Sanei Architecture Planning Co.,Ltd.

TSE:3228.T

2025 (JPY) • At close October 31, 2023
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 19,72036,019.02336,283.55528,470.63625,048.83827,397.15525,336.13714,450.89214,713.2039,511.86811,241.0928,392.3726,146.9316,157.9813,745.332,287.012
Kortetermijnbeleggingen 0-814.374-1,299.669-2,753.692-2,112.97700000000000
Liquide middelen en kortetermijnbeleggingen 19,72036,019.02336,283.55528,470.63625,048.83827,397.15525,336.13714,450.89214,713.2039,511.86811,241.0928,392.3726,146.9316,157.9813,745.332,287.012
Nettovorderingen 010,880.137,773.3743,968.9974,583.6093,242.6871,925.1781,839.533702.849517.616535.018765.081523.424619.52339.483391.762
Voorraad 98,95886,522.72475,681.94470,269.80266,814.72866,551.04434,080.10534,855.49316,887.9714,782.97317,295.07415,802.35516,746.87713,017.3417,351.20314,076.504
Overige vlottende activa 03,082.1421,803.7062,979.3392,815.9612,444.1731,710.786921.578630.176432.39285.18212.22971.39247.98817.31322
Totaal vlottende activa 132,266136,504.019121,542.579105,688.77499,263.13699,635.05963,052.20652,067.49632,934.19825,244.84729,356.36624,972.03723,488.62419,842.8311,453.32916,777.278
Niet-vlottende activa:
Materiële vaste activa, netto 8,7447,670.8859,521.55120,205.09618,974.3337,105.7485,678.7247,764.9111,167.0110,407.31210,647.9099,317.9067,260.2455,840.9394,776.1864,797.312
Goodwill 1,305942.1891,104.3231,026.53259.65910.63117.71924.80731.8940000000
Immateriële activa 299340.129334.006742.614652.212646.2061,279.7171,623.3351,681.9971,694.2131,695.9851,368.43680.746341.412334.301402.733
Goodwill en immateriële activa 1,6041,282.3181,438.3291,769.146711.871656.8371,297.4361,648.1421,713.8911,694.2131,695.9851,368.43680.746341.412334.301402.733
Langetermijnbeleggingen 5,1305,8036,797.3667,312.6897,540.1993,859.7371,555.038529.974396.081569.428780.8471,175.193330.553420.367154.67665.016
Belastingvorderingen 01,085.2641,658.5441,065.764888.66467.153395.272354.032274.313208.494187.114202.242248.839213.353137.99691.76
Overige niet-vlottende activa -15,478748.939832.737885.774541.0661,399.922,350.953894.055827.1471,500.3911,867.8631,402.254571.587530.528186.554113.981
Totaal niet-vlottende activa 15,47816,590.40620,248.52731,238.46928,656.12913,489.3959,722.38510,661.13913,982.36113,810.4114,398.87112,290.8328,761.4176,926.2325,435.0375,405.786
Totaal activa 149,486153,094.427141,791.109136,927.246127,919.266113,124.45672,774.59462,728.63646,916.56239,055.25943,755.23937,262.86932,250.04126,769.06216,888.36622,183.064
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 16,51118,590.70414,008.4328,625.6618,690.3127,873.2677,800.5996,712.2675,730.844,428.9895,977.7085,013.3264,568.4313,467.411,641.0952,404.522
Kortlopende schulden 037,869.97531,020.13732,719.32731,355.17324,124.06313,211.48115,940.4397,008.3446,105.8719,423.55810,054.09410,409.859,777.5195,162.9329,417.522
Belastingschulden 02,515.9123,930.6031,595.1391,931.1591,871.3892,236.9952,050.8581,637.7991,057.0532,164.2241,360.431,308.6061,625.92894.251532.647
Uitgestelde opbrengsten 004,399.0281,957.5912,361.5171,871.3892,611.5132,353.2561,931.9791,307.8142,395.1722,086.5221,967.1992,330.0871,382.572758.094
Overige kortlopende verplichtingen 37,2006,168.8474,117.2423,302.222,640.1492,351.6725,847.9753,561.0233,312.2042,913.7223,556.632,131.2842,042.9162,448.161,396.094774.497
Totaal kortlopende verplichtingen 53,71162,629.52653,544.83946,604.79945,047.15136,220.39126,860.05526,213.72916,051.38813,448.58218,957.89617,198.70417,021.19715,693.0898,200.12112,596.541
Langlopende verplichtingen:
Langetermijnschulden 28,95428,382.59533,299.86742,161.62938,043.43937,019.14910,897.1917,045.0675,303.7873,298.5764,927.4854,079.6043,381.1941,962.4991,792.3093,666.001
Uitgestelde opbrengsten niet-vlottend 000000570.162584.018594.423524.078486.20700000
Uitgestelde belastingverplichtingen niet-vlottend 00000050.65275.92182.0694.08699.86500000
Overige niet-vlottende verplichtingen -28,9541,510.2311,627.0581,819.761,724.9061,591.3931,283.8841,357.4371,300.5741,232.9641,191.154638.883568.344375.83339.219329.437
Totaal niet-vlottende verplichtingen 28,95429,892.82634,926.92543,981.38939,768.34538,610.54212,231.7278,478.4256,686.4214,625.6266,218.5044,718.4873,949.5382,338.3292,131.5283,995.438
Totaal passiva 87,35392,522.35288,471.76490,586.18884,815.49674,830.93339,091.78234,692.15422,737.80918,074.20825,176.421,917.19120,970.73518,031.41810,331.64916,591.979
Eigen vermogen:
Preferente aandelen 0000000000000000
Gewone aandelen 1,3401,340.151,340.151,340.151,340.151,340.151,340.151,340.151,340.151,340.151,340.151,340.15529.285529.285529.285529.285
Ingehouden winsten 55,97654,828.90648,355.04642,040.5338,982.40834,441.14730,192.67224,854.50421,228.86918,067.15215,678.83612,815.62110,373.9677,812.1765,594.3344,633.999
Overige gereserveerde algehele resultaten 0000000000000000
Overige totale aandeelhoudersvermogen -57,3161,490.7881,125.46899.1341,076.7271,144.0511,188.0811,171.1611,171.671,312.6111,321.2961,189.907376.054396.183433.098427.801
Totaal eigen vermogen van aandeelhouders 57,31657,659.84450,820.65644,279.81441,399.28536,925.34832,720.90327,365.81523,740.68920,719.91318,340.28215,345.67811,279.3068,737.6446,556.7175,591.085
Totaal eigen vermogen 57,31660,572.07553,319.34546,341.05843,103.7738,293.52333,682.81228,036.48224,178.75320,981.05118,578.83915,345.67811,279.3068,737.6446,556.7175,591.085
Totaal passiva en aandeelhoudersvermogen 0153,094.427141,791.109136,927.246127,919.266113,124.45672,774.59462,728.63646,916.56239,055.25943,755.23937,262.86932,250.04126,769.06216,888.36622,183.064