PAL GROUP Holdings CO., LTD.

TSE:2726.T

3035 (JPY) • At close November 12, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 67,22863,84552,25063,08852,72745,63340,72835,95935,17443,50333,04432,57031,175.45127,473.91326,688.97223,837.27420,961.76320,451.93415,801.9667,771.79
Kortetermijnbeleggingen 0-12,244-12,583-13,451-13,564-13,541-13,505-13,414-13,388-12,750-11,801-11,0700010003.5830.4880-0.9
Liquide middelen en kortetermijnbeleggingen 67,22863,84552,25063,08852,72745,63340,72835,95935,17443,50333,04432,57031,175.45127,473.91326,788.97223,837.27420,965.34320,482.42215,801.9667,771.79
Nettovorderingen 10,3738,5536,3427,3106,4356,5665,9235,8445,6376,1834,6354,5394,430.7634,117.4674,619.6764,182.2973,428.5733,402.0092,904.4151,487.35
Voorraad 16,52312,54110,7669,7407,84710,4389,9358,6069,1607,7075,9615,4394,076.6283,430.1033,246.6693,291.5873,194.833,368.0392,907.6461,974.932
Overige vlottende activa 2,5685575011,8288338721,604879704588700564437.808407.197402.976341.521307.958287.414223.987179.301
Totaal vlottende activa 96,69285,49669,85981,96667,84263,50958,19051,28850,67557,98144,34043,11240,120.6535,428.6835,058.29331,652.67927,896.70427,539.88421,838.01411,413.373
Niet-vlottende activa:
Materiële vaste activa, netto 10,9059,1206,6087,6777,7808,1538,2339,90310,4939,2118,0537,1916,876.0715,370.3465,367.9314,802.6514,048.2563,528.5892,762.8852,307.047
Goodwill 00000000000000000008
Immateriële activa 393333467549690808637398315201617238.32746.67965.0464.44576.74283.33362.94652.148
Goodwill en immateriële activa 393333467549690808637398315201617238.32746.67965.0464.44576.74283.33362.94660.148
Langetermijnbeleggingen 2,34114,24614,17715,17916,33314,50314,40014,13214,16113,59312,75612,104678.681502.813250.703371.145496.432317.508663.3111,330.54
Belastingvorderingen 4,4953,3142,6152,8132,308760879837716513464433763.893630.992584.7590.093487.001323.247329.83476.615
Overige niet-vlottende activa 12,834-1-1-10-254952355652250352011,914.49611,499.80911,056.7910,183.459,119.8348,206.1358,052.9326,070.762
Totaal niet-vlottende activa 30,96827,01223,86626,21727,11124,22224,69825,79326,24124,04021,83720,32020,271.46818,050.63917,325.16416,011.78414,228.26512,458.81211,871.9089,845.112
Totaal activa 127,660112,51093,728108,18694,95487,73582,89077,08376,91882,02366,18063,43560,392.11853,479.31952,383.45747,664.46342,124.96939,998.69633,709.92221,258.485
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 28,84524,33520,36624,68820,81416,86714,67312,61015,18818,20711,45510,8869,946.2278,956.90810,240.2949,649.46,951.9456,826.5275,359.4563,299.059
Kortlopende schulden 7843,3145,63220,1986,4927,5957,6726,2044,7884,1843,6312,4642,560.1232,623.8772,397.312,414.7782,759.9332,830.9331,863.4792,570.245
Belastingschulden 3,4804,8281,940882761,5923951,5436602,3631,0081,5372,162.2141,847.6951,426.112773.6251,180.687660.0562,249.335265.977
Uitgestelde opbrengsten 1,08210,7726,8004,6945,1945,9244,1464,9793,7685,9093,8254,1654,719.9264,230.5693,698.6182,811.3093,026.142,134.3753,327.7151,054.643
Overige kortlopende verplichtingen -18,013-24,347-18,770-22,175-17,586-15,487-11,468-10,261-12,129-16,274-9,513-9,714-9,453.005-8,616.799-9,178.786-8,404.658-6,477.612-6,113.335-6,332.824-2,782.661
Totaal kortlopende verplichtingen 45,02343,23736,33452,18136,00433,35830,09127,68527,46332,59621,86120,22419,881.71217,999.15818,823.84216,893.85414,393.03813,165.08311,826.6177,706.322
Langlopende verplichtingen:
Langetermijnschulden 10,9639,1576,7688,4339,2779,64510,6547,8388,5368,0466,4577,3536,746.0286,069.096,577.0995,967.3954,804.1644,544.044,619.5773,950.941
Uitgestelde opbrengsten niet-vlottend 1,0984,8773,2103,2002,9722,9943,5813,8994,7955,0074,5514,0994,306.552,685.992,926.86300000
Uitgestelde belastingverplichtingen niet-vlottend 73911242834101310131530.86244.85257.66700000
Overige niet-vlottende verplichtingen 6,38848271770715662605069122166.974247.473324.4983,157.6562,252.591,990.1751,886.8341,276.776
Totaal niet-vlottende verplichtingen 19,18814,08310,00611,65212,32312,73814,32511,80913,40413,11311,09011,58911,250.4149,047.4059,886.1279,125.0517,056.7546,534.2156,506.4115,227.717
Totaal passiva 64,21157,32046,34063,83348,32746,09644,41639,49440,86745,70932,95131,81331,132.12627,046.56328,709.96926,018.90521,449.79219,699.29818,333.02812,934.039
Eigen vermogen:
Preferente aandelen 055,18847,42944,51846,53141,37300000000000000
Gewone aandelen 3,1813,1813,1813,1813,1813,1813,1813,1813,1813,1813,1813,1813,181.23,181.23,181.23,181.23,181.23,181.21,674.41,674.4
Ingehouden winsten 59,25449,70341,94339,04040,96935,81132,70031,92730,39628,56325,57123,76020,024.51417,082.07414,300.73512,335.59811,212.9219,897.3518,056.6095,077.227
Overige gereserveerde algehele resultaten 203-6-101-165962662129992324260000000000
Overige totale aandeelhoudersvermogen 806-52,884-45,124-42,221-44,150-38,9922,3812,3822,3822,2322,2332,4282,228.2712,213.8872,211.0592,114.7212,143.5963,159.2341,707.9021,542.402
Totaal eigen vermogen van aandeelhouders 63,44455,18247,32844,35346,62741,63938,47437,58936,05134,30031,24529,36925,433.98522,477.16119,692.99417,631.51916,537.71716,237.78511,438.9118,294.029
Totaal eigen vermogen 63,44455,19047,38844,35346,62741,63938,47437,58936,05136,31433,22931,62229,259.99226,432.75623,673.48821,645.55820,675.17720,299.39815,376.8948,324.446
Totaal passiva en aandeelhoudersvermogen 127,655112,51093,728108,18694,95487,73582,89077,08376,91882,02366,18063,43560,392.11853,479.31952,383.45747,664.46342,124.96939,998.69633,709.92221,258.485