Core Corporation

TSE:2359.T

1835 (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 6,300.0755,586.9344,700.2353,636.2192,474.2012,633.9152,085.6531,693.2791,527.8281,451.8091,034.3161,136.299977.9841,543.5531,679.3061,768.7362,128.197
Kortetermijnbeleggingen 250-738.63-717.752002501001002525400011.790-8.335-12.749-17.071
Liquide middelen en kortetermijnbeleggingen 6,550.0755,586.9344,700.2353,836.2192,724.2012,733.9152,185.6531,693.2791,527.8281,491.8091,034.3161,136.299989.7741,543.5531,679.3061,768.7362,128.197
Nettovorderingen 7,834.396,966.6796,256.0885,646.7495,180.8454,588.4964,668.6064,573.1844,354.5274,800.8324,386.5964,672.7845,025.294,861.2214,999.0975,459.2146,043.093
Voorraad 292.524278.892325.182404.621905.288631.226675.378971.066533.838532.783709748.117746.94500.548572.781756.8595.228
Overige vlottende activa 295.299295.569330.945216.197919.391646.98672.214223.51291.989307.508376.486534.506394.086266.767184.472228.511111.945
Totaal vlottende activa 14,972.28813,128.07411,612.4510,103.7869,729.7258,600.6178,201.8517,461.0396,708.1827,132.9326,506.3987,091.7067,156.097,172.0897,435.6568,213.2618,878.463
Niet-vlottende activa:
Materiële vaste activa, netto 5,319.1175,405.4875,467.6535,591.1715,710.9365,765.2125,921.2866,064.0116,124.15,959.1496,092.9965,830.8455,509.1595,587.3895,627.7425,752.1493,316.135
Goodwill 00000117.01160.889204.7680000000091.612
Immateriële activa 192.195220.361168.047175.473199.938255.75279.144360.502459.236327.232370.662452.648256.383180.079175.558243.435162.177
Goodwill en immateriële activa 192.195220.361168.047175.473199.938372.76440.033565.27459.236327.232370.662452.648256.383180.079175.558243.435253.789
Langetermijnbeleggingen 2,021.7552,3382,1432,0442,0712,137996.3921,070.0661,010.299925.597806.212866.335871.801853.212943.071846.914864.758
Belastingvorderingen 620.414628.695571.761518.258533.979443.718156.187130.799106.294106.562193.983189.115175.983274.525201.852259.865349.063
Overige niet-vlottende activa 763.79-0.485-0.1620.591-0.41-0.374893.886770.532761.613804.849783.475621.961489.517462.289450.726607.701619.444
Totaal niet-vlottende activa 8,917.2718,592.0588,350.2998,329.4938,515.4438,718.3168,407.7848,600.6788,461.5428,123.3898,247.3287,960.9047,302.8437,357.4947,398.9497,710.0645,403.189
Totaal activa 23,889.55921,720.13419,962.75218,433.28218,245.16917,318.93516,609.63816,061.7215,169.72715,256.32314,753.72815,052.61114,458.93314,529.58314,834.60515,923.32514,281.652
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,781.7531,743.9051,471.1361,209.8781,360.1241,324.9831,558.2281,467.6471,495.6261,438.4651,512.0891,558.9981,590.2931,582.2911,731.8681,966.3852,274.588
Kortlopende schulden 1,671.4721,565.1461,559.6481,913.8321,795.61,955.3891,893.1972,135.5122,284.3983,444.0312,306.3252,056.3921,259.4651,487.2212,133.4942,296.8942,195.898
Belastingschulden 577.388483.353569.785348.72509.877136.146278.232326.072224.52179.8415.691100.938136.499363.341228.829200.374102.538
Uitgestelde opbrengsten 188.2241,652.5961,621.5481,156.2211,448.574925.1791,007.1991,078.032886.187784.979547.938697.903972.517997.689827.915826.922704.653
Overige kortlopende verplichtingen 2,601.513813.453755.0551,211.5381,119.2251,036.49953.907739.289739.856956.389672.504847.087931.766581.512656.144867.951849.428
Totaal kortlopende verplichtingen 6,242.9625,775.15,407.3875,491.4695,723.5235,242.0415,412.5315,420.485,406.0676,623.8645,038.8565,160.384,754.0414,648.7135,349.4215,958.1526,024.567
Langlopende verplichtingen:
Langetermijnschulden 128.359408.078579.525232.346970.3561,479.4921,360.2091,664.3561,485.381495.1681,935.591,582.3251,786.9261,947.7211,871.9432,385.435790.693
Uitgestelde opbrengsten niet-vlottend 132.487231.861229.696236.162238.328231.031231.162227.671230.326233.964241.392257.61400000
Uitgestelde belastingverplichtingen niet-vlottend 76.64559.06562.00583.58579.15282.377103.44188.81443.76583.06732.78952.50400000
Overige niet-vlottende verplichtingen 305.40547.31367.2870.89676.22273.948192.722132.67588.714132.898132.42982.963342.306480.343441.715514.402624.416
Totaal niet-vlottende verplichtingen 642.896746.317938.506622.9891,364.0581,866.8481,887.5342,113.5161,848.186945.0972,342.21,975.4062,129.2322,428.0642,313.6582,899.8371,415.109
Totaal passiva 6,885.8586,521.4176,345.8936,114.4587,087.5817,108.8897,300.0657,533.9967,254.2537,568.9617,381.0567,135.7866,883.2737,076.7777,663.0798,857.9897,439.676
Eigen vermogen:
Preferente aandelen 00000000000000000
Gewone aandelen 440.2440.2440.2440.2440.2440.2440.2440.2440.2440.2440.2440.2440.2440.2440.2440.2440.2
Ingehouden winsten 16,355.12914,727.66113,257.94212,036.85210,995.95710,105.7199,213.0148,528.1128,008.9097,778.3257,692.3767,826.2547,595.517,484.1877,206.9947,112.7216,879.83
Overige gereserveerde algehele resultaten 443.758321.475300.081305.305237.02264.194244.149218.246154.83524212912400000
Overige totale aandeelhoudersvermogen -235.389-338.6-404.857-486.489-525.1-600.996-569.214-626.309-708.006-796.883-901.794-488.55-476.555-485.418-489.699-507.84-501.392
Totaal eigen vermogen van aandeelhouders 17,003.69815,150.73613,593.36612,295.86811,148.07710,209.1179,328.1498,560.2497,895.9387,663.6427,359.7827,901.9047,559.1557,438.9697,157.4957,045.0816,818.638
Totaal eigen vermogen 17,003.69815,198.71713,616.85912,318.82411,157.58810,210.0469,309.5738,527.7247,915.4747,687.3627,372.6727,916.8257,575.667,452.8067,171.5267,065.3366,841.976
Totaal passiva en aandeelhoudersvermogen 23,889.55621,720.13419,962.75218,433.28218,245.16917,318.93516,609.63816,061.7215,169.72715,256.32314,753.72815,052.61114,458.93314,529.58314,834.60515,923.32514,281.652