Meiji Electric Industries Co.,Ltd.

TSE:3388.T

1363 (JPY) • At close November 5, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 7,332.9974,875.7957,749.1816,685.3084,930.0773,936.9393,134.9983,258.0293,308.2063,335.1442,676.2022,792.3641,825.6832,335.0112,936.4922,679.1861,363.996
Kortetermijnbeleggingen 0-532.743-469.975-368.255-199.206-289.7720-2.744-192.485-580.652-424.95-1.385-1.57-1.809-2.1-2.09-1.11
Liquide middelen en kortetermijnbeleggingen 7,332.9974,875.7957,749.1816,685.3084,930.0773,936.9393,134.9983,258.0293,308.2063,335.1442,676.2022,792.3641,825.6832,335.0112,936.4922,679.1861,363.996
Nettovorderingen 27,187.06319,927.57716,252.9320,116.90926,526.20723,598.57621,118.30619,992.54921,826.67720,557.76118,147.26215,960.3716,555.84314,814.11810,246.65814,155.08419,615.424
Voorraad 6,120.117,537.2494,483.6083,674.4073,498.8184,028.4643,734.4012,882.3092,759.9522,009.1531,875.2672,004.9581,738.1491,537.9851,193.3111,362.7212,512.129
Overige vlottende activa 771.9710,699.559,004.4575,100.5554,827.5186,067.1615,300.4692,881.789303.299393.872406.61579.482436.853408.073402.956227.056412.531
Totaal vlottende activa 41,412.1443,040.17137,490.17635,577.17939,782.6237,631.1433,288.17429,014.67628,198.13426,295.9323,105.34121,337.17420,556.52819,095.18714,779.41718,424.04723,904.08
Niet-vlottende activa:
Materiële vaste activa, netto 4,211.5654,168.9233,662.6143,132.2372,464.9822,558.4422,040.7841,898.8271,706.3881,767.4851,799.0261,845.3491,738.781,785.8632,011.212,158.5282,246.99
Goodwill 00.60.850.3170.8820.5440.12500000.59900000
Immateriële activa 699.33590240213224199134150.866143.47270.2244.4954300000
Goodwill en immateriële activa 699.33590.6240.85213.317224.882199.544134.125150.866143.47270.2244.49543.59945.66449.65360.19396.823156.558
Langetermijnbeleggingen 4,137.3293,5343,2572,8242,0612,5342,393.7281,870.9861,806.3182,467.2462,016.7831,270.291,035.2491,052.8841,221.458966.7251,312.669
Belastingvorderingen 59.44617.43615.43-192.974161.45816.20811.961-1,870.9860.124.9426.858.91713.1295.308227.3115.7136.693
Overige niet-vlottende activa 1,628.5450.0280.086193.7230.0110.761385.6562,277.482307.877256.689251.517575.853552.459483.445440.902434.628422.778
Totaal niet-vlottende activa 10,736.2158,310.9877,175.986,170.3034,912.3335,308.9554,966.2544,327.1753,964.1754,566.5824,118.6713,744.0083,385.2813,377.1533,961.0733,672.4174,145.688
Totaal activa 52,148.35551,351.1644,666.15941,747.48444,694.95642,940.138,254.4333,341.85332,162.31330,862.51527,224.01525,081.18423,941.80922,472.3418,740.4922,096.46428,049.768
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 14,573.60310,302.98,756.2398,643.42210,891.598,526.4289,056.71613,478.74513,558.36512,668.78411,465.910,088.83110,144.3029,675.7716,009.4138,072.30712,327.215
Kortlopende schulden 71.8342,496.297225.658226.311190.5231,438.8911,20013.82813.828000000300550
Belastingschulden 591.33557.559479.20687.002588.975932.025660.681379.754317.182536.532170.925377.411288.85823.68511.78421.636566.209
Uitgestelde opbrengsten 318.4941,121.325963.017577.5481,319.5311,698.9811,192.011-13.828-13.828000000315.934910.209
Overige kortlopende verplichtingen 3,009.1387,505.0537,011.917,483.8498,870.7879,645.8037,091.792,177.9392,050.2641,980.7081,440.0491,628.6291,514.232997.291968.053823.473855.518
Totaal kortlopende verplichtingen 17,973.06921,425.57516,956.82416,931.1321,272.43121,310.10318,540.51715,656.68415,608.62914,649.49212,905.94911,717.4611,658.53410,673.0626,977.4669,511.71414,642.942
Langlopende verplichtingen:
Langetermijnschulden 0000000000000000300
Uitgestelde opbrengsten niet-vlottend 000000000000000097.9
Uitgestelde belastingverplichtingen niet-vlottend 1,075.101449.009375.979256.7963.83453.632433.511395.945308.633495.764357.878174.832128.1860065.91478.53
Overige niet-vlottende verplichtingen 36.28365.1095.0167.91279.84728.03448.14568.45688.538102.794106.344217.428102.416102.29897.297.2010.001
Totaal niet-vlottende verplichtingen 1,111.384514.118380.995264.706283.68181.666481.656464.401397.171598.558464.222392.26230.602102.29897.2163.115476.431
Totaal passiva 19,084.45321,939.69317,337.81917,195.83621,556.11221,391.76919,022.17316,121.08516,005.815,248.0513,370.17112,109.7211,889.13610,775.367,074.6669,674.82915,119.373
Eigen vermogen:
Preferente aandelen 00000000000000000
Gewone aandelen 1,658.3231,624.8661,624.8661,311.7781,311.7781,311.7781,311.7781,311.7781,311.7781,311.7781,311.7781,311.7781,311.7781,311.7781,311.7781,311.7781,311.778
Ingehouden winsten 25,569.38923,801.34222,204.36321,112.27720,365.40718,431.26816,007.04514,317.51913,257.23412,202.04410,960.58610,329.5829,678.6999,325.2159,174.46210,174.24110,035.636
Overige gereserveerde algehele resultaten 3,566.0451,829.4581,378.064865.755194.935594.275845.446523.429519.4581,03251410800000
Overige totale aandeelhoudersvermogen 1,984.731,925.1541,925.1551,083.4671,083.4681,067.7781,067.9881,068.0421,068.0431,068.6431,067.481,222.1041,062.1961,059.9871,179.584935.6161,582.981
Totaal eigen vermogen van aandeelhouders 32,778.48729,180.8227,132.44824,373.27722,955.58821,405.09919,232.25717,220.76816,156.51315,614.46513,853.84412,971.46412,052.67311,696.9811,665.82412,421.63512,930.395
Totaal eigen vermogen 33,063.89929,411.46727,328.3424,551.64823,138.84421,548.33119,232.25717,220.76816,156.51315,614.46513,853.84412,971.46412,052.67311,696.9811,665.82412,421.63512,930.395
Totaal passiva en aandeelhoudersvermogen 52,148.35251,351.1644,666.15941,747.48444,694.95642,940.138,254.4333,341.85332,162.31330,862.51527,224.01525,081.18423,941.80922,472.3418,740.4922,096.46428,049.768