Escrit Inc.

TSE:2196.T

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

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

2023202220212020201920182017201620152014201320122011201020092008
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 4,960.2575,406.6936,124.9986,723.6074,130.2184,814.214,804.2635,940.3164,223.5374,821.8034,209.161,416.6111,401.9821,287.8071,185.809430.499
Kortetermijnbeleggingen 195.977195.974195.973195.966195.953245.859236.243244.728000-64.686-84.648-90.90100
Liquide middelen en kortetermijnbeleggingen 5,156.2345,406.6936,124.9986,723.6074,130.2184,814.214,804.2635,940.3164,223.5374,821.8034,209.161,416.6111,401.9821,287.8071,185.809430.499
Nettovorderingen 1,726.924645.519703.722859.672447.858655.1041,394.408752.423963.335682.406510.079376.223277.04180.71143.475145.415
Voorraad 995.388845.323733.135809.9921,185.661,250.5111,767.4981,248.7604.859538.335751.6752.14742.53426.27611.6216.825
Overige vlottende activa 659.28789.136685.593923.212735.553941.331971.308584.534617.556414.305310.59941.74714.06719.40814.41320.919
Totaal vlottende activa 8,537.8267,686.6718,247.4489,316.4836,499.2897,661.1568,937.4778,525.9736,409.2876,456.8495,781.5081,886.7281,735.6231,514.2011,355.318603.658
Niet-vlottende activa:
Materiële vaste activa, netto 5,772.88710,362.18411,347.36612,758.01114,797.84715,807.05513,162.20613,357.72613,660.6339,739.5266,256.445,742.4623,556.0963,013.6871,517.391994.204
Goodwill 39.280000.2311.15517.482155.033245.872309.738249.15500000
Immateriële activa 285.97997.37589.63879.45146.44786.755135.891199.423243.596278.275184.98700000
Goodwill en immateriële activa 325.25997.37589.63879.45146.67887.91153.373354.456489.468588.013434.142177.775178.15464.02723.03616.116
Langetermijnbeleggingen 116.3033,9303,9103,9553,9953,893232.9553,558.8563,416.672,7712,12864.72684.67890.93100
Belastingvorderingen 4,767.7994,573.7254,593.1543,673.0031,569.2731,289.266874.107650.877534.874374.208309.503213.917164.6369.29800
Overige niet-vlottende activa 3,958.471-3,664.843-3,603.059-3,639.152-3,679.316-3,624.2833,743.937112.285141.8980.5570.461,697.8011,379.9451,062.393644.443393.312
Totaal niet-vlottende activa 14,940.71915,298.44116,337.09916,826.31316,729.48217,452.94818,166.57818,034.218,243.54313,473.3049,128.5457,896.6815,363.5034,300.3362,184.871,403.632
Totaal activa 23,478.54522,985.11624,584.55126,142.80223,228.77525,114.10927,104.05526,560.17324,652.8319,930.15314,910.0539,783.4097,099.1265,814.5373,540.1882,007.29
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 704.706928.096992.352803.8461,072.9531,464.0351,543.1531,454.1161,035.045900.1322,234.4941,222.072887.149613.032524.526460.155
Kortlopende schulden 2,924.1425,989.8416,446.7985,182.8442,174.2212,520.1753,106.932,973.8912,740.8712,192.4231,846.5281,391.8481,054.452955.973415.162346.442
Belastingschulden 28.56830.87831.6938.844283.74449.053497.477414.89486.446595.317571.468587.487368.608265.695215.336.346
Uitgestelde opbrengsten 1,737.7672,365.6892,484.2413,724.4463,645.093,036.39303,311.6892,887.3072,614.3651,242.0471,578.8751,163.656996.323675.943291.103
Overige kortlopende verplichtingen 2,601.7571,567.1351,864.7752,343.6631,572.6541,831.5345,781.5362,073.0321,398.581,289.5091,361.73883.08561.10159.05332.8211.503
Totaal kortlopende verplichtingen 7,968.37210,850.76111,788.16612,054.7998,464.9188,852.13710,431.6199,812.7288,061.8036,996.4296,684.8074,275.883,166.3582,624.3811,648.4511,109.203
Langlopende verplichtingen:
Langetermijnschulden 6,124.5393,741.2434,297.8485,854.1244,660.2366,358.4217,859.6738,796.8539,306.0036,344.3473,615.5042,248.6851,564.6191,709.933892.99483.132
Uitgestelde opbrengsten niet-vlottend 200.076-319.339-370.31-452.201-515.167-630.904-666.121-627.871-657.8780000000
Uitgestelde belastingverplichtingen niet-vlottend 278.794319.339370.31452.201515.167630.904666.121627.871657.8780000000
Overige niet-vlottende verplichtingen 2,664.8132,523.0872,569.9542,668.8612,624.6492,587.552,333.2462,004.9241,934.3541,468.155864.242553.16472.212292.533163.577200.256
Totaal niet-vlottende verplichtingen 9,268.2226,264.336,867.8028,522.9857,284.8858,945.97110,192.91910,801.77711,240.3577,812.5024,479.7462,801.8452,036.8312,002.4661,056.567683.388
Totaal passiva 17,236.59417,115.09118,655.96820,577.78415,749.80317,798.10820,624.53820,614.50519,302.1614,808.93111,164.5537,077.7255,203.1894,626.8472,705.0181,792.591
Eigen vermogen:
Preferente aandelen 3,0003,00025.9617.6782.0450.8980000000000
Gewone aandelen 50505050607.879606.988606.132594.639584.979573.903539.327529.83498.527478.09478.09280.75
Ingehouden winsten 284.2721,426.9651,483.871989.5026,499.7456,208.9635,304.1314,789.2854,200.9473,994.9442,678.6461,670.39932.216272.367-79.009-304.8
Overige gereserveerde algehele resultaten -12.959-27.613-25.961-7.678-2.045-0.8985.3089.29121.95223100000
Overige totale aandeelhoudersvermogen 2,920.6351,420.6734,394.7124,525.516371.348500.05563.944552.453542.794530.375496.527505.464465.194437.233436.089238.749
Totaal eigen vermogen van aandeelhouders 6,241.9485,870.0255,928.5835,565.0187,478.9727,316.0016,479.5155,945.6685,350.675,121.2223,745.52,705.6841,895.9371,187.69835.17214.699
Totaal eigen vermogen 6,241.9485,870.0255,928.5835,565.0187,478.9727,316.0016,479.5155,945.6685,350.675,121.2223,745.52,705.6841,895.9371,187.69835.17214.699
Totaal passiva en aandeelhoudersvermogen 23,478.54222,985.11624,584.55126,142.80223,228.77525,114.10927,104.05326,560.17324,652.8319,930.15314,910.0539,783.4097,099.1265,814.5373,540.1882,007.29