Sunny Side Up Group, Inc.

TSE:2180.T

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

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 3,185.2183,089.9353,230.1722,603.0722,151.3641,575.4011,712.7511,011.251,052.945910.4371,001.512875.061849.4521,035.462251.524509.479656.684
Kortetermijnbeleggingen 0-645.674-554.747-583.214-516.609-530.975-476.247-23.532-26.072-48.336-50.626-1.574-2.514-0.191-0.54700
Liquide middelen en kortetermijnbeleggingen 3,185.2183,089.9353,230.1722,603.0722,151.3641,575.4011,712.7511,011.251,052.945910.4371,001.512875.061849.4521,035.462251.524509.479656.684
Nettovorderingen 2,583.5372,642.6091,983.1862,211.8151,219.6912,294.5011,805.6042,289.6742,557.4742,097.3492,100.6761,744.8262,293.2091,356.2521,901.8481,556.4582,073.45
Voorraad 333.091581.642321.296335.372222.379323.095274.691286.452345.472329.601227.611239.842128.11231.852166.498122.99386.805
Overige vlottende activa 447.781308.395308.539493.938419.863165.997297.011379.071344.751155.672218.79493.55751.29943.075125.561157.08350.328
Totaal vlottende activa 6,549.6276,622.5815,843.1935,644.1974,013.2974,358.9944,090.0573,966.4474,300.6423,493.0593,548.5932,953.2863,322.072,666.6412,445.4312,346.0132,867.267
Niet-vlottende activa:
Materiële vaste activa, netto 475.872823.742846.613874.381861.7431,175.255669.9511,215.8751,080.4261,390.1861,648.2561,370.3361,145.981884.315943.12783.375752.981
Goodwill 234.702276.121317.539358.957400.37500011.326022.88111.87313.34217.4640.0450.0840.123
Immateriële activa 024.23110.56715.99617.66315.8345.7111.6421.1523.659.29116.62525.3630.24416.14716.48740.473
Goodwill en immateriële activa 234.702300.352328.106374.953418.03815.8345.7111.64212.4783.6532.17228.49838.70247.70816.19216.57140.596
Langetermijnbeleggingen 309.8441,129869700593642560.997111.95437.99169.69266.00212.12311.4926.6785.9795.54715.64
Belastingvorderingen 281.763175.02125.48423.60119.88623.8880.1850.4270.3110.0493.1396.8810.86710.1243.8914.93316.416
Overige niet-vlottende activa 621.1-455.299-463.406-453.249-443.807-427.0496.202409.69341.619335.098314.955379.95326.064316.994311.803317.964138.744
Totaal niet-vlottende activa 1,923.2811,972.8151,705.7971,519.6861,448.861,429.9281,243.0461,739.5881,472.8251,798.6752,064.5241,797.7881,523.1061,265.8191,280.9841,138.39964.377
Totaal activa 8,472.9088,595.3987,548.9927,163.8865,462.165,788.9265,333.1045,706.0355,773.4675,291.7345,613.1174,751.0744,845.1763,932.463,726.4153,484.4033,831.644
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,515.5641,989.0161,062.1931,437.118738.0681,507.8781,070.2241,149.6071,212.4671,149.0451,011.49759.647982.57657.719587.061473.394718.065
Kortlopende schulden 399.122773.2491,060.989837.595407.073219.999304.899967.6711,095.394969.3951,348.31802.6471,368.811921.0531,293.663825.122892.303
Belastingschulden 382.421181.173398.362292.919149.228112.589225.859167.90891.40576.633141.895126.23950.54673.4613.57223.286152.703
Uitgestelde opbrengsten 163.4511,068.7241,129.421719.015379.107621.176225.859549.059507.319251.051277.747383.45973.151385.973260.454205.954438.107
Overige kortlopende verplichtingen 1,284.296269.998415.787405.536396.479213.889659.424271.904389.641292.3251.485263.912411.937226.799132.406148.613159.904
Totaal kortlopende verplichtingen 3,362.4334,100.9873,668.393,399.2641,920.7272,562.9422,260.4062,938.2413,204.8212,661.7912,889.0322,209.6652,836.4692,191.5442,273.5841,653.0832,208.379
Langlopende verplichtingen:
Langetermijnschulden 563.416445.491661.141,077.61,099.263500.27715.27748.79738.106714.704328.227425.984392.959403.791245.519176.158447.66
Uitgestelde opbrengsten niet-vlottend 28.7499.107125.659123.717122.69797.38584.58972.65253.48449.14448.1849.34447.34228.154000
Uitgestelde belastingverplichtingen niet-vlottend 1.2378.66253.1374.90325.62118.58822.08819.07612.89815.31114.66911.33815.5895.298000
Overige niet-vlottende verplichtingen 380.643212.879220.517218.336206.158212.193361.941371.81362.023427.64426.265105.45954.75651.61481.39874.6270.374
Totaal niet-vlottende verplichtingen 974.036766.1391,060.4531,424.5561,453.739828.4361,183.8881,212.3281,166.5111,206.799817.341592.125510.646488.857326.917250.778518.034
Totaal passiva 4,336.4694,867.1264,728.8434,823.823,374.4663,391.3783,444.2944,150.5694,371.3323,868.593,706.3732,801.793,347.1152,680.4012,600.5011,903.8612,726.413
Eigen vermogen:
Preferente aandelen 00000000040000000
Gewone aandelen 550.551547.764547.764547.764547.764538.4489.636483.441475.518461.996453.245451.993435.72430.72430.72430.72185
Ingehouden winsten 2,744.5142,247.6581,543.81,052.963784.3891,069.927649.817342.834129.594400.026801.543835.195507.191303.922234.861653.1675.274
Overige gereserveerde algehele resultaten 235.596343.68337.97463.30989.83650.34966.16467.851154.248-482400000
Overige totale aandeelhoudersvermogen 568.459565.671665.68665.704665.705656.391607.718601.526540.318487.945512.995511.736494.849490.658460.002491.468244.957
Totaal eigen vermogen van aandeelhouders 4,099.123,704.7762,795.2182,329.742,087.6942,315.0671,813.3351,495.6521,299.6781,349.9671,775.7831,822.9241,437.761,225.31,125.5831,575.2881,105.231
Totaal eigen vermogen 4,136.4363,728.2722,820.1492,340.0662,087.6942,397.5481,888.811,555.4661,402.1351,423.1441,906.7441,949.2841,498.0611,252.0591,125.9141,580.5421,105.231
Totaal passiva en aandeelhoudersvermogen 8,472.9088,595.3987,548.9927,163.8865,462.165,788.9265,333.1045,706.0355,773.4675,291.7345,613.1174,751.0744,845.1763,932.463,726.4153,484.4033,831.644