Saint-Care Holding Corporation

TSE:2374.T

732 (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 8,021.9746,687.9445,605.9575,783.7294,196.9333,993.3064,159.9394,154.3643,553.5562,218.7781,936.5341,765.2051,576.481,359.9471,221.8541,082.6091,110.629
Kortetermijnbeleggingen 0-2,713.227-2,724.504-2,606.325-2,650.248-2,569.57-2,232.109-129.735-140.027-171.03929.795-276.553-243.386-196.826-176.075-192.509-196.708
Liquide middelen en kortetermijnbeleggingen 8,021.9746,687.9445,605.9575,783.7294,196.9333,993.3064,159.9394,154.3643,553.5562,218.7781,936.5341,765.2051,576.481,359.9471,221.8541,082.6091,110.629
Nettovorderingen 8,445.1258,212.1057,383.3246,637.2235,361.6515,897.425,986.9785,249.3695,008.7354,248.63,778.6653,632.453,054.5112,645.2542,453.5842,240.792,343.518
Voorraad 118.884119.443137.343125.83557.71341.44547.69148.73847.5784.46788.30888.17177.24272.83566.57149.50460.532
Overige vlottende activa 1,067.0151,090.994998.95867.4835.202793.628792.591514.273296.488374.899488.313310.518332.316394.57212.257248.254478.456
Totaal vlottende activa 17,652.99816,110.48614,125.57413,414.18710,451.49910,725.79910,987.1999,966.7448,906.3496,926.7446,291.825,796.3445,040.5494,472.6063,954.2663,621.1573,993.135
Niet-vlottende activa:
Materiële vaste activa, netto 8,750.938,817.4858,573.2328,097.4438,288.7537,253.9526,958.1236,682.0085,931.0525,560.8085,017.9573,824.2322,772.9971,784.535678.956665.921788.21
Goodwill 302.183374.894450.84199.326256.863315.367374.064437.944628.167582.052636.169793.363785.848949.0771,123.9321,276.5381,476.116
Immateriële activa 279.991277.951383.097487.241611.116655.07638.548528.075471.439503.476378.033373.053351.194307.792304.8291.665336.338
Goodwill en immateriële activa 581.747652.845833.937686.567867.979970.4371,012.612966.0191,099.6061,085.5281,014.2021,166.4161,137.0421,256.8691,428.7321,568.2031,812.454
Langetermijnbeleggingen 91.4982,7732,8222,7573,1262,7582,676.876528.955316.15431.966120.385418.82400.395354.053338.286347.866423.912
Belastingvorderingen 1,292.3121,176.7091,136.6721,056.632928.615793.833341.876282.15262.319240.999318.488235.383186.236169.684147.884129.798130.117
Overige niet-vlottende activa 2,648.246-0.0340.073-0.35-0.029-0.683333.9572,409.6662,704.0462,373.9532,556.5932,074.5161,782.9881,610.5231,480.8021,345.2051,422.801
Totaal niet-vlottende activa 13,364.73313,420.00513,365.91412,597.29213,211.31811,775.53911,323.44410,868.79810,313.1739,693.2549,027.6257,719.3676,279.6585,175.6644,074.664,056.9934,577.494
Totaal activa 31,017.73129,530.49627,491.49226,011.48223,662.8222,501.34222,310.64220,835.54219,219.52216,619.99815,319.44513,515.71111,320.2079,648.278,028.9267,678.158,570.629
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 549.55540.505524.297500.286488.41474.585461.8592,714.5292,572.4762,446.4282,368.562,345.8061,981.1981,769.0871,667.5461,519.1171,750.59
Kortlopende schulden 1,141.9471,318.114954.4161,013.854831.627814.484916.4161,052.6171,171.8261,019.908961.6641,139.117785.412963.564929.394734.471,374.98
Belastingschulden 772.598446.349472.549608.84332.831348.084453.272286.833518.223339.735456.851387.654338.408328.978233.166286.08246.724
Uitgestelde opbrengsten 27.254,949.6914,916.3754,790.6674,086.5153,951.6014,102.4791,072.4211,347.67730.372801.111756.578504.401447.365361.589328.44294.075
Overige kortlopende verplichtingen 6,765.726647.69689.306646.074577.2754.685692.979459.887471.741493.203382.162514.111645.364462.332295.53239.042393.794
Totaal kortlopende verplichtingen 8,484.4737,4567,084.3946,950.8815,983.7525,995.3556,173.7335,299.4545,563.7134,689.9114,513.4974,755.6123,916.3753,642.3483,254.0592,821.0693,813.439
Langlopende verplichtingen:
Langetermijnschulden 1,280.1665,219.1824,652.2765,069.044,882.7964,384.2784,865.9515,291.7825,841.0064,851.5764,378.0763,272.0752,675.3232,145.9191,708.9452,295.4022,439.556
Uitgestelde opbrengsten niet-vlottend 2,782.103-28.88-25.567-22.416-20.871-16.434-15.542-12.193000000000
Uitgestelde belastingverplichtingen niet-vlottend 29.54228.8825.56722.41620.87116.43415.54212.193000000000
Overige niet-vlottende verplichtingen 2,372.7212,210.0712,099.6781,742.421,654.741,480.7641,264.7551,184.1251,091.2531,025.2981,134.35930.568819.293762.75643.429513.334314.568
Totaal niet-vlottende verplichtingen 6,464.5327,429.2536,751.9546,811.466,537.5365,865.0426,130.7066,475.9076,932.2595,876.8745,512.4264,202.6433,494.6162,908.6692,352.3742,808.7362,754.124
Totaal passiva 14,949.00514,885.25313,836.34813,762.34112,521.28811,860.39712,304.43911,775.36112,495.97210,566.78510,025.9238,958.2557,410.9916,551.0175,606.4335,629.8056,567.563
Eigen vermogen:
Preferente aandelen 005.6670000014.299826000000
Gewone aandelen 1,772.4051,772.4051,764.6461,757.0481,734.051,734.051,731.511,731.511,012.1141,009.8391,009.8391,009.8391,009.8391,009.8391,009.8391,009.8391,009.839
Ingehouden winsten 12,801.02911,389.52710,175.718,738.4447,624.5017,141.5596,524.5155,640.7424,761.6394,088.2833,362.0622,552.8961,966.061,232.227556.297179.1128.863
Overige gereserveerde algehele resultaten -3.4681.397-5.66740.79386.63772.31864.8853.564-14.299-8-264300000
Overige totale aandeelhoudersvermogen 1,498.7581,481.9131,714.7871,712.8551,681.9851,681.9851,679.4451,679.488945.844832.925815.128840.8863.623854.855850.502837.872838.267
Totaal eigen vermogen van aandeelhouders 16,068.72414,645.24213,655.14312,249.1411,127.17310,629.91210,000.3559,055.3046,719.5975,931.0475,187.0294,446.5353,839.5223,096.9212,416.6382,026.8111,976.969
Totaal eigen vermogen 16,068.72414,645.24213,655.14312,249.1411,141.53110,640.94510,006.2039,060.1816,723.556,053.2135,293.5224,557.4563,909.2163,097.2532,422.4932,048.3452,003.066
Totaal passiva en aandeelhoudersvermogen 31,017.72929,530.49527,491.49126,011.48123,648.46122,501.34222,310.64220,835.54219,219.52216,619.99815,319.44513,515.71111,320.2079,648.278,028.9267,678.158,570.629