LIKE Co., Ltd.

TSE:2462.T

1467 (JPY) • At close September 19, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 9,439.59510,669.71710,623.2859,536.23913,092.2117,628.677,304.1995,915.1115,272.9332,433.5572,074.5942,246.4471,843.5061,106.9411,120.1021,098.9351,033.069
Kortetermijnbeleggingen 0-3,111.039-3,017.113-2,880.311-2,872.156-2,429.2942020100.185-1,164.57100.48400.426595.0751,297.567500.82699.614499.444
Liquide middelen en kortetermijnbeleggingen 9,439.59510,669.71710,623.2859,536.23913,092.2117,628.677,304.1995,915.1115,373.1182,433.5572,175.0742,646.8732,438.5812,404.5081,620.9221,798.5491,532.513
Nettovorderingen 6,104.8225,793.1235,425.6614,879.9084,258.0753,795.0914,061.1954,020.6743,465.2292,080.8841,704.1361,421.0971,829.2431,768.1011,390.7221,447.0611,441.162
Voorraad 4.32111.55617.66618.97912.2978.6558.0787.4324.4144.73713.5150.6350.5881.2380.9380.7970.904
Overige vlottende activa 1,056.6951,298.4331,681.8861,691.792,255.3821,656.5071,298.0781,370.319763.407216.266303.997106.679515.669701.5441,145.591751.442794.896
Totaal vlottende activa 16,605.43317,772.82917,748.49816,126.91619,617.96513,088.92312,671.5511,313.5349,626.1684,735.4444,196.7224,175.2844,784.0814,875.3914,158.1733,997.8493,769.475
Niet-vlottende activa:
Materiële vaste activa, netto 16,531.17216,283.48815,683.12515,068.76213,346.70710,098.768,246.3386,443.1345,382.015579.725636.97259.16168.66753.14463.50556.79362.345
Goodwill 073.61517.075961.141,405.2061,854.2712,378.4442,953.0773,433.321516.55818.0340.606.53813.07619.614315.147
Immateriële activa 191.335131.106164.374123.09149.627125.433122.042121.579121.77274.7544.7674552.25939.02218.04418.01831.428
Goodwill en immateriële activa 191.335204.716681.4491,084.231,554.8331,979.7042,500.4863,074.6563,555.093591.3862.80145.652.25945.5631.1237.632346.575
Langetermijnbeleggingen 1,184.883,5863,6163,6143,5813,5152,034.1923,410.413895.5413,3721,602.9111,222.672176.668-496.588212.982-42.526318.073
Belastingvorderingen 815.012786.527768.567870.719721.082618.25459.447-3,410.413835.062-3,372100.48400.4266.4817.59537.92946.29319.503
Overige niet-vlottende activa 3,175.281820.558883.056946.4971,003.4161,008.1781,826.2053,811.151,740.1313,372.4391,158.153322.461,181.7691,711.199958.8491,054.585711.086
Totaal niet-vlottende activa 21,897.6821,681.28921,632.19721,584.20820,207.03817,219.89215,066.66813,328.9412,407.8424,543.4644,361.3172,050.3191,485.8431,330.911,304.3851,152.7771,457.582
Totaal activa 38,503.11339,454.12139,380.69837,711.12839,825.00530,308.81827,738.21624,642.47422,034.0119,278.9088,558.0396,225.6036,269.9246,206.3015,462.5585,150.6265,227.057
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 190.109181.196104.636107.54194.444124.692102.9322,644.6291,852.7751,237.9771,200.803939.6381,231.2271,197.925954.5541,114.531,052.699
Kortlopende schulden 4,387.9117,845.9094,685.5124,260.36710,204.9084,460.7054,198.1034,032.4082,019.61112504.005000000
Belastingschulden 482.8251,184.4361,268.6171,614.9361,431.0441,051.5331,374.0741,726.504824.314724.175135.945153.897343.345687.649518.411283.998404.887
Uitgestelde opbrengsten 515.9296,053.9125,760.4425,582.6825,384.3484,658.2611,374.0742,405.5581,361.127855.839238.488000000
Overige kortlopende verplichtingen 5,925.4251,108.1751,089.8811,264.584743.7671,131.3794,626.231928.0751,108.815324.121407.086234.181439.386778.063590.387428.647549.646
Totaal kortlopende verplichtingen 11,019.37415,189.19211,640.47111,215.17416,427.46710,375.03710,301.3410,010.676,342.3282,429.9372,350.3821,173.8191,670.6131,975.9881,544.9411,543.1771,602.345
Langlopende verplichtingen:
Langetermijnschulden 5,541.9156,717.69611,630.21812,476.5027,167.7836,090.8665,797.2255,200.1996,207.727871.464771.909000000
Uitgestelde opbrengsten niet-vlottend 788.418746.13825.4131,033.52941.167714.15616.795502.975437.55930.30240.125000000
Uitgestelde belastingverplichtingen niet-vlottend 65.66638.57895.302122.761102.046136.318137.79394.39191.91882.73452.576000000
Overige niet-vlottende verplichtingen 4,271.9961,288.0621,167.288922.3771,031.69951.817921.768913.2961,014.065922.117704.96440.450.001000.0010
Totaal niet-vlottende verplichtingen 10,667.9958,790.46613,718.22114,555.169,242.6867,893.1517,473.5816,710.8617,751.2691,906.6171,569.57440.450.001000.0010
Totaal passiva 21,687.36923,979.65825,358.69225,770.33425,670.15318,268.18817,774.92116,721.53114,093.5974,336.5543,919.9561,214.2691,670.6141,975.9881,544.9411,543.1781,602.345
Eigen vermogen:
Preferente aandelen 00000000000000000
Gewone aandelen 1,548.6831,548.6831,548.6831,531.6611,512.6051,490.8071,472.6341,454.1091,437.5471,360.2851,360.2851,360.2851,359.6821,359.281,358.681,357.881,356.96
Ingehouden winsten 15,640.44314,363.29512,792.23810,689.5577,979.6056,717.9155,706.6674,530.8964,198.6792,602.4522,546.2632,782.622,458.132,083.6381,777.0441,483.9521,327.947
Overige gereserveerde algehele resultaten 201.929137.745256.344311.757245.269337.034314.644294.743214.681182967500000
Overige totale aandeelhoudersvermogen -575.315-575.26-575.259-592.181346.326324.639306.572288.243866.915790.054788.771793.429781.498787.395781.893765.616939.805
Totaal eigen vermogen van aandeelhouders 16,815.7415,474.46314,022.00611,940.79410,083.8058,870.3957,800.5176,567.9916,717.8224,934.7914,791.3195,011.3344,599.314,230.3133,917.6173,607.4483,624.712
Totaal eigen vermogen 16,815.7415,474.46314,022.00611,940.79414,154.85212,040.639,963.2957,920.9437,940.4144,942.3544,638.0835,011.3344,599.314,230.3133,917.6173,607.4483,624.712
Totaal passiva en aandeelhoudersvermogen 38,503.10939,454.12139,380.69837,711.12839,825.00530,308.81827,738.21624,642.47422,034.0119,278.9088,558.0396,225.6036,269.9246,206.3015,462.5585,150.6265,227.057