Sohgo Security Services Co.,Ltd.

TSE:2331.T

1066.5 (JPY) • At close November 5, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 143,363142,993148,125143,652143,885126,421116,288122,332115,892142,873141,740104,874103,817108,738108,73984,41688,21461,02985,85790,186
Kortetermijnbeleggingen 7,8666613805986183613388034198614151,4392,7449421,8591,6181,265707410539
Liquide middelen en kortetermijnbeleggingen 151,229143,654148,505144,250144,503126,782116,626123,135116,311143,734142,155106,313106,561109,680110,59886,03489,47961,73686,26790,725
Nettovorderingen 73,57776,76268,45065,26467,38065,71065,65862,97757,66755,29746,25346,11342,01034,69729,90868,38273,92582,38052,88649,723
Voorraad 12,52110,3887,7317,8997,4155,8596,1645,8266,5865,1524,7235,6696,1875,5103,2694,2494,4524,0924,4594,514
Overige vlottende activa 14,7348,2289,18610,20410,1889,6968,3977,6897,4496,2626,3276,0545,3024,8484,5045,0254,3565,0294,1975,939
Totaal vlottende activa 252,061239,032233,872227,617229,486208,047196,845199,627188,013210,445199,458164,149160,060154,735148,279163,690172,212153,237147,809150,901
Niet-vlottende activa:
Materiële vaste activa, netto 120,353125,688103,376103,38390,43989,44291,24686,97477,34071,70468,22560,14959,14759,51458,35159,09557,63859,70159,50959,195
Goodwill 31,44232,75327,09729,67819,34620,95221,10818,61510,14911,1727691,1291,4701,712037147000
Immateriële activa 9,23511,42212,65013,56813,25112,1069,2036,3845,2435,6815,3804,8285,0775,7595,2035,3845,3806,1226,4526,448
Goodwill en immateriële activa 40,67744,17539,74743,24632,59733,05830,31124,99915,39216,8536,1495,9576,5477,4715,2035,4215,5276,1226,4526,448
Langetermijnbeleggingen 64,975109,343103,76898,44162,58442,93543,93841,66439,16939,82136,05532,77421,08123,75724,15122,42126,08933,91235,99029,262
Belastingvorderingen 4,9667,1047,1028,44913,32011,4918,91210,39410,8105,58712,63810,64711,95114,63414,00015,90916,11115,82816,38417,436
Overige niet-vlottende activa 84,529-8,70040932536325,13525,90522,21318,83329,44919,96322,98424,80724,23926,08521,02519,81916,41916,68618,964
Totaal niet-vlottende activa 315,500277,610254,402253,844199,303202,061200,312186,244161,544163,414143,030132,511123,533129,615127,790123,871125,184131,982135,021131,305
Totaal activa 567,561516,647488,278481,465428,796410,113397,164385,877349,561373,863342,495296,665283,593284,350276,069287,561297,396285,219282,830282,206
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 28,51229,66923,09824,08425,32622,99323,42021,42622,60223,94621,06917,41730,21724,99820,47421,07521,27513,18410,97610,901
Kortlopende schulden 12,86213,89216,58429,13923,66719,86922,14634,96026,99465,83662,15325,53424,26432,73543,52656,17063,46643,96943,85147,175
Belastingschulden 5,9177,98611,32412,72212,8599,8269,53110,0639,23112,7765,8835,7843,9933,2103,4392,8673,1912,6292,1301,325
Uitgestelde opbrengsten 18,80731,39435,91235,63036,02036,78734,60029,18126,19730,10220,86522,5665,2124,3414,5673,9174,18214,11215,51115,569
Overige kortlopende verplichtingen 40,30823,90114,79014,94013,42212,85612,32912,53711,42910,58010,2359,8559,5529,6978,0868,2198,07010,0269,5769,258
Totaal kortlopende verplichtingen 100,48998,85690,384103,79398,43592,50592,49598,10487,222130,464114,32275,37269,24571,77176,65389,38196,99381,29179,91482,903
Langlopende verplichtingen:
Langetermijnschulden 1,65839,93437,67440,84127,59627,54130,50930,63720,2147,8629,51311,92115,00616,5767,79210,07711,01917,07321,69424,882
Uitgestelde opbrengsten niet-vlottend 36,05630,20929,25829,18429,63229,95429,23431,42732,95427,27735,31730,50030,13629,82928,83829,43130,24530,70231,55632,853
Uitgestelde belastingverplichtingen niet-vlottend 10,7341,5141,3058762966261,1229356469473994214555115534224434586310
Overige niet-vlottende verplichtingen 32,0382,2432,1492,3442,4042,3902,4242,5452,9032,9522,7412,8883,1173,4853,5593,3523,7923,8783,7642,931
Totaal niet-vlottende verplichtingen 80,48673,90070,38673,24559,92860,51163,28965,54456,71739,03847,97045,73048,71450,40140,74243,28245,49952,11157,07760,676
Totaal passiva 180,975172,756160,770177,038158,363153,016155,784163,648143,939169,502162,292121,102117,959122,172117,395132,663142,492133,402136,991143,579
Eigen vermogen:
Preferente aandelen 0308,395293,450272,094255,2235,0164,7749,11511,91205,4741,10900000000
Gewone aandelen 18,67518,67518,67518,67518,67518,67518,67518,67518,67518,67518,67518,67518,67518,67518,67518,67518,67418,53617,83117,152
Ingehouden winsten 275,464256,852241,718220,464203,375186,248171,161157,596144,551130,753114,961106,731100,26798,37495,55693,00490,72085,25879,64377,444
Overige gereserveerde algehele resultaten 30,8506,4966,6965,418-9,725-5,016-4,774-9,115-11,9121,390-5,474-1,10900000000
Overige totale aandeelhoudersvermogen 27,938-275,527-260,393-239,139-222,05028,15828,40020,35118,21430,12824,65329,02226,52425,87826,30625,48428,11130,98231,71928,573
Totaal eigen vermogen van aandeelhouders 352,927314,891300,146277,512245,498233,081218,236196,622181,440180,946158,289154,428145,466142,927140,537137,163137,505134,776129,193123,169
Totaal eigen vermogen 386,581343,891327,508304,427270,433257,097241,380222,229205,622204,361180,203175,563165,634162,178158,674154,898154,904151,817145,839138,627
Totaal passiva en aandeelhoudersvermogen 567,556516,647488,278481,465428,796410,113397,164385,877349,561373,863342,495296,665283,593284,350276,069287,561297,396285,219282,830282,206