DD Holdings Co.,Ltd.

TSE:3073.T

1297 (JPY) • At close May 9, 2025
Overzicht | Financiële gegevens

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

20242023202220212020201920182017201620152014201320122011201020092008
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 7,47910,30112,0398,3534,259.9767,915.7835,675.3354,737.0145,099.1094,156.9654,735.4584,009.7513,029.6882,471.7591,278.6692,434.9251,687.985
Kortetermijnbeleggingen 083271157196426378-5,927.218-309.236248.87817014014600052.408
Liquide middelen en kortetermijnbeleggingen 7,47910,58512,0398,3534,259.9767,915.7835,675.3354,737.0145,099.1094,156.9654,735.4584,009.7513,029.6882,471.7591,278.6692,434.9251,740.393
Nettovorderingen 1,8531,4829534722,377.633-426.217633.667633.579469.145587.23461.806355.264405.235316.703274.041303.3550
Voorraad 1,029739758781715.312797.273363.628351.613203.128190.439160.153145.119135.508120.2682.3765.07168.188
Overige vlottende activa 9506931,2975,303806.0172,905.0651,734.691,633.231,037.923656.395641.894555.613535.489844.333587.368529.752573.68
Totaal vlottende activa 11,31113,49915,04714,9098,508.26911,618.1219,000.2157,714.156,809.3055,591.0295,999.3115,065.7474,105.923,592.852,077.7753,157.9822,382.261
Niet-vlottende activa:
Materiële vaste activa, netto 10,0969,4759,97010,29410,956.01714,411.2297,307.2537,605.7965,119.6475,079.8243,251.3792,526.0722,623.9793,199.6082,833.762,576.2482,736.485
Goodwill 2,4012,5812,7612,9423,122.5874,526.7162,934.2763,120.039112.634228.27519.133321.821455.043605.653114.035159.641205.253
Immateriële activa 38515556101.451180.376146.573119.49980.8782.14281.30985.00766.41828.2918.95524.50421.657
Goodwill en immateriële activa 2,4392,6322,8162,9983,224.0384,707.0923,080.8493,239.538193.504310.412600.442406.828521.461633.943132.99184.145226.91
Langetermijnbeleggingen 1,4241,5425,6165,6886,6916,6736,5297,907.961,763.989157.677188.13385.81181.39496.103108.19789.60866.111
Belastingvorderingen 1,6862,6461,7971,7971,831.7731,007.194407.012946.305461.223206.526461.321383.711396.904345.656275.221188.834109.041
Overige niet-vlottende activa 4,3514,498-14797.987163.229228.699239.2994,389.9724,526.8274,186.0163,954.1164,169.3464,316.2663,022.5922,597.3432,431.803
Totaal niet-vlottende activa 19,99620,79320,19820,82422,800.81526,961.74417,552.81319,938.89811,928.33510,281.2668,687.2917,356.5387,793.0848,591.5766,372.765,636.1785,570.35
Totaal activa 31,30734,29235,24835,73631,309.08738,579.86926,553.03227,653.04818,737.6415,872.29514,686.60212,422.28511,899.00412,184.4268,450.5358,794.167,952.611
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 7277168113853851,468.3071,369.2541,289.967701.563700.469612.189518.22523.412497.045381.043667.446532.716
Kortlopende schulden 3,08814,10514,5402,19510,499.7555,570.5084,058.9896,856.214,110.4592,742.1472,640.0792,260.8182,296.1162,594.4611,202.151,086.1841,023.231
Belastingschulden 03116519797.767569.846755.65476.476586.576347.791248.827276.207166.747261.112321.905549.519243.938
Uitgestelde opbrengsten 0311,8794,4553,419.2432,542.6732,437.8832,128.1651,715.6061,442.2551,221.6981,111.073997.3471,073.659955.0581,122.588819.56
Overige kortlopende verplichtingen 2,6852,8041,1353194,676.7754,014.3793,256.5943,492.9712,498.4761,998.7212,054.7851,408.8591,534.7781,453.3521,214.821,234.0341,144.385
Totaal kortlopende verplichtingen 6,50017,68720,40912,00615,659.29711,623.049,440.48712,115.6247,897.0745,789.1285,555.884,464.1044,521.0534,805.973,119.9183,537.1832,944.27
Langlopende verplichtingen:
Langetermijnschulden 13,4954,8416,38116,30413,758.11715,734.1479,101.9537,399.4595,415.4985,723.2835,222.9614,007.6673,712.4193,681.4772,063.1462,245.4732,601.542
Uitgestelde opbrengsten niet-vlottend 2241,265115.65618.85917.28553.133239.50123.98134.241104.15900000
Uitgestelde belastingverplichtingen niet-vlottend 767784807826756.747774.6119.805386.6051,157.6671,211.866742.362816.32500000
Overige niet-vlottende verplichtingen 1,7751,243491,3572,193.2471,896.0371,705.9311,717.01272.005-68.166-247.28439.322805.654857.334587.662678.585796.831
Totaal niet-vlottende verplichtingen 16,0596,8688,50218,48815,951.36418,423.65310,844.9749,556.2096,884.6716,890.9645,752.284,967.4734,518.0734,538.8112,650.8082,924.0583,398.373
Totaal passiva 22,55924,55428,91130,49431,610.66130,046.69320,285.46121,671.83314,781.74512,680.09211,308.169,431.5779,039.1269,344.7815,770.7266,461.2416,342.643
Eigen vermogen:
Preferente aandelen 005,0004,5240000000000000
Gewone aandelen 40100100100993.131699.384699.384699.384661.067530.148502.015502.015502.015502.015502.015499.09493.94
Ingehouden winsten 3,2801,083-2,292-3,238-3,001.0635,573.974,338.4513,367.4232,502.8321,940.5442,285.3781,958.7251,850.2031,844.9221,688.1921,347.152654.63
Overige gereserveerde algehele resultaten 157235955142.649138.547127.769925.404158.413189.39116910900000
Overige totale aandeelhoudersvermogen 4,6167,6627,6627,6621,031734.071745.067616.545575.431448.48420.347420.624507.66489.602489.602486.677461.398
Totaal eigen vermogen van aandeelhouders 8,0939,0805,5654,529-976.0477,007.4255,782.9025,608.7563,897.7433,108.5663,378.4422,990.7082,859.8782,839.6452,679.8092,332.9191,609.968
Totaal eigen vermogen 8,7449,7386,3375,242-301.5748,533.1766,267.5715,981.2153,955.8953,192.2033,378.4422,990.7082,859.8782,839.6452,679.8092,332.9191,609.968
Totaal passiva en aandeelhoudersvermogen 31,30734,29235,24835,73631,309.08738,579.86926,553.03227,653.04818,737.6415,872.29514,686.60212,422.28511,899.00412,184.4268,450.5358,794.167,952.611