0020.00300113.601171.20.0010.16568.196
Totaal passiva 16,275.34315,439.94715,436.06817,327.60117,674.62615,750.3934,576.6664,188.1433,310.7452,073.8653,135.6722,389.21,597.661,048.305718.6261,734.507804.358642.381772.04
Eigen vermogen:
Preferente aandelen 0000000000000000000
Gewone aandelen 460.163460.163460.163460.163456.51454.553453.248449.465432.964430.041429.948423.203423.203413.099320.372319.935317.66316.697135.347
Ingehouden winsten 11,450.33410,437.45710,182.349,917.3688,484.2669,043.21510,700.24310,775.2627,724.1546,374.8275,232.42,722.9971,738.445788.96194.521573.153527.873359.773197.795
Overige gereserveerde algehele resultaten 580.138146.09548.026131.464110.0424.54244.33147.61350.493665900000000
Overige totale aandeelhoudersvermogen -1,834.336-1,247.794-1,297.93-1,297.929-1,301.465-1,303.314880.014787.424771.087768.967-467.976-455.295418.717403.805312.57720.316307.66308.3128.456
Totaal eigen vermogen van aandeelhouders 10,656.2999,795.9219,392.5999,211.0667,749.3518,218.99612,077.83612,059.7648,978.6987,639.8355,253.3722,690.9052,580.3651,605.864827.47913.4041,153.193984.77461.598
Totaal eigen vermogen 10,808.749,968.9639,650.7039,744.8638,273.0998,660.06312,117.63512,081.1878,978.6987,639.8355,253.3722,690.9052,580.3651,605.864827.47913.4041,153.193984.77461.598
Totaal passiva en aandeelhoudersvermogen 27,084.08325,408.9125,086.77127,072.46425,947.72524,410.45616,694.30116,269.3312,289.4439,713.78,389.0445,080.1054,178.0252,654.1691,546.0962,647.9111,957.5511,627.1511,233.638