Bic Camera Inc.

TSE:3048.T

1669.5 (JPY) • At close November 8, 2024
Overzicht | Financiële gegevens

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

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Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 71,39675,13591,081108,973117,21125,79121,96719,99725,13722,41026,27633,13847,13721,11624,00624,40124,20224,48535,300.76928,533.083
Kortetermijnbeleggingen 0-45,5771,545-45,928-45,451-45,624-47,694-48,515-47,145-50,088-50,517-51,817-409-1,156-1,206-1,449-1,563-1,371-4,627.558-1,302.558
Liquide middelen en kortetermijnbeleggingen 71,39675,13591,081108,973117,21125,79121,96719,99725,13722,41026,27633,13847,13721,11624,00624,40124,20224,48535,300.76928,533.083
Nettovorderingen 49,14744,54041,67237,50140,98639,00840,69138,38034,71436,24737,99741,22443,06039,72041,12339,20527,69833,62618,748.65316,158.498
Voorraad 110,437105,835101,38599,144101,574128,636106,731102,32194,07882,16774,33272,14687,38538,21835,33837,14543,26436,12130,354.48922,609.355
Overige vlottende activa 32,48721,73518,12012,45914,03815,50113,83311,45513,31512,53812,92922,55822,4452,8912,8223,76613,4092,8698,858.3197,112.873
Totaal vlottende activa 263,467247,245252,258258,077273,809208,936183,222172,153167,244153,362151,534169,066200,027101,945103,289104,517108,57397,10193,262.2374,413.809
Niet-vlottende activa:
Materiële vaste activa, netto 80,03183,10487,03085,77490,37487,50984,51581,97276,41576,61177,78978,05579,47559,96060,17262,20362,05445,57040,556.80235,179.544
Goodwill 9,6495,3035,4964,7423,24003,9904,3514,7125,0720000000000
Immateriële activa 29,70526,68724,72626,29822,13923,10518,68217,77817,05018,97318,81119,01617,16714,33714,74314,06814,3295,1194,876.8773,091.398
Goodwill en immateriële activa 39,35431,99030,22231,04025,37923,10522,67222,12921,76224,04518,81119,01617,16714,33714,74314,06814,3295,1194,876.8773,091.398
Langetermijnbeleggingen 26,53062,49513,43258,15760,00459,25064,75262,88658,91864,47363,04063,44212,00813,58413,78120,46622,18022,28520,932.9157,666.856
Belastingvorderingen 20,76020,86324,46620,81221,54120,7859,46910,04110,9679,60516,39015,90018,1703,2533,6822,1002,701747671.1321,422.762
Overige niet-vlottende activa 48,1064,14049,0556029638619721,0261,4601,4811,8322,03753,81926,75826,09027,59128,34631,01630,339.16924,603.568
Totaal niet-vlottende activa 214,781202,592204,205196,385198,261191,510182,380178,054169,522176,215177,862178,450180,639117,892118,468126,428129,610104,73797,376.89571,964.128
Totaal activa 478,248449,840456,466454,466472,074400,451365,605350,211336,769329,580329,400347,520380,666219,837221,757230,945238,183201,838190,639.125146,377.937
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 50,01439,91942,81038,09858,30158,38747,22247,17739,84644,03842,20445,13150,31736,38041,18939,69345,84443,22240,583.46732,266.966
Kortlopende schulden 78,44398,85288,56482,61154,51360,07258,33857,85047,02556,76954,674100,675105,58440,04944,05562,28054,75342,99338,743.77838,226.458
Belastingschulden 02,8172,4554,5723,1433,4296,1805,1285,3964,7118,5141,3725755,4444,4092,8595,6844,9454,083.4653,146.833
Uitgestelde opbrengsten 31,52938,85534,39021,39220,16220,0676,18020,31520,19919,36024,62025,23926,89221,18620,51218,26720,4906,6545,555.8184,043.84
Overige kortlopende verplichtingen 53,02327,23632,01731,48840,98135,40144,82124,93025,40525,39528,25827,90128,54114,01714,83313,47713,28223,29521,049.71716,292.481
Totaal kortlopende verplichtingen 213,009204,862197,781173,589173,957173,927156,561150,272132,475145,562149,756198,946211,334111,632120,589133,717134,369116,164105,932.7890,829.745
Langlopende verplichtingen:
Langetermijnschulden 25,55924,71244,93268,07696,18731,16322,25723,27944,34933,19843,18531,59153,59024,25531,06928,41239,45528,01636,557.72340,183.539
Uitgestelde opbrengsten niet-vlottend 9,0058,7818,94228,39327,54527,12425,86225,54924,68323,52322,60219,76722,6219,2865,4345,0370000
Uitgestelde belastingverplichtingen niet-vlottend 655476828726145832371661038810521253229270000
Overige niet-vlottende verplichtingen 36,83734,62734,8524,1624,4514,8144,9245,3546,0646,3656,6035,5094,9722,3921,9761,9426,2705,1844,885.7532,539.9
Totaal niet-vlottende verplichtingen 72,05668,59689,554101,357128,32863,18453,28054,34875,19963,17472,49556,88881,20835,96538,50835,41845,72533,20041,443.47642,723.439
Totaal passiva 285,065273,458287,335274,946302,285237,111209,841204,620207,674208,736222,251255,834292,542147,597159,097169,135180,094149,364147,376.256133,553.184
Eigen vermogen:
Preferente aandelen 5,385000000029900000000000
Gewone aandelen 25,92925,92925,92925,92925,92925,92925,92923,23723,23723,23718,40218,40218,40218,40218,40218,40218,40212,54812,548.271,050
Ingehouden winsten 110,09499,43898,753105,98398,63096,69987,11272,19560,87250,70645,59236,11935,40033,96926,64322,35318,93422,94715,551.5449,706.348
Overige gereserveerde algehele resultaten 11,0406,6201,4611,5952,2019253,5932,637-2992,5311,36990300000000
Overige totale aandeelhoudersvermogen 25,3975,41410,37310,40510,40113,30924,14423,78824,14219,30819,30818,63019,07417,00017,05816,76514,79213,777.8051,110.934
Totaal eigen vermogen van aandeelhouders 152,450137,384131,557143,880137,165133,954129,943122,213107,897100,61684,67174,73272,43271,44562,04557,81354,10150,28741,877.61911,867.282
Totaal eigen vermogen 193,179176,382169,131179,520169,789163,340155,764145,591129,095120,844107,14991,68688,12472,24062,66061,81058,08952,47443,262.86912,824.753
Totaal passiva en aandeelhoudersvermogen 478,248449,840456,466454,466472,074400,451365,605350,211336,769329,580329,400347,520380,666219,837221,757230,945238,183201,838190,639.125146,377.937