Ichimasa Kamaboko Co., Ltd.

TSE:2904.T

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

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 3,222.3191,414.2752,318.8331,320.891,316.993977.9881,222.241,033.505861.5391,210.9511,424.2951,567.664927.9381,000.118932.051672.425881.937
Kortetermijnbeleggingen 38.366-382.316-261.111-270.133-506.208-552.00233.209196.00633.200000000
Liquide middelen en kortetermijnbeleggingen 3,222.3191,414.2752,318.8331,320.891,316.993977.9881,222.241,033.505861.5391,210.9511,424.2951,567.664927.9381,000.118932.051672.425881.937
Nettovorderingen 3,799.7913,336.3762,884.6563,123.2662,916.5143,380.8183,181.0332,727.2982,691.3212,733.4492,764.1652,951.2252,865.1152,360.0272,300.6052,343.1332,429.524
Voorraad 3,650.3254,798.7513,709.6463,164.4363,178.0793,299.1242,892.7842,681.3682,698.8782,736.7472,387.161,962.232,199.2891,794.8021,990.8841,715.0322,299.227
Overige vlottende activa 178.944972.285199.335267.301138.0994.39886.66974.8578.283107.553327.53380.05892.85958.7233.65727.77484.952
Totaal vlottende activa 10,851.37910,521.6879,112.477,875.8937,549.6767,752.3287,382.7266,517.0216,330.0216,788.76,903.1536,561.1776,085.2015,213.6675,257.1974,758.3645,695.64
Niet-vlottende activa:
Materiële vaste activa, netto 17,642.90917,235.6512,943.79110,842.94710,834.9712,326.18612,902.67413,034.40313,773.05915,193.78313,798.67211,740.69511,497.18610,306.88311,445.912,142.08312,945.664
Goodwill 000006.37519.12731.87844.6357.38170.13382.884002.816.56315.268
Immateriële activa 354.26390.134434.986501.445515.468429.541340.336298.143296.042330.849314.711294.2740241.665231.244232.774225.187
Goodwill en immateriële activa 354.26390.134434.986501.445515.468435.916359.463330.021340.672388.23384.844377.158284.631241.665234.054239.337240.455
Langetermijnbeleggingen 2,103.7562,3962,7282,9043,0713,1032,978.1132,915.882,705.0232,872.1772,113.9061,895.851,572.0081,405.8981,432.5391,379.9171,488.54
Belastingvorderingen 87.223135.78776.29691.3182.48380.16973.43273.43683.73468.2268.2268.2272.40576.72384.89283.9182.736
Overige niet-vlottende activa 353.356-0.7310.5170.5080.3070.594636.264649.31702.615621.644606.231458.246524.086525.331440.06462.92481.027
Totaal niet-vlottende activa 20,541.50420,156.8416,183.5914,340.2114,504.22815,945.86516,949.94617,003.0517,605.10319,144.05416,971.87314,540.16913,950.31612,556.513,637.44514,308.16715,238.422
Totaal activa 31,392.88330,678.5325,296.06222,216.10522,053.90623,698.19624,332.67223,520.07223,935.12425,932.75423,875.02621,101.34620,035.51717,770.16718,894.64219,066.53120,934.062
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,949.2761,942.0671,984.7651,924.3972,090.6382,298.1091,860.4293,406.973,228.2051,914.9431,946.4763,111.443,319.822,500.4982,449.612,182.7893,656.172
Kortlopende schulden 2,500.6515,869.2592,875.0351,834.232,143.653,497.6874,623.663,516.5924,503.8156,214.3794,887.9984,089.0223,563.4634,650.4936,047.2727,722.4627,270.872
Belastingschulden 245.47893.525176.90630.079306.86372.618200.911518.028363.148192.68820.131448.773112.69213.394727.515217.40640.132
Uitgestelde opbrengsten 245.4782,110.4142,136.9592,090.0612,230.3082,305.624200.911578.772423.2481,657.2411,476.098504.503190.213313.612834.909294.963104.093
Overige kortlopende verplichtingen 3,730.5581,049.0421,367.64370.291354.968331.2012,112.265357.142358.305301.506666.642321.013576.796138.398166.446129.424122.205
Totaal kortlopende verplichtingen 8,425.96310,970.7828,364.3996,218.9796,819.5648,432.6218,797.2657,859.4768,513.57310,088.0698,977.2148,025.9787,650.2927,603.0019,498.23710,329.63811,153.342
Langlopende verplichtingen:
Langetermijnschulden 6,255.2855,628.792,735.7072,089.8693,361.4193,543.9423,764.254,525.0255,038.575,125.6795,442.8214,917.5975,157.1393,635.9692,923.0113,334.6145,011.607
Uitgestelde opbrengsten niet-vlottend 1,481.68-438.998134.2680106.32990.21373.98791.65863.167198.897182.182150.956129.606462.415473.445485.809524.711
Uitgestelde belastingverplichtingen niet-vlottend 205.067438.9989.1770402.722399.772592.694560.204551.335713.908411.869334.979240.51439.34925.443153.135200.912
Overige niet-vlottende verplichtingen 520.466499.304189.519322.081189.273189.439192.698204.118225.775142.74418.478166.264167.452169.958148.644151.677155.128
Totaal niet-vlottende verplichtingen 8,462.4986,128.0943,068.6712,411.954,059.7434,223.3664,623.6295,381.0055,878.8476,181.2286,055.355,569.7965,694.7114,307.6913,570.5434,125.2355,892.358
Totaal passiva 16,888.46117,098.87611,433.078,630.92910,879.30712,655.98713,420.89413,240.48114,392.4216,269.29715,032.56413,595.77413,345.00311,910.69213,068.7814,454.87317,045.7
Eigen vermogen:
Preferente aandelen 00000000000000000
Gewone aandelen 940940940940940940940940940940940940940940940940940
Ingehouden winsten 11,917.45911,182.2811,320.45510,940.3418,404.8578,281.7817,738.567,291.9076,556.4756,446.0726,413.0435,314.4674,806.4494,173.7244,090.8172,885.4732,077.848
Overige gereserveerde algehele resultaten 1,163.095973.5091,118.6711,174.4821,302.2431,296.8031,652.2261,454.4651,453.961,64285361700000
Overige totale aandeelhoudersvermogen 483.866483.865483.866530.353527.499523.625580.992593.219592.269635.385636.419634.105944.065745.751795.045786.185870.514
Totaal eigen vermogen van aandeelhouders 14,504.4213,579.65413,862.99213,585.17611,174.59911,042.20910,911.77810,279.5919,542.7049,663.4578,842.4627,505.5726,690.5145,859.4755,825.8624,611.6583,888.362
Totaal eigen vermogen 14,504.4213,579.65413,862.99213,585.17611,174.59911,042.20910,911.77810,279.5919,542.7049,663.4578,842.4627,505.5726,690.5145,859.4755,825.8624,611.6583,888.362
Totaal passiva en aandeelhoudersvermogen 31,392.88330,678.5325,296.06222,216.10522,053.90623,698.19624,332.67223,520.07223,935.12425,932.75423,875.02621,101.34620,035.51717,770.16718,894.64219,066.53120,934.062