Hakuhodo DY Holdings Inc

TSE:2433.T

1178.5 (JPY) • At close July 1, 2025
Overzicht | Financiële gegevens

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

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Operationele Activiteiten:
Nettowinst 5,245-5,30631730,2285,567-7,4786,32518,35815,62811,65013,57448,68116,18316,42113,42328,77321,6901,7471,45922,47817,26827,7787,34715,33216,42129,13724,97612,83816,70412,2728,81412,44213,44212,7186,35713,83714,79810,9186,6989,66211,47511,3646,42312,7589,22511,0264,0303,8208,8767,4024,8509,7488,4305,801-3,6244,5548,5652,555-2,5423,8162,8051,216-1,6902,588165
Afschrijvingen & Amortisatie 0007,4656,4006,2345,8306,2976,1517,7814,3134,7335,4315,3383,8363,8593,6864,7403,0633,3723,3574,6423,2332,8153,7012,9802,5302,0522,0062,2781,8232,0281,9431,6041,7551,9961,6441,2871,3021,8181,5011,1489741,6368039948388209078078138587097017217978281,0201,1861,3081,2201,1411,1182,9571,299
Uitgestelde Inkomstenbelasting 00000000000000000000000000000000000000000000000000000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000000000000000000000000000000000000000000000000000
Verandering in Werkkapitaal 0003,324-8,325-47,19529,628-42,174-14,49515,83247,444-15,088-47,337-5,7795,773-22,0367,061-1,885-2,5694,6222,813-12,235-6,09013,2503,69016,480-36,78413,419-3,289-9,353-15,58812,181-12,534-1,891-19,32021,218-12,3154,822-14,41314,089-3,8245,906-13,17714,1009903,549-8,0359,266-2,313-10,9145,4629,387-12,031-6,51010,99611,096-4,505-6,6135,8914,662-5,62821914,6483,023-2,657
Vorderingen 000-30,864-50,782-10,591106,507-66,454-31,597-8,394142,573-87,463-29,001-15,14367,486-56,823-60,8327,627107,874-23,601-25,858-6,41661,938-29,842-24,784-14,08950,104-21,889-32,882-6,35938,498-12,928-39,077-11341,505-15,025-38,4381,26129,590-7,300-16,9657,40729,340-20,566-20,2213,17424,818-11,189-17,3304,048000000000000000
Voorraden 0008,449-4,958-7,288-10,12636,563-5,923739-11,59923,188-22,844-15,169-11,6675,144-5,955-2,901-1,8935,233663-541-3287,535-1,91272-3,0277,160-4,433-1,443-2,7224,835-6,215-843-2,4262,594-3,652-1,8734922,506-2,656-99-2,6783,415-1,128-913-1,2472,996-95-400-2,0091,740-1,069-707-1,4503,435-1,9201,223-1,4267,036-1,4181,212-8676,743-911
Crediteuren 00020,10515,980-31,135-43,50327,02028,339-16,408-49,97726,04145,592-12,745-53,20032,9180000000000000000000000000000000000000000000000000
Overig Werkkapitaal 0005,63431,4351,819-23,250-39,303-5,31439,895-33,55349,1874,50824,53317,440-27,18013,0161,016-676-6112,150-11,694-5,7625,7155,60216,408-33,7576,2591,144-7,910-12,8667,346-6,319-1,048-16,89418,624-8,6636,695-14,90511,583-1,1686,005-10,49910,6852,1184,462-6,7886,270-2,218-10,5147,4717,647-10,962-5,80312,4467,661-2,585-7,8367,317-2,374-4,210-99315,515-3,720-1,746
Overige Niet-Contante Posten -5,2455,306-3174,8181,23315,414-32,3454,556-3,902-13,542-39,436-29,5015,99210,546-17,80021,100-6,704-16,971-10,801563-8,265-25,341-18,1764,377-3,590-53,93712,1442,804-3,497-11,6026912,287-3,515-14,7751,566-2,248471-11,840-8,4773,854-4,345-11,029-2,525-2,045-2,215-12,206-3,602-6745,009-3,367-13,0014,5363,396-4,755-8,3162,7301,798-384-4,3605213,552585-4,1932,7605,430
Kasstroom uit Operationele Activiteiten 00028,5954,875-33,0259,438-12,9633,38221,72125,8958,825-19,73126,5265,23231,69625,733-12,369-8,84831,03515,173-5,156-13,68635,77420,222-5,3402,86631,11311,924-6,405-4,26028,938-664-2,344-9,64234,8034,5985,187-14,89029,4234,8077,389-8,30526,4498,8033,363-6,76913,23212,479-6,072-1,87624,529504-4,763-22319,1776,686-3,42217510,3071,9493,1619,88311,3284,237
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa 000-4,220-4,219-4,729-3,798-7,000-3,718-4,920-2,269-3,584-2,613-2,851-1,400-4,266-1,926-2,096-2,482-3,379-3,443-3,168-2,546-3,175-2,018-2,140-2,809-2,332-1,319-1,268-1,493-1,821-1,472-1,061-1,375-1,411-1,075-1,648-4,016-1,051-964-1,872-781-3,171-751-722-965-765-2,903-662-1,129-425-489-470-468-384-348-188-646-298-390-293-308-324-998
Netto Overnames 000-58826-3,563-6690-2,905-12,4882,535321-1,471-4,915-592-3,175-275-5,748-4,942-412-708-5,001-187-374-6,601-2,069-4,388-9,786-640-741-78-235-661-602-1,891-360-54-13,378-1,718-219-1,067-2,061-2,375-161189-68241-1,012-293-304-145-299-248-195-367-338-31-1,171-99-92-196-151859-1,085
Aankoop van Beleggingen 000-2,723-806-2,281-1,926-891-1,128-3,396-3,926-3,039-4,518-1,338-1,468-1,476-2,671-957-669-1,825-2,393-1,842-1,402-1,827-1,282-370-2,634-1,194-1,982-1,593-1,035-2,870-517-1,260-1,948-7,606-6,788-3,654-4,397-2,670-5,235-5,320-5,784-10,531-5,080-4,227-3,168-2,897-7,020-1,771-626-399-2,955-2,457-1,536-3,388-655-2,175-563-1,834143-2,085-1,461-2,369-373
Verkoop/verval van Beleggingen 00027,2817226361,8262,8226511,46637331,7093,1441,0011,3209,2367,94995371837624817,1451,6471,5763011,9341,4593922,0908177882,2954,8638543,9268,7355,3175,0905,5613,6917,9555,6073,7407,8593,2235,6205,7983,1278,0201,2983851,3352831,2422,9311,4862,4021,0684172,538354632,0844,872303
Overige Investeringsactiviteiten 000-3532,6931,801635-824-1,0393,592183-18,877-3,99639-675167-8902,742-237,7192,9472,282-2,686-3842821,735-31-948-1,142399566-1,150-5001,384-239-462-8762,475-421-710-3732,218-292-691-470513-26-558-2291,933-277-448-6191,663-1,7451,200-1,3582,1541,506-1,405563-246-1,0985,0856,326
Kasstroom uit Investeringsactiviteiten 00019,399-1,584-8,136-3,329-5,803-8,139-15,746-3,1046,530-8,223-6,784-2,8154862,187-5,106-7,3982,479-3,3499,416-5,174-4,184-9,318-910-8,403-13,868-2,993-2,386-1,252-3,7811,713-685-1,527-1,104-3,476-11,115-4,991-959316-1,428-5,492-6,695-3,0601,193957-1,052-3,144505-1,951-82-4,079-270-1,013-1,453-297828-457-1,098578-2,757-9348,1234,173
Financieringsactiviteiten:
Schuldaflossingen 000-36,662-7537,6494,9341,628-7451,020-6,875-12,49710,05666210,207-7,271133-65911,166-1,789834-3,053-1,2813,962-38392,30629-147-542-990-2254971,018-198794679-291,72633-44159-115-251,260-29-1,246566440-492600-19782132-444-23631644946-361-262143-252-233-393-2,329
Uitgifte van Gewone Aandelen 0000000000000000000000009242041658129382030702136391101,4995675269005010533380000000000
Terugkoop van Gewone Aandelen 000000-3,286-4,372-2,341-1-269-990-511-1,101-3980-7540000-225-7670-4-20-1-20-1-1-3-300-5010-1,0020000-6,289-65-2-10-4240000-14-1,5480-3,109000000000
Uitgekeerde Dividenden 000-518-5,352-518-5,380-533-5,445-557-5,790-502-5,113-495-5,094-513-5,085-513-5,080-143-5,449-78-5,143-135-5,081-69-4,770-134-4,710-126-4,339-130-4,337-52-3,296-375-2,977-43-2,746-318-2,474-269-2,005-54-2,219-34-1,481-121-1,395-107-1,220-109-1,218-105-1,220-108-1,244-105-1,241-110-1,237-82-881-147-1,587
Overige Financieringsactiviteiten 000-2,00718,852-1,224-5,316-1,104-1,515-459-1,750-1,335-1,908-496-684-2,352-759-587-493-241-591-1,047-1,453-457-399-105,877-1,628-109-197-1,766-1,143-73-113-2,119190-1,591785-1,1804073-58-536-426-51244-31-355-29834-84-360-150-49-186-294-6553-35-639-57-133-352-10-9
Kasstroom uit Financieringsactiviteiten 000-39,19113,40835,907-9,048-4,381-10,0463-14,415-14,3343,035-1,4304,031-10,136-6,465-1,7595,593-2,173-5,206-4,178-7,8773,370-5,775-13,240-6,329-386-5,444-2,875-5,696300-3,432-2,361-2,310-1,287-2,221503-2,285-753-2,467-529-8,7352,589-1,439-1,311-1,201-401-1,899459-1,776-177-1,096-2,032-1,712-2,966-1,067-94-1,665-363-1,125-467-1,466-550-3,925
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 000-8371,0982,767647-4,9171,3243,3362,6701,787866031,317347-312-100-805472-97-298-236-558290402-994-400653-257-3041,148-126-1,355-482137-699186-157728709-114-33273110018259479930-352362-34-330-5879-10160-439-2021-21883229-617-457
Netto Kasstroomverandering 0007,96717,797-2,487-2,291-28,317-13,6609,31411,0472,807-24,83318,9167,76522,39221,144-19,334-11,45931,8136,522-215-26,97534,4025,414-19,086-12,42616,4584,142-11,924-11,51426,607-2,508-6,745-13,96432,527-1,799-5,238-22,32528,4393,3675,318-22,86623,0744,4033,428-6,57612,5777,468-5,450-5,24224,237-5,003-7,122-2,86814,6565,383-3,126-1,9698,8671,184207,71218,2854,029
Kaspositie aan het Einde van de Periode 000180,068172,101154,303156,790159,081187,398201,058191,744180,697177,890202,723183,807176,042153,650132,506151,840163,299131,486124,964125,179152,154117,752112,338131,424143,850127,392123,250135,174146,688120,081122,589129,334143,298110,771112,570117,808140,133111,694108,327103,009125,875102,80198,39894,970101,54688,96981,50186,95192,19367,95672,95980,08182,94968,29362,91066,03668,00559,13857,95457,93450,22231,937