Japan Best Rescue System Co.,Ltd.

TSE:2453.T

997 (JPY) • At close March 22, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 13,812.47214,080.05711,538.2658,770.6378,271.3957,756.5596,356.7327,614.3226,934.2168,292.2596,393.0956,376.3435,522.7673,769.2292,514.9022,509.963
Kortetermijnbeleggingen -1,453.678510.001-1,458.144-1,222.24-1,106.196000100100100100100.148100.034-281.784-124.576
Liquide middelen en kortetermijnbeleggingen 13,812.47214,080.05711,538.2658,770.6378,271.3957,756.5596,356.7327,614.3227,034.2168,392.2596,493.0956,476.3435,622.9153,869.2632,514.9022,509.963
Nettovorderingen 1,892.8742,074.4492,953.0611,060.9281,146.9271,532.1011,409.811,369.1641,181.221,383.8982,747.253866.523828.5671,015.858875.244406.015
Voorraad 14.94814.38359.96381.0783.99378.54890.65895.13927.27147.43355.99683.46632.99910.2959.6088.175
Overige vlottende activa 156.477158.704848.397984.737572.336353.599440.587347.555535.951292.478219.496398.26492.427139.717112.956294.804
Totaal vlottende activa 15,876.77116,327.59315,399.68610,897.37210,074.6519,720.8078,297.7879,426.188,778.65810,116.0689,515.847,824.5966,576.9085,035.1333,512.713,218.957
Niet-vlottende activa:
Materiële vaste activa, netto 111.997151.363176.714157.158162.668136.331169.35162.315218.43703.07727.228177.545695.604235.76393.97358.152
Goodwill 1,469.8351,654.2871,863.745594.282147.662215.49108.319274.639165.436279.16123.8517.69419.99926.2630
Immateriële activa 589.157801.793986.079423.605330.195325.855204.016184.158171.064117.346151.261180.124198.002258.166261.028204.669
Goodwill en immateriële activa 2,058.9922,456.082,849.819478.605424.477473.517419.506292.477445.703282.782430.422203.975205.696278.165287.291204.669
Langetermijnbeleggingen 7,588.2015,698.0938,356.9528,781.967,190.1470001,340.6981,219.1850.52586.32572.852743.4031,384.1291,359.926
Belastingvorderingen 346.94656.913435.502136.897311.1190001,506.09145.817211.0241.21633.6115.4727.48887.655
Overige niet-vlottende activa 2,138.7492,594.779957.178752.197598.6754,634.544,334.0512,447.772-358.927811.35687.925846.396873.111757.165243.56285.536
Totaal niet-vlottende activa 12,244.87911,557.22812,776.16510,306.8178,687.0865,244.3884,922.9072,902.5643,151.9943,162.1192,907.1191,815.4522,380.8742,019.9662,036.4411,995.938
Totaal activa 28,121.65527,884.82428,175.85521,204.19418,761.7414,965.19813,220.69412,328.74411,930.65213,278.18712,422.9599,640.0488,957.7827,055.0995,549.1515,214.895
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 402.561469.099514.649358.3338.711405.35504.423510.797535.523528.859504.997371.789252.561239.928215.793193.903
Kortlopende schulden 302.551404.0511,154.6094.107302.019702.752685.326243.585585.0451,710.3023,819.8252,726.2592,096.5381,715.9961,297.0761,073.548
Belastingschulden 183.293215.999309.09406.852212.863320.943117.082276.35840.013346.297186.711162.504369.61128.5319.97193.358
Uitgestelde opbrengsten 4,770.5883,064.8513,993.3033,282.7832,942.223320.9431,615.0511,374.869935.444590.452389.152320.066483.01295.049184.16250.569
Overige kortlopende verplichtingen 1,896.2913,502.8781,856.9331,438.314842.5663,186.5341,433.11,323.7241,482.5681,271.9671,240.41801.001690.662629.085391.887286.037
Totaal kortlopende verplichtingen 7,371.9917,440.8797,519.4945,083.5044,425.5194,615.5794,237.93,452.9753,538.584,101.585,954.3844,219.1153,522.7712,880.0582,088.9161,804.057
Langlopende verplichtingen:
Langetermijnschulden 1,469.7181,828.0882,001.8062,368.4491,191.2058.22410.872650.527859.762,050.6122,319.9041,764.5632,049.9171,486.573953.893740.448
Uitgestelde opbrengsten niet-vlottend 8,096.7797,511.3356,567.6355,657.5694,885.494,003.0473,304.6122,652.8552,028.7641,502.1591,123.056733.609401.399166.152108.639109.275
Uitgestelde belastingverplichtingen niet-vlottend 130.661119.598272.73487.2856.362203.94203.243120.27273.23513.20384.6936.30162.05562.5352.2870
Overige niet-vlottende verplichtingen 162.994182.019145.39699.68898.55492.11190.16613.09725.53315.22943.926.38584.83120.7670.0010
Totaal niet-vlottende verplichtingen 9,860.1529,641.048,987.5718,212.9866,231.6114,307.3223,608.8933,436.7512,987.2923,581.2033,571.552,560.8582,598.2021,736.0221,114.82849.723
Totaal passiva 17,232.14317,081.91916,507.06513,296.4910,657.138,922.9017,846.7936,889.7266,525.8727,682.7839,525.9346,779.9736,120.9734,616.083,203.7362,653.78
Eigen vermogen:
Preferente aandelen 72.264235.50200000000000000
Gewone aandelen 780.363780.363780.363780.363780.363780.363779.643779.643779.643779.643762.902756.86756.86756.86756.86756.86
Ingehouden winsten 2,917.2232,833.7093,410.0513,848.0123,353.8272,153.0711,274.654656.815742.2451,020.3621,902.3971,612.1591,450.655955.298755.361879.751
Overige gereserveerde algehele resultaten -72.264-235.502661.306294.164150.90100000000000
Overige totale aandeelhoudersvermogen 5,887.2116,258.2116,475.8722,672.4123,627.5823,108.8633,319.6044,002.563,814.5773,626.70937.175358.746568.008726.861829.458783.321
Totaal eigen vermogen van aandeelhouders 9,584.7979,872.28311,327.5927,594.9517,912.6736,042.2975,373.9015,439.0185,336.4655,426.7142,702.4742,727.7652,775.5232,439.0192,341.6792,419.932
Totaal eigen vermogen 10,889.51210,802.90511,668.797,907.7048,104.616,042.2975,373.9015,439.0185,336.4655,426.7142,702.4742,727.7652,775.5232,439.0192,341.6792,419.932
Totaal passiva en aandeelhoudersvermogen 28,121.65527,884.82428,175.85521,204.19418,761.7414,965.19813,220.69412,328.74411,930.65213,278.18712,422.9599,640.0488,957.7827,055.0995,549.1515,214.895