Toell Co.,Ltd.

TSE:3361.T

787 (JPY) • At close January 15, 2025
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 5,711.8835,561.8235,528.9035,824.714,655.7295,337.8314,564.8924,066.4514,720.3733,019.5012,656.8482,828.7792,093.4252,232.4562,039.0822,521.7361,667.519
Kortetermijnbeleggingen 0-491.099-505.737-583.664-565.686-555.779000-6.064-7.719-12.732-45.69-75.042-472.667-438.193-408.662
Liquide middelen en kortetermijnbeleggingen 5,711.8835,561.8235,528.9035,824.714,655.7295,337.8314,564.8924,066.4514,720.3733,019.5012,656.8482,828.7792,093.4252,232.4562,039.0822,521.7361,667.519
Nettovorderingen 4,357.4214,091.8994,402.9842,940.5172,736.1173,019.9192,907.1543,097.5542,945.8893,092.0693,616.2583,359.75403,046.2152,878.28800
Voorraad 1,707.1471,785.1991,574.571,320.0021,322.7611,401.9491,348.7921,179.0781,195.2361,458.6391,484.8071,203.3471,174.9241,166.599997.1361,042.3641,187.437
Overige vlottende activa 329.005170.159189.533149.58373.33293.038425.964254.399487.626373.325382.223289.487198.361759.554291.529222.69415.029
Totaal vlottende activa 12,105.45611,609.0811,695.9910,234.8099,087.93710,052.7379,246.8028,597.4829,349.1247,943.5348,140.1367,681.3677,101.0967,204.8246,206.0356,553.8756,510.662
Niet-vlottende activa:
Materiële vaste activa, netto 13,104.94713,118.83213,282.113,420.53313,826.92713,433.18612,803.01712,021.76711,783.17311,549.16511,308.94211,565.95211,158.77710,539.36810,297.8959,476.3417,698.964
Goodwill 32335579150246432.271591.582744.751,0591,0531,12000000
Immateriële activa 797493.993400.302256.83272.413377.493570.286803.347971.3791,274.6951,291.2471,298.911,184.592972.7481,425.8751,829.5212,048.083
Goodwill en immateriële activa 829.372493.993400.302256.83272.413377.493570.286803.347971.3791,274.6951,291.2471,298.911,184.592972.7481,425.8751,829.5212,048.083
Langetermijnbeleggingen 1,319.5751,5331,3451,5001,2791,394931.849794.493654.342670.941527.097428.416382.062393.109858.054802.06956.803
Belastingvorderingen 149.356195.124253.544217.63272.673215.21483.23680.484107.618218.372285.194327.396372.935450.661429.49535.571611.114
Overige niet-vlottende activa 477.6720.507-0.4680.2190.0140.421564.29868.4871,000.651,176.2811,157.064952.47922.289850.953894.777985.7261,116.228
Totaal niet-vlottende activa 15,880.92215,341.45615,280.47815,395.21215,651.02715,420.31414,952.67814,568.57814,517.16214,889.45414,569.54414,573.14414,020.65513,206.83913,906.09113,629.21912,431.192
Totaal activa 27,986.37826,950.53726,976.4725,630.02324,738.96825,473.05424,199.4823,166.06123,866.28622,832.98822,709.6822,254.51121,121.75120,411.66320,112.12620,183.09418,941.854
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 2,264.0162,036.4432,465.5751,722.3321,470.3841,712.3441,630.7761,657.1191,296.3791,834.0982,463.0832,229.7022,359.6952,052.2661,931.0921,557.5972,241.01
Kortlopende schulden 480.14682.417887.145944.761,192.5041,601.4881,602.7111,488.8882,759.6791,575.0022,005.7661,756.5422,324.121,727.6441,821.5231,406.5722,926.104
Belastingschulden 285.957450.405554.223367.6317.25256.007396.723382.386460.655456.474452.648386.546407.689281.824189.781453.266305.792
Uitgestelde opbrengsten 0700.258787.308595.394545.663502.922396.723596.486672.89665.293651.258599.201599.612446.132351.748617.526411.16
Overige kortlopende verplichtingen 1,944.7272,003.912,023.1621,963.0771,996.372,216.1222,067.561,951.8632,148.2442,044.191,668.1321,682.4461,804.6781,883.8871,575.9721,941.7261,564.502
Totaal kortlopende verplichtingen 4,974.845,173.1755,930.1054,997.7694,976.5085,785.9615,697.775,480.2566,664.9575,909.7646,589.6296,055.2366,896.1825,945.6215,518.3685,359.1617,037.408
Langlopende verplichtingen:
Langetermijnschulden 609.16800.041,207.0371,703.2631,844.652,326.651,499.7812,075.0172,420.7092,847.6423,031.0753,898.9633,318.4244,038.0594,346.4754,835.9012,080.852
Uitgestelde opbrengsten niet-vlottend 01,654.3971,652.6291,618.3741,675.8751,695.7881,640.5821,514.2381,366.8121,093.3341,027.503979.354922.294990.5981,100.4561,427.0961,547.743
Uitgestelde belastingverplichtingen niet-vlottend 9.6489.6489.85610.46910.47910.5457.8218.3268.9799.3176.6516.2867.4347.297.4677.7968.084
Overige niet-vlottende verplichtingen 993.32511.9411.9411.9411.9411.939407.33911.93912.14610.87513.1395.055-1.8974.6313.13836.14486.141
Totaal niet-vlottende verplichtingen 1,612.1332,476.0252,881.4623,344.0463,542.9444,044.9223,555.5233,609.523,808.6463,961.1684,078.3684,889.6584,246.2555,040.5775,467.5366,306.9373,722.82
Totaal passiva 6,586.9797,649.28,811.5678,341.8158,519.4529,830.8839,253.2939,089.77610,473.6039,870.93210,667.99710,944.89411,142.43710,986.19810,985.90411,666.09810,760.228
Eigen vermogen:
Preferente aandelen 00000000000000000
Gewone aandelen 886.828852.699818.686792.738767.152767.152767.152767.152767.152767.152767.152767.152555.282555.282555.282555.282555.282
Ingehouden winsten 19,030.17817,256.33616,078.88315,181.90314,267.47513,573.54812,738.19511,863.01710,869.34410,387.8619,568.6018,928.4448,089.2767,559.0267,205.156,581.3596,116.385
Overige gereserveerde algehele resultaten 737.228484.367339.667305.238200.394344.198390.307395.546350.81539622513200000
Overige totale aandeelhoudersvermogen 735.2751,185.5121,260.7161,000.4974.812946.0881,040.7411,040.7411,405.3711,412.0261,481.5261,481.5481,269.6781,270.2541,270.5871,380.3551,509.959
Totaal eigen vermogen van aandeelhouders 21,389.50919,294.54718,158.28517,280.27916,209.83315,630.98614,936.39514,066.45613,392.68312,962.05612,041.68311,309.6179,979.3149,425.4659,126.2228,516.9968,181.626
Totaal eigen vermogen 21,399.39919,301.33718,164.90317,288.20816,219.51615,642.17114,946.18714,076.28513,392.68312,962.05612,041.68311,309.6179,979.3149,425.4659,126.2228,516.9968,181.626
Totaal passiva en aandeelhoudersvermogen 27,986.37826,950.53726,976.4725,630.02324,738.96825,473.05424,199.4823,166.06123,866.28622,832.98822,709.6822,254.51121,121.75120,411.66320,112.12620,183.09418,941.854