Koshidaka Holdings Co., Ltd.

TSE:2157.T

1038 (JPY) • At close September 19, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 8,437.0766,977.4435,766.8439,890.48312,582.02811,926.32613,785.0946,304.1646,187.4385,207.4395,891.724,333.534,319.7823,607.2412,530.395
Kortetermijnbeleggingen -2,808.872598.042-6,461.6312,000-4,618.163-4,219.582-3,681.714-3,316.341-2,964.482-2,283.675-646.057-342.96-327.535-232.82-163.983
Liquide middelen en kortetermijnbeleggingen 8,437.0766,977.4435,766.84311,890.48312,582.02811,926.32613,785.0946,304.1646,187.4385,207.4395,891.724,333.534,319.7823,607.2412,530.395
Nettovorderingen 947.213525.86684.03196.6593,870.2894,326.6823,456.4673,042.7122,567.2522,111.9511,698.7411,591.141,232.387665.968474.731
Voorraad 554.322263.851216.155282.8211,111.8751,123.3781,096.6681,153.826920.681950.442726.314528.768432.603278.777258.769
Overige vlottende activa 2,435.4582,143.9943,321.9581,383.1223,198.2553,089.0711,398.8391,685.1521,773.4571,543.8021,227.46952.591925.396604.82453.453
Totaal vlottende activa 12,374.0699,911.1549,388.98613,753.08520,762.44720,465.45719,737.06812,185.85411,448.8289,813.6349,544.2357,406.0296,910.1685,156.8063,717.348
Niet-vlottende activa:
Materiële vaste activa, netto 39,539.83833,147.90123,543.07522,567.80222,192.71717,552.37516,810.23314,802.43212,323.76510,156.4198,254.4119,647.2068,765.2784,412.4844,163.4
Goodwill 1.294.9159.59815.7181,611.9961,965.4541,034.951,429.3422,082.80321.18698.082409.197712.788981.3381,283.288
Immateriële activa 509.617434.333228.812335.48520,924.12622,662.103635.371931.8821,008.1311,164.3991,077.86465.128147.018183.345233.733
Goodwill en immateriële activa 510.907439.248238.41351.20322,536.12224,627.5571,670.3212,361.2243,090.9341,185.5851,175.942874.325859.8061,164.6831,517.021
Langetermijnbeleggingen 3,107.99984.1016,876.698-1,051.1855,485.3935,151.6484,886.7433,810.353,487.9274,485.2221,275.19419.979417.013270.126186.396
Belastingvorderingen 2,068.7852,563.5372,198.5881,722.1141,109.984481.81457.433265.83287.888261.723266.614217.587198.56470.6185.275
Overige niet-vlottende activa -593.79227.252-272.0977,212.8160.72478.63128.36891.6724.00523.657131.7431,478.7151,304.079900.553845.487
Totaal niet-vlottende activa 44,633.7337,362.03932,584.67430,802.7551,324.9447,892.0223,953.09821,331.50619,214.51916,112.60611,103.912,637.81211,544.746,818.4566,797.579
Totaal activa 57,007.80347,273.19641,973.66244,555.83972,087.39168,357.4843,690.17133,517.36430,663.35125,926.24320,648.1420,043.84118,454.90811,975.26210,514.927
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 644.739443.2189.785235.4582,476.5452,430.9572,193.2752,146.5561,830.7341,385.9061,135.1541,968.6161,363.749805.417940.79
Kortlopende schulden 1,911.242,188.2437,456.7127,085.3284,153.124,808.3183,389.0273,012.3122,301.4391,828.6041,049.9791,540.4221,657.8281,343.6621,373.024
Belastingschulden 2,262.994736.75659.10718.2121,715.6891,873.8171,516.7961,006.9551,021.3731,066.4741,164.427999.921,341.391970.411501.75
Uitgestelde opbrengsten 7,006.38501,875.3781,881.2215,411.9621,873.8174,321.9383,118.3183,280.7073,142.2073,154.5662,020.7262,206.9681,740.4021,204.16
Overige kortlopende verplichtingen 4,402.047,012.108576.2541,266.1032,981.4645,714.5472,737.722,407.8732,617.2212,021.7111,916.0511,711.7671,891.9751,289.8271,080.487
Totaal kortlopende verplichtingen 13,964.4049,643.55110,098.12910,468.1115,023.09114,827.63912,641.9610,685.05910,030.1018,378.4287,255.757,241.5317,120.525,179.3084,598.461
Langlopende verplichtingen:
Langetermijnschulden 10,937.2112,744.79,313.7686,910.68718,097.68119,540.5656,404.9966,911.7355,244.523,406.81,506.6683,765.4173,951.9343,021.0183,193.86
Uitgestelde opbrengsten niet-vlottend 5,137.73303,409.0372,956.52,427.2591,981.8391,628.1531,233.584925.551504.129288.486347.046304.86300
Uitgestelde belastingverplichtingen niet-vlottend 690.852233.336225.906240.1364,329.3665,028.123119.68171.367167.336249.015442.764256.71452.92600
Overige niet-vlottende verplichtingen 883.095,142.962748.4631,068.615394.914282.072231.585242.847243.655192.76178.585149.504160.48723.11223.339
Totaal niet-vlottende verplichtingen 17,648.88518,120.99813,697.17411,175.93825,249.2226,832.5998,384.4148,559.5336,581.0624,352.7052,316.5034,518.6774,870.213,044.133,217.199
Totaal passiva 31,613.28927,764.54923,795.30321,644.04840,272.31141,660.23821,026.37419,244.59216,611.16312,731.1339,572.25311,760.20811,990.738,223.4387,815.66
Eigen vermogen:
Preferente aandelen 328.033182.323000000045280000
Gewone aandelen 2,070.2572,070.2572,070.2572,070.2572,070.2572,070.2572,070.257493.6493.6493.6493.6493.6493.6493.6493.6
Ingehouden winsten 20,455.24414,423.58912,840.04917,474.18226,447.39921,115.36617,461.29114,834.13113,480.09411,944.0969,994.0467,329.6415,331.0212,712.7121,702.604
Overige gereserveerde algehele resultaten -328.033-182.32370.928170.227296.176436.89394.56665.484141-45-280000
Overige totale aandeelhoudersvermogen 2,869.0133,014.8013,197.1253,197.1253,001.2482,034.0392,034.177-1,835.801-716.798136.706154.064180.97481.276481.253483.266
Totaal eigen vermogen van aandeelhouders 25,394.51419,508.64718,178.35922,911.79131,815.0825,656.55521,660.29113,557.41413,397.89612,574.40210,641.718,004.2116,305.8973,687.5652,679.47
Totaal eigen vermogen 25,394.51419,508.64718,178.35922,911.79131,815.0826,697.24222,663.79714,272.77214,052.18813,195.1111,075.8878,283.6336,464.1783,751.8242,699.267
Totaal passiva en aandeelhoudersvermogen 57,007.80347,273.19641,973.66244,555.83972,087.39168,357.4843,690.17133,517.36430,663.35125,926.24320,648.1420,043.84118,454.90811,975.26210,514.927