STUDIO ALICE Co.,Ltd.

TSE:2305.T

2116 (JPY) • At close January 15, 2025
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 18,38217,912.28319,165.76113,641.83211,072.6512,426.6388,900.1918,702.0526,818.1287,011.4396,616.317,688.0928,897.7076,907.3394,441.6933,250.694
Kortetermijnbeleggingen 460.525460.521460.518-3,541.953-3,571.671-3,663.898-3,598.342-266.147-271.905-279.104-261.214-237.335-207.335-200-219.888-159.888
Liquide middelen en kortetermijnbeleggingen 18,382.18717,912.28319,165.76113,641.83211,072.6512,426.6388,900.1918,702.0526,818.1287,011.4396,616.317,688.0928,897.7076,907.3394,441.6933,250.694
Nettovorderingen 970.6651,047.482833.083812.483808.574726.621634.595920.431789.095783.881740.832738.501723.6361,022.9931,006.1681,083.819
Voorraad 2,024.0532,081.0041,607.3322,312.1061,803.7821,658.8681,678.9881,359.381,318.871,319.3361,102.312979.922789.76743.51,172.1231,263.076
Overige vlottende activa 1,402.1141,672.3281,312.7561,403.4341,523.511,396.4061,752.2512,209.6051,914.531,703.1262,080.9631,796.1761,515.1761,830.7921,349.7961,300.191
Totaal vlottende activa 22,779.01922,713.09722,918.93218,169.85515,208.51616,432.72612,966.02513,191.46810,840.62310,817.78210,540.41711,202.69111,926.27910,504.6247,969.786,897.78
Niet-vlottende activa:
Materiële vaste activa, netto 12,335.66116,813.48913,335.32712,356.76812,679.60612,621.63812,106.38211,820.33711,905.43910,453.7039,598.6338,757.7586,346.6956,537.3956,312.6965,737.358
Goodwill 0.8261.482.61.9332.7333.5338.01719.28628.93438.58238.10553.34168.57892.545525.713610.494
Immateriële activa 1,078.7851,046.506995.02971.767989.1411,303.7621,144.6011,261.8861,119.0191,074.714922.854686.8472.133510.001478.449398.943
Goodwill en immateriële activa 1,079.6111,047.986997.62973.7991.8741,307.2951,152.6181,281.1721,147.9531,113.296960.959740.141540.711602.5461,004.1621,009.437
Langetermijnbeleggingen 1,864.5461,254.5491,455.9564,730.6074,607.913,685.8983,620.342288.147296.816304.015288.158272.526242.526257.418342.317232.251
Belastingvorderingen 1,113.3811,369.5981,249.2871,269.4731,300.995931.759895.275784.383799.678863.568833.9411,034.8021,223.5983.115792.529592.461
Overige niet-vlottende activa 3,632.72627.1123,213.367-205.07-197.703-203.986-202.6453,119.4123,096.792,962.9572,894.2592,773.3262,700.8472,775.352,727.5452,793.518
Totaal niet-vlottende activa 20,025.92520,512.73420,251.55719,125.47819,382.68218,342.60417,571.97217,293.45117,246.67615,697.53914,575.9513,578.55311,054.27911,155.82411,179.24910,365.025
Totaal activa 42,346.94343,225.83443,170.49137,295.33434,591.20134,775.33330,537.99730,484.91928,087.29926,515.32125,116.36724,781.24422,980.55821,660.44819,149.02917,262.805
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 261.629315.411300.462285.908240.225226.26248.764300.114255.851319.123380.035312.956323.779435.555473.057504.399
Kortlopende schulden 2,248.4372,351.5762,076.1761,365.981,227.4651,152.078874.578727.1471,010.4891,913.732,412.3582,806.9382,412.1372,942.822,783.1312,095.002
Belastingschulden 214.396501.7161,484.3351,035.928581.1651,180.23152.2781,130.0511,281.8941,140.738597.814907.1291,195.5851,433.842920.588759.885
Uitgestelde opbrengsten 684.682002,289.2871,951.8631,180.2311,254.4222,591.7562,706.8432,521.9921,975.6982,147.5922,553.7243,111.7652,012.6391,730.072
Overige kortlopende verplichtingen 2,793.3593,828.74,241.5333,834.3673,878.7453,903.5272,882.7833,266.8083,277.4983,322.2932,891.2662,548.4312,596.9973,194.852,297.592,394.945
Totaal kortlopende verplichtingen 6,202.5036,997.4038,102.5066,522.1835,927.66,462.0964,058.4035,424.125,825.7326,695.8846,281.4736,575.4546,528.4988,007.0676,474.3665,754.231
Langlopende verplichtingen:
Langetermijnschulden 1,822.1732,339.0982,412.271,304.7371,057.511,131.176957.737688.473358.82379.566411.946612.174383.674521.85349.9380
Uitgestelde opbrengsten niet-vlottend 0-311.314-296.159-236.02-215.805-250.1230000000000
Uitgestelde belastingverplichtingen niet-vlottend 0311.314296.159236.02215.805250.12300000000021.654
Overige niet-vlottende verplichtingen 3,366.2253,364.0783,087.4242,947.6422,856.2442,841.62,435.782,276.9812,147.4851,668.0681,509.8611,402.377930.164439.77383.28455.539
Totaal niet-vlottende verplichtingen 5,188.3985,703.1765,499.6944,252.3793,913.7543,972.7763,393.5172,965.4542,506.3052,047.6341,921.8072,023.8311,313.838961.62733.218477.193
Totaal passiva 11,390.90112,700.57913,602.210,774.5629,841.35410,434.8727,451.928,389.5748,332.0378,743.5188,203.288,599.2857,842.3368,968.6877,207.5846,231.424
Eigen vermogen:
Preferente aandelen 0.039000000000000000
Gewone aandelen 1,885.951,885.951,885.951,885.951,885.951,885.951,885.951,885.951,885.951,885.951,885.951,885.951,885.951,885.951,885.951,885.95
Ingehouden winsten 25,208.17825,239.61324,215.83521,451.01319,866.19819,505.78618,318.16517,455.68715,204.66613,313.0412,335.72811,871.5910,924.5418,631.8417,855.3166,962.041
Overige gereserveerde algehele resultaten 799339.364420.952202.51574.465100.548110.008104.523137.569157000000
Overige totale aandeelhoudersvermogen 1,778.9112,118.2352,199.9371,981.5481,853.7551,779.2971,889.4731,779.7281,779.8571,779.8572,164.2412,019.0171,947.0891,946.681,993.9351,993.467
Totaal eigen vermogen van aandeelhouders 29,672.03929,243.79828,301.72225,318.51123,605.90323,271.58122,093.58821,225.88819,008.04217,136.22816,385.91915,776.55714,757.5812,464.47111,735.20110,841.458
Totaal eigen vermogen 30,956.04330,525.25529,568.29126,520.77224,749.84724,340.46123,086.07722,095.34519,755.26217,771.80316,913.08716,181.95915,138.22212,691.76111,941.44511,031.381
Totaal passiva en aandeelhoudersvermogen 42,346.94343,225.83443,170.49137,295.33434,591.20134,775.33330,537.99730,484.91928,087.29926,515.32125,116.36724,781.24422,980.55821,660.44819,149.02917,262.805