Mie Kotsu Group Holdings, Inc.

TSE:3232.T

493 (JPY) • At close September 19, 2024
Overview | Financials

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

2023202220212020201920182017201620152014201320122011201020092008200720062005
Operationele Activiteiten:
Nettowinst 4,750.3335,578.4323,639.321-611.8015,701.2356,788.6265,474.6775,231.1924,575.9114,181.0414,045.5522,203.3022,468.2982,774.9682,991.133-278.4172,378.4023,696.74581.434
Afschrijvingen & Amortisatie 4,791.0424,864.2065,488.6846,266.4316,161.1395,736.795,676.9475,343.014,784.0364,596.9714,475.1664,360.0874,542.4364,715.5584,621.1894,324.3024,380.1653,789.5733,850.608
Uitgestelde Inkomstenbelasting 0000000000000000000
Aandelen Gebaseerde Vergoedingen 0000000000000000000
Verandering in Werkkapitaal -4,614.206-1,085.563-820.9952,074.503-4,306.551-1,872.0161,417.095-1,015.778-10,329.7882,440.1789,197.6576,803.8715,569.7325,988.0516,471.551200.035-9,448.5115,117.726-1,925.003
Vorderingen -243.727-816837535-1,15221357.529-287.038-378.313-2601,2931,5970000000
Voorraden -1,249.421-1,707.462-3,426.2452,021.071-1,799.57-895.711,552.634-1,060.5-5,420.1043,741.4668,914.2462,663.4618,434.2548,793.6947,346.593-5,576.022-7,063.8927,728.389-3,446.106
Crediteuren -2,268.8211,068.5251,991.181-462.554-445.54157.821-1,070.325-67.356-483.9980000000000
Overig Werkkapitaal -852.237369.374-222.931-19.014-909.44-1,247.127-135.53944.722-4,909.684-1,301.288283.4114,140.41-2,864.522-2,805.643-875.0425,776.057-2,384.619-2,610.6631,521.103
Overige Niet-Contante Posten 14,782.666-999.968425.8921,520.067-1,699.158-1,392.284-970.072-1,403.932-1,363.354-445.009-716.525-1,016.15587.936-903.226-135.065219.147-1,789.3532,041.3591,429.588
Kasstroom uit Operationele Activiteiten 6,365.7828,357.1078,732.9029,249.25,856.6659,261.11611,598.6478,154.492-2,333.19510,773.18117,001.8512,351.1113,168.40212,575.35113,948.8084,465.067-4,479.29714,645.4033,436.627
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -6,294.993-2,479-4,114-9,485-7,992-7,992-7,935.114-11,706.432-10,763.911-8,577-5,595-5,1350000-5,107.793-6,796.398-4,808.088
Netto Overnames 31.6992,469.1584,103.5089,318.547,566.4547,832.535148.617127.4991,185.0280000000933.103981.575527.115
Aankoop van Beleggingen -1,518.885-1,515.009-1,864.699-1,514.623-314.516-4.4810-4.58-10.669-5.324-13.24-372.983-168.884-151.344-353.911-403.041-335.012-273.351-366.611
Verkoop/verval van Beleggingen 1,8601,7101,510225.9928.4190.44232.933437.9674.367239.44635.61910.729193.494133.392112.474248.36335.5943,660.668366.685
Overige Investeringsactiviteiten 292.143-2,679.884-4,787.45-10,469.155-7,703.563-9,033.691-8,533.405-12,508.453-10,720.84-9,005.227-5,761.72-4,986.008-6,272.249-3,760.239-5,845.611-6,338.3863,314.507943.358971.471
Kasstroom uit Investeringsactiviteiten -5,630.037-2,494.735-5,152.641-11,924.246-8,435.206-9,197.195-8,500.472-12,075.066-10,727.142-8,771.105-5,739.341-5,348.262-6,247.639-3,778.191-6,087.048-6,493.067-859.601-1,484.148-3,309.428
Financieringsactiviteiten:
Schuldaflossingen -1,063.86-22,945.304-19,506.012-24,054.459-19,456.701-16,082.221-16,914.369-15,034.735-16,938.186-12,045.562-19,199.04-26,382.238-14,920.059-21,070.075-15,874.323-17,456.416-20,509.263-20,232.504-18,155.58
Uitgifte van Gewone Aandelen 020,154.5716,369.5728,683.1125,299.5716,649.5714,482.572,126.53730,467.5781,343.112109.30326.9120.0612,079.3810.37251.650.61,070.9957.555
Terugkoop van Gewone Aandelen -0.193-0.418-0.196-0.267-0.29-0.266-0.237-0.141-0.23-0.38-1.338-0.978-0.621-1.818-1.757-9.324-4.642-288.728-2.764
Uitgekeerde Dividenden -1,099.454-897.899-697.197-695.527-1,388.902-791.977-692.983-563.741-563.744-531.316-439.07-355.522-266.649-266.674-266.691-266.164-242.1220-109.053
Overige Financieringsactiviteiten -16.856-23.455-24.629-22.511-22.415-24.939-20.82716,882.903-33.768,873.3388,089.68619,564.3496,703.076-30.4458,426.47219,946.625,428.9192,080.66218,153.664
Kasstroom uit Financieringsactiviteiten -52.648-3,712.506-3,858.4643,910.3464,431.262-249.833-3,145.8463,410.82312,931.658-2,360.808-11,440.459-7,147.477-8,484.193-9,289.631-7,715.9272,266.2964,723.492-17,369.575-106.178
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0-0.001000000.00153.4250166.345567.2370104.0660410.416130.9940
Netto Kasstroomverandering 683.0972,149.865-278.2031,235.31,852.721-185.912-47.671-509.75-75.254-358.732-11.605422.608-1,563.43-482.471149.899238.296-204.99-4,077.32621.021
Kaspositie aan het Einde van de Periode 8,156.2747,473.1775,323.3125,601.5154,366.2152,513.4942,699.4062,747.0773,256.8273,332.0813,690.8133,702.4183,279.814,843.245,325.7115,175.8124,937.5165,142.5069,219.832