Macnica Fuji Electronics Holdings, Inc.

TSE:3132.T

1758.5 (JPY) • At close November 5, 2024
Overzicht | Financiële gegevens

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

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Operationele Activiteiten:
Nettowinst 7,2138,03012,9119,29417,54719,47915,97117,25613,20411,71810,9138,9168,4108,8424,3664,3223,7273,8622,3012,6162,7462,0452,1493,1003,6373,8953,0314,7594,1733,0464,3451,4482,1101,874-3393,3922,7214,860
Afschrijvingen & Amortisatie 896911965896889870959878888743793609664738654457449426598478461439479419396366496369323312338331316289304279282278
Uitgestelde Inkomstenbelasting 00000000000000000000000000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000000000000000000000000
Verandering in Werkkapitaal -2,494211-9,4428,300-1,031-12,90123,482-32,31725,678-7,017-22,364-4,130-19,540-2,026-3,4552,85713,046-2,8629,4025782,8286,39313,843-17,647-22,693-17,135-10,922-14,071-11,632-5,624-937669-2,036-10,4706,989-8,945-7,143-4,350
Vorderingen -4,8253,43717,67624,740-16,363-2,8601,548-26,136-13,793-2,670-3,523-3,221-13,848-2,572-11,639-9,0743,1745,935367-4,979-7,2256,96014,968-6,666-5,902-3,438-1,014719-13,202-1,623-2,540-987-3,8324,697-1,3642,461-5,670-1,624
Voorraden 6,787-11,82012,0651,0452,339583-25,050-19,889-13,962-16,975-23,504-15,428-5,8902,0491,2564,99211,443-8,3035,5185,9367,5529,769-3,054-2,856-2,563-4,689-11,893-3,322-6,262-1,370-6,460-5,1229,579-9,461-5381,799-4,534-2,760
Crediteuren 3,2124,621-34,825-16,44412,993-10,62446,98413,70853,43312,628-1,57714,519198-1,503000000000000000000000000
Overig Werkkapitaal -7,6688,594-4,358-1,041-5,27018,404-14,590-13,1323,6315,7004,66314,519198-4,075-4,711-2,1351,6035,4413,884-5,358-4,724-3,37616,897-14,791-20,130-12,446971-10,749-5,370-4,2545,5235,791-11,615-1,0097,527-10,744-2,609-1,590
Overige Niet-Contante Posten 3,982-2015,522-4,212-7,8895,765-16,211-16,6131,510-1,233-8,7911,1253,257-2,9501,4943,173-2,0547,6141,1774,6563,3225,7304,290-2,332-2,484-456961-1,346-2,528583898383,5081573,447-5,0489731,092
Kasstroom uit Operationele Activiteiten 9,5978,9512,94214,2789,51613,21324,201-30,79641,2804,211-19,4496,520-7,2094,6043,05910,80915,1689,04013,4788,3289,35714,60720,761-16,460-21,144-13,330-6,434-10,289-9,664-2,2084,1353,2863,898-8,15010,401-10,322-3,1671,880
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -322-350-583-520-613-554-473-469-429-777-615-829-997-1,115-678-890-397-423-431-191-571-452-913-393-382-455-301-471-272-322-274-246-356-341-437-204-224-263
Netto Overnames 4-163-13,976485-211-922-244-252-3181-439301,793-376000-200-120-5,013-471-4,173-382-193-337-1,115-43390-183-389-60-212-130-9251-522-208
Aankoop van Beleggingen -11-30-4-390-270-79-323-572-338-9-510-12-14-4000-501-1,555-6-101-222-210-41-852-391-825-1,031-889-1,183-995-873-308-351-846-889-1,416
Verkoop/verval van Beleggingen 2870142162-553262,4677-12600137302445416395143312022473546551,0091,0457201,3451,0841,2071864339461,1641,151
Overige Investeringsactiviteiten -6,272-591-659-16222126253233418-49454-17415856690-131-254-5012-49-192218885436113814027132280-1878254-7-1818
Kasstroom uit Investeringsactiviteiten -6,993-941-15,079-425-1,426-1,527-7811,407-660-835-625-846-1,005823-455-797-528-401-624-1,753-5,483-1,059-5,169-565-281-1,236-791-582-28-403-179-137-252-515-193-60-489-718
Financieringsactiviteiten:
Schuldaflossingen -13,356-148-26,299-11,103-8,810-12,170-6,979-12,522-12,969-519-19,621-433-4,608-3,568-4,000000000000-251-249-2,368-443-1,327-350-565-674-674-673-703-438-586-716
Uitgifte van Gewone Aandelen 00029012,1706,9792900057000003570000150243615,6871198245-10,8973,225-3,37514,141491400
Terugkoop van Gewone Aandelen 0-1-5,000-20-1-1,125-4,8760000000000-1,000-1,000000020,1723,575-1-2,0449,7907,812-2-5,000-1-412000-5
Uitgekeerde Dividenden -168-7,024-12-4,834-99-4,440-86-3,965-78-3,653-53-2,435-37-1,518-45-1,505-49-1,498-55-1,519-69-1,511-65-1,504-117-1,918-25-942-29-935-7-982-101-2,2540-2-89-1,157
Overige Financieringsactiviteiten -7109,214-357-1,047-1,291-12,345-6,74523,717-5,21338618,597-4883,940-3,638-402-2,339-13,306-7,402-11,564-3,823-4,239-11,017-17,72419,969-23-2477517,893-19-21-11-22-18-20-9,2338,6831,1073,472
Kasstroom uit Financieringsactiviteiten -14,2342,04120,929-16,957-10,200-16,786-7,9562,383-18,260-3,26718,544-2,9233,903-5,156-447-3,844-13,355-8,543-12,619-6,342-4,308-12,528-17,77418,46519,8051,42014,06814,5838,4976,551-11,482-3,453-4,16910,782-9,9368,2431,6043,031
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 02,1721,047-8081212,294356-1,2172872,0411,41176110081945108-116115-332316-75-29669-25277274-42965159141-4591,26789-1,001-4329-32778
Netto Kasstroomverandering -14,95512,2249,839-3,914-1,988-2,80615,819-28,22222,6462,150-1193,526-4,2134673,1026,2761,168212-98549-508722-1,5141,186-1,543-12,8726,4143,776-1,0364,081-7,986963-2892,138-162-2,129-2,38011,895
Kaspositie aan het Einde van de Periode 35,98450,84838,62428,78532,69834,68637,49221,67349,89527,24925,09925,21821,69225,90525,43822,33616,06014,89214,68014,77814,22914,73714,01515,52914,34315,88628,75822,34418,56819,60415,52323,50922,54622,83520,69720,85922,98825,368