Natori Co., Ltd.

TSE:2922.T

2100 (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 5,789.2722,005.3844,880.1343,634.9142,559.9513,862.8333,937.2753,626.9243,657.9543,208.6882,431.4292,858.6361,738.661,762.1392,321.766840.9941,033.854
Kortetermijnbeleggingen 291.031-955.325-891.206-721.569-655.589-550.485293.05313.05313.049000000-315.867-290.11
Liquide middelen en kortetermijnbeleggingen 6,080.3032,005.3844,880.1343,634.9142,559.9513,862.8333,937.2753,626.9243,657.9543,208.6882,431.4292,858.6361,738.661,762.1392,321.766840.9941,033.854
Nettovorderingen 9,070.568,9098,2678,2887,9728,2398,221.7077,676.1646,988.7246,283.2755,910.5165,977.0735,910.3245,302.7535,137.2374,936.8284,815.435
Voorraad 6,806.6166,977.9726,006.5995,900.7865,624.4115,639.5244,998.4995,187.1764,433.7014,160.0543,655.1593,821.2884,643.2253,507.5423,487.0764,354.6814,450.92
Overige vlottende activa 918.178892.275267.079287.785183.122154.603231.011427.216134.505149.871129.145133.934201.186136.481111.835148.152342.587
Totaal vlottende activa 22,875.65718,785.51919,421.53918,111.64816,339.93817,896.07917,388.49216,917.4815,214.88413,801.88812,126.24912,790.93112,493.39510,708.91511,057.91410,280.65510,642.796
Niet-vlottende activa:
Materiële vaste activa, netto 16,945.00818,052.65619,334.80418,835.65419,839.19819,626.64419,632.34417,709.8113,554.4913,889.58613,957.4913,709.05914,069.51413,518.60213,803.38812,144.77911,763.837
Goodwill 0.690.5320.2350.2190.1090.0370.8860000000000
Immateriële activa 916746349150186192200143.828147.066120.207127.19139.226153.774146.865154.467150.716133.157
Goodwill en immateriële activa 916.69746.532349.235150.219186.109192.037200.886143.828147.066120.207127.19139.226153.774146.865154.467150.716133.157
Langetermijnbeleggingen 1,957.1272,2532,1011,8381,6111,6471,276.8121,109.3491,008.6611,016.802798.703712.756619.112521.475567.285835.891895.432
Belastingvorderingen 781.961186.67182.419232.084316.303245.70935.92939.46841.04136.98364.89930.18728.56129.38818.60973.064174.071
Overige niet-vlottende activa 633.538-0.002-0.2140.587-0.0220.281449.401512.188555.087576.334609.537461.763465.627273.288284.582298.671345.683
Totaal niet-vlottende activa 21,234.32421,238.85621,967.24421,056.54421,952.58821,711.67121,595.37219,514.64315,306.34515,639.91215,557.81915,052.99115,336.58814,489.61814,828.33113,503.12113,312.18
Totaal activa 44,109.98140,024.37741,388.78439,168.19438,292.52939,607.75238,983.86436,432.12330,521.22929,441.827,684.06827,843.92227,829.98325,198.53325,886.24523,783.77623,954.976
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 5,634.9283,874.2684,364.883,941.4483,850.6075,189.6285,710.5853,577.0082,317.8295,859.0675,006.1815,818.8133,837.1164,643.2662,764.832,999.8472,823.814
Kortlopende schulden 4,170.8754,413.5753,747.5993,326.0673,382.5873,255.7273,135.3882,767.0473,250.633,693.9823,771.1463,750.7344,808.1012,049.1993,827.9423,207.7332,964.668
Belastingschulden 630.33113.738254.425480.133338.007341.08164.064408.245433.738418.358449.452374.828282.945310.167620.391257.83177.067
Uitgestelde opbrengsten 630.33467.737649.1343,640.8893,181.693,633.1582,967.4834,996.3374,664.164771.774783.222684.613594.176652.083942.224517.84481.461
Overige kortlopende verplichtingen 4,221.7053,026.7333,549.265322.837282.616322.672279.901290.494303.81279.777345.271258.961,474.936335.6021,428.4361,311.5871,178.295
Totaal kortlopende verplichtingen 14,657.83811,782.31312,310.87811,231.24110,697.512,401.18512,093.35711,630.88610,536.43310,604.69,905.8210,513.1210,714.3297,680.158,963.4328,037.0077,448.238
Langlopende verplichtingen:
Langetermijnschulden 1,638.22,977.1234,030.5284,071.025,216.3635,605.295,943.9674,612.4391,012.5761,051.842878.228710.376702.9171,818.9851,686.6161,019.721,301.319
Uitgestelde opbrengsten niet-vlottend 488.077-493.208-480.642-461.23-407.73-456.6461,514.8741,620.4831,571.2881,262.352959.106833.125756.952681.961601.684295.417226.766
Uitgestelde belastingverplichtingen niet-vlottend 671.265493.208480.642461.23407.73456.64669.8414.5550.182107.703188.382192.428206.962244.441235.879478.356586.183
Overige niet-vlottende verplichtingen 1,580.0431,683.2441,641.3551,584.2181,660.1771,626.85168.04566.14666.34566.34463.44263.54163.5470.75878.72869.55258.029
Totaal niet-vlottende verplichtingen 4,377.5854,660.3675,671.8835,655.2386,876.547,232.1417,596.7276,303.6232,650.3912,488.2412,089.1581,799.471,730.3712,816.1452,602.9071,863.0452,172.297
Totaal passiva 19,035.42316,442.6817,982.76116,886.47917,574.0419,633.32619,690.08417,934.50913,186.82413,092.84111,994.97812,312.5912,444.710,496.29511,566.3399,900.0529,620.535
Eigen vermogen:
Preferente aandelen 00000000000000000
Gewone aandelen 1,975.1251,975.1251,975.1251,975.1251,975.1251,975.1251,975.1251,975.1251,975.1251,975.1251,975.1251,975.1251,975.1251,975.1251,975.1251,975.1251,975.125
Ingehouden winsten 22,029.63620,906.23220,775.56519,769.56718,296.04217,441.84516,628.67516,050.47914,927.15413,889.13613,089.58312,308.08511,587.14810,959.6510,872.51610,496.34710,496.424
Overige gereserveerde algehele resultaten 875.332505.682460.675342.294252.53362.611495.053276.898236.94228917910700000
Overige totale aandeelhoudersvermogen 194.462194.658194.658194.729194.792194.845194.927195.112195.184195.698445.3821,141.1221,823.011,767.4631,472.2651,412.2521,862.892
Totaal eigen vermogen van aandeelhouders 25,074.55523,581.69723,406.02322,281.71520,718.48919,974.42619,293.7818,497.61417,334.40516,348.95915,689.0915,531.33215,385.28314,702.23814,319.90613,883.72414,334.441
Totaal eigen vermogen 25,074.55523,581.69723,406.02322,281.71520,718.48919,974.42619,293.7818,497.61417,334.40516,348.95915,689.0915,531.33215,385.28314,702.23814,319.90613,883.72414,334.441
Totaal passiva en aandeelhoudersvermogen 44,109.97840,024.37741,388.78439,168.19438,292.52939,607.75238,983.86436,432.12330,521.22929,441.827,684.06827,843.92227,829.98325,198.53325,886.24523,783.77623,954.976