PIETRO Co., Ltd.

TSE:2818.T

1779 (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 2,567.5441,313.811,257.8992,000.8161,692.5531,659.021,456.3381,804.1331,307.161,402.8341,069.4631,182.551,032.022758.0181,003.93827.764849.737
Kortetermijnbeleggingen 914533322168-403.147610.641.93543436200000
Liquide middelen en kortetermijnbeleggingen 2,567.5441,313.811,257.8992,000.8161,692.5531,659.021,456.3381,804.1331,307.161,402.8341,069.4631,182.551,032.022758.0181,003.93827.764849.737
Nettovorderingen 1,573.1641,369.7411,372.3471,401.6331,357.4631,481.6211,682.4911,348.7241,422.6361,340.1731,210.5671,245.2071,347.9531,409.146807.5923.462926.157
Voorraad 403.68319.057317.734296.691259.644211.669216.323199.426242.414218.593206.46210.756195.312197.139166.76149.573147.485
Overige vlottende activa 106.489137.509136.101115.232124.64114.581187.556117.578128.012113.897103.416107.226132.376272.1165.99347.84357.031
Totaal vlottende activa 4,650.8773,140.1173,084.0813,814.3723,434.33,466.8913,542.7083,469.8613,100.2223,075.4972,589.9062,745.7392,707.6632,636.4132,044.1831,948.6421,980.41
Niet-vlottende activa:
Materiële vaste activa, netto 5,137.8495,300.8025,687.1255,153.6255,046.2425,071.7734,740.0584,994.6074,2463,639.2563,673.4383,765.1683,753.7693,937.5344,059.7493,869.2364,183.04
Goodwill 000000.0840.950000000000
Immateriële activa 57.14488.321115.276128.391165.854433230.55145.552.1465.23218.00414.1946.9416.4496.9428.617
Goodwill en immateriële activa 57.14488.321115.276128.391165.85443.08432.9530.55145.552.1465.23218.00414.1946.9416.4496.9428.617
Langetermijnbeleggingen 14.408583571630524581586.13110.644107.6188.17772.82891547.92453.19758.09448.2463.11
Belastingvorderingen 249.169132.133111.75291.58788.7749.12436.003204.48119.39322.90734.85-9158.6365.0130.802181.824308.886
Overige niet-vlottende activa 514.969-412.333-389.626-418.099-373.125-374.26141.652809.529846.374872.0991,003.412915.351805.422839.1481,098.7511,002.7971,124.868
Totaal niet-vlottende activa 5,973.5395,691.9236,095.5275,585.5045,451.7415,370.725,436.7936,149.8125,264.8774,674.5794,849.764,698.5234,629.9454,841.8335,223.8455,109.0395,688.521
Totaal activa 10,624.4168,832.0429,179.6129,399.8788,886.0448,837.6128,979.5029,619.6738,365.0997,750.0767,439.6667,444.2627,337.6087,478.2467,268.0287,057.6817,668.931
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 659.948530.489471.238419.742407.096479.377539.233830.699936.491885.755764.7271,013.521,092.927602.657397.004428.618445.229
Kortlopende schulden 1,514.4651,463.3331,470.7941,522.0241,451.5541,483.261,658.2661,693.2882,045.0081,5551,368.161,573.221,618.491,818.4722,129.6862,038.5241,999.616
Belastingschulden 158.41420.5386.037134.428141.177163.99412.843124.38890.277169.316185.167169.14334.73213.281118.33314.3989.528
Uitgestelde opbrengsten 24.155645.774567.705559.837706.53707.999618.749170.469137.662217.599231.606218.05885.28559.94169.28866.92564.439
Overige kortlopende verplichtingen 1,255.019373.107268.273272.61236.707248.216329.977223.038215.646316.103238.726218.928216.084580.981488.172507.979453.081
Totaal kortlopende verplichtingen 3,453.5873,012.7032,778.012,774.2132,801.8872,918.8523,146.2252,917.4943,334.8072,974.4572,603.2193,023.7263,012.7863,062.053,184.153,042.0462,962.365
Langlopende verplichtingen:
Langetermijnschulden 16.647223.796368.978527.232233.242198.691326.695501.151346.908346.607678.913463.795563.273762.099888.4691,098.5881,267.112
Uitgestelde opbrengsten niet-vlottend 53.539-25.145-25.421-23.363-36.323-50.389-52.3120000604.64600000
Uitgestelde belastingverplichtingen niet-vlottend 41.20425.14525.42123.36336.32350.38952.31200009.7900000
Overige niet-vlottende verplichtingen 629.876537.558502.039456.094438.696399.914364.837913.476870.176824.974760.08989.132635.265574.531511.701518.143507.353
Totaal niet-vlottende verplichtingen 741.266761.354871.017983.326671.938598.605691.5321,414.6271,217.0841,171.5811,439.0021,167.3631,198.5381,336.631,400.171,616.7311,774.465
Totaal passiva 4,194.8533,774.0573,649.0273,757.5393,473.8253,517.4573,837.7574,332.1214,551.8914,146.0384,042.2214,191.0894,211.3244,398.684,584.324,658.7774,736.83
Eigen vermogen:
Preferente aandelen 0008.8198.465000000000000
Gewone aandelen 1,719.8971,042.3891,042.3891,042.3891,042.3891,042.3891,042.3891,042.389474.4474.4474.4474.4474.4474.4474.4474.4474.4
Ingehouden winsten 3,203.1423,238.8853,783.3643,758.9313,567.2123,474.8223,301.5233,141.8232,789.9212,581.3342,390.6682,252.0242,133.3582,082.3611,749.0271,469.5761,980.837
Overige gereserveerde algehele resultaten 50.49135.1870.234-8.819-8.46531.17226.09129.19942.73731161000000
Overige totale aandeelhoudersvermogen 1,456.03741.524704.598841.018802.605771.74771.7421,074.141506.15512.408516.377516.744513.972513.822460.281454.928476.864
Totaal eigen vermogen van aandeelhouders 6,429.565,057.9855,530.5855,642.3385,412.2065,320.1235,141.7455,287.5523,813.2083,599.1423,397.4453,253.1683,121.733,070.5832,683.7082,398.9042,932.101
Totaal eigen vermogen 6,429.565,057.9855,530.5855,642.3395,412.2195,320.1555,141.7455,287.5523,813.2083,604.0383,397.4453,253.1733,126.2843,079.5662,683.7082,398.9042,932.101
Totaal passiva en aandeelhoudersvermogen 10,624.4138,832.0429,179.6129,399.8788,886.0448,837.6128,979.5029,619.6738,365.0997,750.0767,439.6667,444.2627,337.6087,478.2467,268.0287,057.6817,668.931