CAICA DIGITAL Inc.

TSE:2315.T

48 (JPY) • At close September 20, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,049.4892,671.5694,248.9774,960.4332,564.2762,482.8572,071.76704.7322,1291,059.3128,161.63817,135.8599,501.7645,263.3676,048.5866,302.1434,785.884
Kortetermijnbeleggingen 335.4171,590.758499.089113137.75274.15-169.16356.7530-4,266.705-3,780.545-3,710.966-708.232-471.322-405.2430.0310.031
Liquide middelen en kortetermijnbeleggingen 1,384.9064,262.3274,748.0664,960.4332,702.0262,757.0072,071.76761.4852,1291,059.3128,161.63817,135.8599,501.7645,263.3676,048.5866,302.1744,785.915
Nettovorderingen 1,089.75453,766.59595,681.538954.6821,264.2662,059.4731,154.099869.412-1,38223,944.71821,566.7812,368.4911,339.5739,936.5158,840.3747,082.53910,435.499
Voorraad 15.7167.27754.03280.64416.89740.90534.0316.85545187.518335.426604.243426.804817.917520.278503.214829.016
Overige vlottende activa 39.283186.929274.755143.794282.248.262120.547-91.063,172-2,847.553-221.612-1,530.012180.25488.457-17.6581,053.4371,840.727
Totaal vlottende activa 2,529.65958,223.128100,758.3916,139.5534,265.3894,905.6473,380.4371,546.6923,96422,343.99529,842.23228,578.5821,448.39516,106.25615,391.5814,941.36417,891.157
Niet-vlottende activa:
Materiële vaste activa, netto 50.25855.091158.90869.961121.13525.71505.33539.29756170.896585.937351.375286.942256.794320.197362.04550.962
Goodwill 005,457.05224.5531,419.267135.585163.08202,7622,762.0122,815.6496,568.3672,587.176826.603935.3891,490.0261,945.399
Immateriële activa 6.71812.466149.554147.541282.226116.98898.62743.5045784.5844,044.7284,167.951444.356404.099123.678169.367217.049
Goodwill en immateriële activa 6.71812.4665,606.606172.0941,701.493252.573261.70943.5042,8192,846.5966,860.37710,736.3183,031.5321,230.7021,059.0671,659.3932,162.448
Langetermijnbeleggingen -23.546-1,004.713120.2214,854.7424,053.6624,863.241,213.767208.098-7788,710.2626,431.0476,823.035,588.55,767.2355,523.7442,641.809487.124
Belastingvorderingen 1,796.4510693.64-4,854.742352.259416.013-1,213.7671,661.356013.55116.90430.42328.62830.77586.03471330.946
Overige niet-vlottende activa -1,387.9971,746.823-119.6424,915.6051.06159.6011,289.343-1,518.123-1,455-3,954.42-3,140.786-632.7231,377.041174.89140.524823.742783.557
Totaal niet-vlottende activa 441.884809.6676,459.7335,157.666,229.6056,117.1372,056.387434.1326427,786.88510,753.47917,308.42310,312.6437,460.3967,129.5665,557.9844,315.037
Totaal activa 2,971.54459,032.797107,218.12711,297.21510,494.99711,022.7895,436.8271,980.8254,60630,130.88540,595.71545,887.00631,761.03823,566.65222,521.14620,499.34822,206.194
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 250.731265.464206.709195.967265.385252.672194.231133.2095571,167.8631,252.929859.387608.4061,332.4229761,578.152,215.073
Kortlopende schulden 70562.387425.586320642.6782,145.848228.091963.4051,90710,428.2338,868.4797,695.3277,588.5086,316.0256,118.7885,819.4146,039.422
Belastingschulden 70.09192.781183.418202.55132.3475.60620.9856.67702,929.6522,934.4291,332.296449.734153.33191.11492.332397.673
Uitgestelde opbrengsten 339.9460540.712493.515413.706434.126361.602179.23703,037.6773,464.3531,772.101695.366433.898275.66293.932704.942
Overige kortlopende verplichtingen 91.62352,786.47994,056.695118.577545.283582.78599.23291.6291,0795,646.2515,133.6414,167.3051,872.4691,211.905995.0581,154.2821,643.677
Totaal kortlopende verplichtingen 752.353,614.3395,229.7021,128.0591,867.0523,415.431883.1561,367.483,54320,280.02418,719.40214,494.1210,764.7499,294.258,365.5068,845.77810,603.114
Langlopende verplichtingen:
Langetermijnschulden 02505708902,566.933236.694277.95280.6038831,361.3685,315.8029,214.1891,4351,899.6151,494.5122,171.991,042.5
Uitgestelde opbrengsten niet-vlottend 0000.0080.0082,106.400000000000
Uitgestelde belastingverplichtingen niet-vlottend 0.4960.47400.482.94455.4262.59800960.85819.966896.422641.0540000
Overige niet-vlottende verplichtingen 20.42215.20321.80239.45213.877-2,057.43260.04350.8294044.41660.07778.7865.33482131.874277.743229.17
Totaal niet-vlottende verplichtingen 20.918265.677591.802929.942,583.762341.088340.593131.4329232,366.6346,195.84510,189.3912,141.3881,981.6151,626.3862,449.7331,271.67
Totaal passiva 773.21853,880.00795,821.5042,057.9994,450.8143,756.5191,223.7491,498.9124,46622,646.65824,915.24724,683.51112,906.13711,275.8659,991.89211,295.51111,874.784
Eigen vermogen:
Preferente aandelen 00000000000000000
Gewone aandelen 654.14550997.7323,193.6971,0001,0007,775.1626,391.7136,3483,552.1013,552.1013,552.1013,552.1012,843.6012,843.6011,028.6011,023.601
Ingehouden winsten -11,133.343-7,243.833-4,112.998-3,805.449-3,247.629-1,496.112-16,486.801-17,148.292-17,540-11,124.794-6,956.712-641.6191,987.4131,334.8841,398.51,412.9161,835.692
Overige gereserveerde algehele resultaten 10.43943.19785.14183.128108.515188.237102.668100.57223701,07923300000
Overige totale aandeelhoudersvermogen 12,648.60212,041.44214,104.4829,767.847,574.1457,574.14512,521.3711,137.926,19210,153.4488,345.8648,315.3768,074.676,722.7986,882.8644,901.6055,333.08
Totaal eigen vermogen van aandeelhouders 2,179.8434,890.80611,074.3579,239.2165,435.0317,266.273,912.399481.913-4,7632,580.7556,020.25311,458.85813,614.18410,901.28311,124.9657,343.1228,192.373
Totaal eigen vermogen 2,198.3265,152.7911,396.6239,239.2166,044.1837,266.274,213.078481.9131407,484.22715,680.46821,203.49518,854.90112,290.78712,529.2549,203.83710,331.41
Totaal passiva en aandeelhoudersvermogen 2,971.54459,032.797107,218.12711,297.21510,494.99711,022.7895,436.8271,980.8254,60630,130.88540,595.71545,887.00631,761.03823,566.65222,521.14620,499.34822,206.194