Hayashikane Sangyo Co.,Ltd.

TSE:2286.T

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

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 2,501.785843.5181,952.352,466.2451,922.1562,325.2422,821.4782,196.4341,795.491,765.2561,916.6722,319.263,186.0542,404.9352,578.2882,395.2722,503.007
Kortetermijnbeleggingen 10-416.409-356.646-466.189-1,017.115-1,309.28656.076106.075000000000
Liquide middelen en kortetermijnbeleggingen 2,511.785843.5181,952.352,466.2451,922.1562,325.2422,821.4782,196.4341,795.491,765.2561,916.6722,319.263,186.0542,404.9352,578.2882,395.2722,503.007
Nettovorderingen 6,028.7835,197.2624,261.5394,927.4895,319.3035,337.1855,272.6324,334.2884,295.9834,514.7314,201.1534,914.5994,826.6275,539.0265,575.7086,895.5437,982.485
Voorraad 6,307.7517,056.5536,333.2395,877.0996,645.615,588.2564,963.0124,997.7765,925.675,498.985,153.7975,009.694,411.9444,636.4434,489.5064,578.4244,055.007
Overige vlottende activa 817.742891.245838.213362.683561.81515.322276.548301.12791.914160.661121.469319.27672.046.68463.373-8.9126.356
Totaal vlottende activa 15,666.06113,988.57813,385.34113,633.51614,448.87913,766.00513,333.6711,829.62512,109.05711,939.62811,393.09112,562.82512,496.66512,587.08812,706.87513,860.33914,666.855
Niet-vlottende activa:
Materiële vaste activa, netto 8,217.3148,333.2938,758.37110,437.70711,001.51610,437.61510,198.2879,965.8399,775.1499,867.210,046.85510,151.83910,218.72710,557.67912,068.31711,986.35312,823.682
Goodwill 0.0810.7230.2210.8220.9750.9720.2660000000000
Immateriële activa 10277141417212833.91236.04648.74152.78260.59966.98250.59743.39451.85958.52
Goodwill en immateriële activa 102.08177.72314.22114.82217.97521.97228.26633.91236.04648.74152.78260.59966.98250.59743.39451.85958.52
Langetermijnbeleggingen 4,778.3633,9613,9574,1224,0645,8674,409.6534,402.63,235.7433,340.4752,849.962,845.3372,554.7972,437.8232,734.3182,630.6643,024.086
Belastingvorderingen 153.378395.335377.282453.913150.46437.07429.74330.2364.73465.28880.98271.919100.183123.183141.122161.458150.635
Overige niet-vlottende activa 126.62-0.3360.234-0.2080.4720.0431,409.1821,460.3071,685.6461,760.8061,731.5171,762.6971,780.821,750.0851,858.9861,066.149929.826
Totaal niet-vlottende activa 13,377.75612,767.01513,107.10815,028.23415,234.42716,363.70416,075.13115,892.88814,797.31815,082.5114,762.09614,892.39114,721.50914,919.36716,846.13715,896.48316,986.749
Totaal activa 29,043.81726,755.59626,492.45228,661.75229,683.30930,129.71129,408.80127,722.51326,906.37527,022.13826,155.18727,455.21627,218.17427,506.45529,553.01229,756.82231,653.604
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 4,200.862,773.2542,284.2512,319.7212,271.8253,292.4873,174.7592,170.12,432.7642,628.9132,474.3655,167.6533,543.7722,851.9473,001.8763,959.1254,326.165
Kortlopende schulden 6,275.5147,070.7376,806.2737,510.8819,440.7228,716.9848,729.0768,960.74210,322.7510,619.50410,751.919,962.70910,125.93711,962.312,329.59912,694.68513,556.234
Belastingschulden 298.211101.34537.515358.689113.083114.789218.148211.662102.60360.84245.01727.47161.48338.95567.34963.46759.327
Uitgestelde opbrengsten 63.785445.108544.269657.121426.8071,950.3312,275.991495.767325.953231.638271.807260.332472.755313.489349.459324.581353.975
Overige kortlopende verplichtingen 2,338.3741,148.1711,386.4161,663.0871,959.961468.561434.4271,676.5441,422.6741,592.8161,272.29331.9291,676.7441,217.5871,613.991463.474520.103
Totaal kortlopende verplichtingen 12,878.53311,437.2711,021.20912,150.8114,099.31514,428.36314,614.25313,303.15314,504.14115,072.87114,770.37215,722.62315,819.20816,345.32317,294.92517,441.86518,756.477
Langlopende verplichtingen:
Langetermijnschulden 1,589.223,297.613,663.543,859.1954,531.1384,216.5724,034.2244,492.2114,339.334,273.3894,651.9025,042.7515,281.8544,391.3354,760.6035,012.4735,050.508
Uitgestelde opbrengsten niet-vlottend 001,885.5312,092.1052,046.0582,030.4452,148.8882,094.1452,084.0752,112.4542,024.8431,683.0071,644.8631,500.1341,653.2481,761.6151,786.778
Uitgestelde belastingverplichtingen niet-vlottend 000.247154.813155.436545.549640.639623.327310.861358.412228.537224.321155.105133.344225.576213.744309.698
Overige niet-vlottende verplichtingen 3,482.8542,088.713153.739165.27249.691253.039252.014269.458253.419178.981166.05163.58219.7252.294256.189118.728112.539
Totaal niet-vlottende verplichtingen 5,072.0745,386.3235,703.0576,271.3836,982.3237,045.6057,075.7657,479.1416,987.6856,923.2367,071.3327,113.6597,301.5226,277.1076,895.6167,106.567,259.523
Totaal passiva 17,950.60716,823.59316,724.26618,422.19321,081.63821,473.96821,690.01820,782.29421,491.82621,996.10721,841.70422,836.28223,120.7322,622.4324,190.54124,548.42526,016
Eigen vermogen:
Preferente aandelen 00000000000000000
Gewone aandelen 3,415.023,415.023,415.023,415.023,415.023,415.023,415.023,415.023,415.023,415.023,415.023,415.024,4554,4554,4554,4554,455
Ingehouden winsten 6,327.0745,714.5395,515.084,966.593,808.4353,067.3152,291.3921,562.7868.749484.74310.807346.773-1,833.357-938.727-640.063-736.71-412.848
Overige gereserveerde algehele resultaten 1,508.05857.961909.8451,004.84561.3841,333.761,238.9731,223.351486.5625243232400000
Overige totale aandeelhoudersvermogen -156.936-55.517-71.759-58.0071.6281.7451.7511.868-0.833-0.889-0.888-0.962977.47898.1261,029.0741,011.9851,128.041
Totaal eigen vermogen van aandeelhouders 11,093.2089,932.0039,768.1869,328.4437,786.4677,817.846,947.1366,202.9394,769.4984,422.8713,756.9394,084.8313,599.1134,414.3994,844.0114,730.2755,170.193
Totaal eigen vermogen 11,093.2089,932.0039,768.18610,239.5598,601.6718,655.7437,718.7816,940.2195,414.5495,026.0314,313.4834,618.9344,097.4444,884.0255,362.4715,208.3975,637.604
Totaal passiva en aandeelhoudersvermogen 29,043.81526,755.59626,492.45228,661.75229,683.30930,129.71129,408.79927,722.51326,906.37527,022.13826,155.18727,455.21627,218.17427,506.45529,553.01229,756.82231,653.604