FTGroup Co., Ltd.

TSE:2763.T

1104 (JPY) • At close November 8, 2024
Overzicht | Financiële gegevens

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

20242023202220212020201920182017201620152014201320122011201020092008
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 19,92617,14612,7758,90211,917.03611,917.03610,223.9087,623.3068,148.749,491.2776,137.0626,148.3693,365.5553,942.6353,010.183,845.9563,568.351
Kortetermijnbeleggingen 206188258292292246.714-571.991347.61205-131.088-65.997-165.101-165.699-138.186-54.4-16.105-22.447
Liquide middelen en kortetermijnbeleggingen 19,92617,33413,0339,19411,917.03611,917.03610,223.9087,623.3068,148.749,491.2776,137.0626,148.3693,365.5553,942.6353,010.183,845.9563,568.351
Nettovorderingen 7,6348,52213,3998,6108,288.0018,288.0018,084.2387,789.0546,981.0845,289.3945,750.9917,141.8116,876.3556,485.8876,013.3415,038.3096,899.425
Voorraad 2501063368991,401.861,401.861,794.6282,181.2111,383.896989.9181,647.812,822.4354,438.8792,070.2941,877.9551,574.4242,592.679
Overige vlottende activa 6733095683192,069.2442,069.2441,540.1041,707.1721,042.8387.712246.432312.099536.283468.872322.528300.968258.946
Totaal vlottende activa 28,48326,27127,33619,02223,676.14123,676.14121,642.87819,300.74317,556.5216,158.30113,782.29516,424.71415,217.07212,967.68811,224.00410,759.65713,319.401
Niet-vlottende activa:
Materiële vaste activa, netto 8027412,7483,9101,371.0691,371.0691,447.2881,585.6371,478.1211,441.5781,471.5951,193.9081,172.9681,254.1161,375.091,324.3062,847.287
Goodwill 116116326404280.553280.553411.303540.05570.09695.453136.78235.26654.788170.167318.189354.509885.479
Immateriële activa 233338452164232.83232.83236.624292.215250.269170.275134.302130.376134.502158.129121.83696.42787.494
Goodwill en immateriële activa 349454778568513.383513.383647.927832.27320.365265.728271.084165.642189.29328.296440.025450.936972.973
Langetermijnbeleggingen 2,9863,5642,7863,0443,793.5233,793.5231,266.645917.2741,040.575860.768730.871364.642332.994507.748365.689315.759281.22
Belastingvorderingen 3533664733679.957679.95761.24340.6828.45711.5036.3385.48945.26111.486115.989178.786174.889
Overige niet-vlottende activa 4271,6716,1955,213843.962843.962807.828843.799817.664816.318792.343899.143781.564735.407708.687901.6251,830.348
Totaal niet-vlottende activa 4,5996,46313,17113,4687,201.8947,201.8944,230.9314,219.663,685.1823,395.8953,272.2232,708.8242,522.0762,937.0533,005.483,171.4126,106.717
Totaal activa 33,08232,73440,50732,49030,878.03630,878.03625,873.80923,520.40421,241.70319,554.19617,054.51819,133.53817,739.14815,904.74114,229.48413,931.06919,426.118
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 2,0303,3155,3264,8733,221.383,221.383,104.122855.991846.5912,976.0983,277.8424,446.0054,873.6364,552.7693,669.6354,052.5364,633.353
Kortlopende schulden 1,7533,15610,6292,0801,897.0231,897.0231,636.2281,509.0891,267.8591,531.4621,419.5273,746.5245,030.4884,798.723,260.0972,845.9096,505.808
Belastingschulden 1,5531,652309606749.397749.3971,300.739333.794936.864994.592949.6281,073.907348.529111.479179.36576.01123.655
Uitgestelde opbrengsten 1,5531,6593286102,650.7162,650.7162,910.324,032.2744,669.0111,846.0491,732.281,748.011975.759580.552594.522468.361516.155
Overige kortlopende verplichtingen 1,3321,1521,6518571,282.5151,282.5151,556.7371,683.2161,893.1682,009.1261,398.9751,263.316392.97488.65421.204680.404909.948
Totaal kortlopende verplichtingen 6,6689,28217,9348,4209,051.6349,051.6349,207.4078,080.578,676.6298,362.7357,828.62411,203.85611,272.85310,420.6917,945.4588,047.2112,565.264
Langlopende verplichtingen:
Langetermijnschulden 1,6692,0185,5878,2526,983.6596,983.6592,786.272,792.08584.959256.386331.667776.971977.068969.11,778.8121,868.9242,673.885
Uitgestelde opbrengsten niet-vlottend 349000-20-2215.8424.762028.36219.6050036.53730.8300
Uitgestelde belastingverplichtingen niet-vlottend 26748075920202210.7420.81400.38136.2560010.30410.06900
Overige niet-vlottende verplichtingen 45141133729389.50389.503103.253127.07690.77634.69253.94129.201199.051117.37594.257253.718574.82
Totaal niet-vlottende verplichtingen 2,7362,9096,6838,5657,073.1627,073.1622,896.1072,924.737175.735319.821441.468906.1721,176.1191,133.3161,913.9682,122.6423,248.705
Totaal passiva 9,40412,19124,61716,98516,124.79616,124.79612,103.51411,005.3078,852.3648,682.5568,270.09212,110.02812,448.97211,554.0079,859.42610,169.85215,813.969
Eigen vermogen:
Preferente aandelen 00000000000000000
Gewone aandelen 1,3441,3441,3441,3441,3441,3441,344.6061,344.131,322.1851,312.7731,298.2531,226.7451,164.7421,160.321,158.428961.058772.606
Ingehouden winsten 21,94618,53614,63914,49615,095.26715,095.26712,955.69711,503.13810,286.6668,169.7686,100.5713,909.1822,366.1471,635.1261,534.9421,199.5671,288.268
Overige gereserveerde algehele resultaten 1111128.42249.86936.59556.425911438000000
Overige totale aandeelhoudersvermogen 386662-94-542-2,136.768-2,164.19-1,002.044-765.432374.639910.774897.182826.107803.496784.297760.855534.607360.851
Totaal eigen vermogen van aandeelhouders 23,67720,54315,89015,29914,303.49914,303.49913,348.12812,118.43112,039.91510,484.3158,439.0066,042.0344,334.3853,579.7433,454.2252,695.2322,421.725
Totaal eigen vermogen 23,67720,54315,89015,50514,753.2414,753.2413,770.29312,515.09712,389.33910,871.648,784.4267,023.515,290.1764,350.7344,370.0583,761.2173,612.149
Totaal passiva en aandeelhoudersvermogen 33,08132,73440,50732,49030,878.03630,878.03625,873.80723,520.40421,241.70319,554.19617,054.51819,133.53817,739.14815,904.74114,229.48413,931.06919,426.118