Kura Sushi,Inc.

TSE:2695.T

3660 (JPY) • At close September 19, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 18,94013,16918,74820,61120,96516,451.23412,840.43710,293.329,240.3157,168.4475,846.8624,972.3394,144.8984,270.7392,655.084593.6182,005.221,348.091
Kortetermijnbeleggingen 1,24800000-4,352.538-7,862.921-2,363.371-2,280.793-2,512.205-7,595.063-3,960.021-3,653.06-3,647.4840-2,612.860
Liquide middelen en kortetermijnbeleggingen 20,18813,16918,74820,61120,96516,451.23412,840.43710,293.329,240.3157,168.4475,846.8624,972.3394,144.8984,270.7392,655.084593.6182,005.221,348.091
Nettovorderingen 5,1624,6423,5543,8541,8831,293.852915.317133.918180.981162.101118.381718.056684.806749.103738.631690.47391.65361.348
Voorraad 2,5222,4101,7981,7151,342994.635722.181629.152648.857638.957466.822319.211347.501325.621288.06243.198118.68123.038
Overige vlottende activa 2,8892,8975,3641,9781,3751,255.0071,193.927990.7751,141.113818.958702.602385.17471.215119.504113.333137.438192.609120.123
Totaal vlottende activa 30,76123,11829,46428,15825,56519,994.72815,671.86212,047.16511,211.2668,788.4637,134.6676,394.785,248.425,464.9673,795.1081,664.7242,708.1591,952.6
Niet-vlottende activa:
Materiële vaste activa, netto 84,39372,26856,74445,29331,38028,831.9327,160.21723,825.06121,280.72319,625.0419,629.38517,468.29616,385.64314,400.81212,143.79310,045.6278,264.3937,897.719
Goodwill 000000000000000000
Immateriële activa 1,5721,251899705688397.039355.261378.005557.273921.3341,258.0351,041.337902.224639.478337.139108.56996.46760.08
Goodwill en immateriële activa 1,5721,251899705688397.039355.261378.005557.273921.3341,258.0351,041.337902.224639.478337.139108.56996.46760.08
Langetermijnbeleggingen 11,92511,39710,5129,8399,1508,480.7148,104.9589,012.2917,502.3717,232.7937,107.2058,002.1284,367.0863,750.9653,745.3893,257.6412,766.6242,200.862
Belastingvorderingen 516327531355772637.185628.399471.646390.526444.733461.514437.586440.278202.327331.449547.3682,499.5352,231.911
Overige niet-vlottende activa 9501,254836750658727.95824.688792.5721,115.3551,127.346888.220.4833,287.2253,107.8212,945.7682,838.8819.46311.064
Totaal niet-vlottende activa 99,35686,49769,52256,94242,64839,074.81837,073.52334,479.57530,846.24829,351.24629,344.35926,949.8325,382.45622,101.40319,503.53816,798.08513,646.48212,401.636
Totaal activa 130,119109,62198,98985,10268,21659,069.54852,745.38746,526.74342,057.51738,139.71136,479.02933,344.61330,630.87627,566.37123,298.64618,462.80916,354.64114,354.236
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 7,0656,6096,0866,5095,1234,944.7584,536.4614,435.64,246.6313,750.593,217.8752,902.6195,686.045,386.1145,126.4524,508.8753,819.0463,063.622
Kortlopende schulden 5,7704,3163,8012,6881,6131,572.2471,548.7331,311.7371,622.9361,915.521,873.9541,622.1251,304.748790.363451.02281.25205205
Belastingschulden 1,0995872,6761,5641,3981,526.4081,261.6781,412.3361,248.2971,309.2221,014.631,541.92678.5411,572.6841,536.924670.217879.879952.785
Uitgestelde opbrengsten 9,1128,1539,5618,3626,6101,526.4085,570.3165,317.1344,881.0264,622.7774,036.4074,216.108683.6191,723.81,648.304846.391881.106952.785
Overige kortlopende verplichtingen 4,2243,4833,7475,0251,9636,182.4371,221.3911,104.231,206.6031,329.027558.5769.42952.65146.52944.41539.21746.42887.186
Totaal kortlopende verplichtingen 26,17122,56123,19522,58415,30914,225.8512,876.90112,168.70111,957.19611,617.9149,686.8068,810.2817,727.0587,946.8067,270.1915,675.7334,951.584,308.593
Langlopende verplichtingen:
Langetermijnschulden 29,23024,19618,14912,3563,0573,155.3522,998.3972,390.3212,179.6372,744.2623,535.2423,493.5623,751.2252,644.4351,747.976850131.25336.25
Uitgestelde opbrengsten niet-vlottend -5,940-4,195-2,785-2,572-728-6000000000118.367107.297103.51300
Uitgestelde belastingverplichtingen niet-vlottend 5,9404,1952,7852,57272860000000000116.78367.74800
Overige niet-vlottende verplichtingen 4,1553,8992,9902,5962,6402,413.152,145.0911,760.2881,597.8581,484.111,436.8071,332.0561,263.343229.30224.04910.65.7970
Totaal niet-vlottende verplichtingen 33,38528,09521,13914,9525,6975,568.5025,143.4884,150.6093,777.4954,228.3724,972.0494,825.6185,014.5682,992.1041,996.1051,031.861137.047336.25
Totaal passiva 59,55650,65644,33437,53621,00619,794.35218,020.38916,319.3115,734.69115,846.28614,658.85513,635.89912,741.62610,938.919,266.2966,707.5945,088.6274,644.843
Eigen vermogen:
Preferente aandelen 000000000000000000
Gewone aandelen 2,0052,0052,0052,0052,0052,005.3292,005.3292,005.3292,005.3292,005.3292,005.3292,005.3292,005.3292,005.3292,005.3292,005.3292,005.3291,989.434
Ingehouden winsten 40,29440,26540,31339,20340,25537,081.4232,543.62628,181.05824,145.60220,233.09217,440.7252,319.89213,549.53512,287.7479,692.6357,415.5016,843.1145,318.283
Overige gereserveerde algehele resultaten 4,3422,980789216100206195.0840.08319074400000000
Overige totale aandeelhoudersvermogen 8,8985,7945,4832,9031,792-17.553-19.037-19.037-18.105-18.9962,334.1215,383.4932,334.3862,334.3852,334.3862,334.3852,417.5712,401.676
Totaal eigen vermogen van aandeelhouders 55,53951,04448,59044,32744,15239,275.19634,724.99830,207.43326,322.82622,293.42521,820.17419,708.71417,889.2516,627.46114,032.3511,755.21511,266.0149,709.393
Totaal eigen vermogen 70,56358,96554,65547,56647,21039,275.19634,724.99830,207.43326,322.82622,293.42521,820.17419,708.71417,889.2516,627.46114,032.3511,755.21511,266.0149,709.393
Totaal passiva en aandeelhoudersvermogen 130,119109,62198,98985,10268,21659,069.54852,745.38746,526.74342,057.51738,139.71136,479.02933,344.61330,630.87627,566.37123,298.64618,462.80916,354.64114,354.236