Saint Marc Holdings Co., Ltd.

TSE:3395.T

2136 (JPY) • At close September 19, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 16,663.1215,734.27515,640.08115,015.99615,014.33313,572.48213,481.18711,667.7449,404.07310,130.29310,357.00310,838.99311,095.1599,804.3248,497.6016,510.977,052.8577,031.1316,246.665
Kortetermijnbeleggingen 0-8,536.145-8,864.79-9,078.961-8,561.577-9,680.013-10,607.19-10,356.957-10,144.202-8,905.409-8,405.928-7,659.1490000000
Liquide middelen en kortetermijnbeleggingen 16,663.1215,734.27515,640.08115,015.99615,014.33313,572.48213,481.18711,667.7449,404.07310,130.29310,357.00310,838.99311,095.1599,804.3248,497.6016,510.977,052.8577,031.1316,246.665
Nettovorderingen 5,412.1464,847.2323,864.743,422.7672,776.9134,611.3284,534.83,716.1653,582.8693,375.583,039.0363,067.6932,628.0711,998.62,248.5081,963.9251,827.7541,644.2311,253.655
Voorraad 349.138338.703316.732316.358340.269328.225317.833292.601283.255281.877248.007229.162212.11165.262152.368141.536126.773121.39996.697
Overige vlottende activa 237.929-81.79-106.243884.605610.145425.16909.656545.048324.417431.489261.356268.224201.883214.575228.775246.242193.35226.783197.356
Totaal vlottende activa 22,662.33320,838.4219,715.3119,639.72618,741.6618,937.19519,243.47616,221.55813,594.61414,219.23913,905.40214,404.07214,137.22312,182.76111,127.2528,862.6739,200.7349,023.5447,794.373
Niet-vlottende activa:
Materiële vaste activa, netto 15,271.90224,213.65125,431.63920,944.39425,582.58826,472.59627,239.47327,314.40126,359.75624,223.38221,777.38519,690.5118,127.70916,690.82415,178.96114,270.311,377.8699,519.6447,816.349
Goodwill 0000000000000000000
Immateriële activa 92.736117.153140.336177.532154.377166.557133.421186.174181.406159.701159.671158.533112.63688.43780.84292.14297.10998.36391.284
Goodwill en immateriële activa 92.736117.153140.336177.532154.377166.557133.421186.174181.406159.701159.671158.533112.63688.43780.84292.14297.10998.36391.284
Langetermijnbeleggingen 920.2199,5669,6829,9758,6369,77111,463.5511,238.46111,069.3139,874.6388,981.7018,162.305472.479293.316307.848290.52370.111344.724370.215
Belastingvorderingen 2,533.9852,356.8391,565.1934,815.8372,594.4012,417.61,808.7571,279.888841.448504.758403.417298.093266.164265.13270.06766.74526.69635.79133.76
Overige niet-vlottende activa 7,951.063-8,287.296-8,512.881259.1641,725.0391,269.61757.199811.1811,215.7881,496.6191,568.3071,165.3028,301.1868,004.7657,486.1997,154.1626,426.3335,673.2844,841.821
Totaal niet-vlottende activa 26,769.90527,966.34728,306.28736,171.92738,692.40540,097.3740,702.440,830.10539,667.71136,259.09832,890.48129,474.74327,280.17425,342.47423,123.91721,873.86918,298.11815,671.80613,153.429
Totaal activa 49,432.23848,804.7748,021.60155,811.65557,434.06759,034.56859,945.87857,051.66753,262.32850,478.3446,795.88643,878.81941,417.39737,525.23534,251.16930,736.54227,498.85224,695.3520,947.802
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 2,421.5092,155.1211,715.5221,778.2031,655.2132,388.1372,374.7252,262.3792,201.9452,107.3141,965.0061,737.3123,607.6742,849.4723,001.0732,575.1442,452.2832,526.7991,902.21
Kortlopende schulden 685.407000339.067361.477361.477282.90173.573209.727378.949580.618723.387583.273424.174283.366000
Belastingschulden 685.4071,063.4581,001.673546.7791,013.3651,327.7781,499.7222,001.5232,288.2242,525.1631,671.3431,190.2441,615.7231,285.0661,406.0951,235.5161,469.8511,595.531,201.354
Uitgestelde opbrengsten 33.058000-339.067-361.477-361.477-282.9015,227.3885,987.6695,099.0854,161.0281,669.6241,330.511,449.0321,288.743000
Overige kortlopende verplichtingen 4,748.944,760.8113,936.2163,326.6355,057.6095,781.1435,683.235,439.138277.511246.885488.411348.193352.113361.994413.46222.4711,861.4031,965.1571,485.451
Totaal kortlopende verplichtingen 7,888.9146,915.9325,651.7385,104.8386,712.8228,169.288,057.9557,701.5177,780.4178,551.5957,931.4516,827.1516,352.7985,125.2495,287.7394,369.7244,313.6864,491.9563,387.661
Langlopende verplichtingen:
Langetermijnschulden 6,024.6516,036.0516,047.4518,000188.995528.062889.54911.367310.33675.413283.301662.4411,266.8481,332.8091,246.445963.758000
Uitgestelde opbrengsten niet-vlottend -05,048.9374,722.3924,777.761000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 415.239329.495338.567126.2540000000000007.6623.33129.466
Overige niet-vlottende verplichtingen 4,954.295123.472113.666124.7543,662.9163,629.0813,488.0183,152.2922,908.2932,600.9442,289.0961,733.2161,589.3771,441.852219.772287.845243.79136.124139.631
Totaal niet-vlottende verplichtingen 11,394.18511,537.95511,222.07613,028.7693,851.9114,157.1434,377.5584,063.6593,218.6292,676.3572,572.3972,395.6572,856.2252,774.6611,466.2171,251.603251.45159.455169.097
Totaal passiva 19,283.09918,453.88716,873.81418,133.60710,564.73312,326.42312,435.51311,765.17610,999.04611,227.95210,503.8489,222.8089,209.0237,899.916,753.9565,621.3274,565.1364,651.4113,556.758
Eigen vermogen:
Preferente aandelen 0000000000000000000
Gewone aandelen 1,731.1771,731.1771,731.1771,731.1771,731.1771,731.1771,731.1771,731.1771,731.1771,731.1771,731.1771,731.1771,731.1771,731.1771,731.1771,731.1771,731.1771,731.1771,731.177
Ingehouden winsten 30,289.38930,298.76330,807.70436,480.33645,670.3345,504.71743,973.3841,731.76738,729.36235,682.79232,741.65730,019.64327,584.33225,023.47722,898.63820,528.18218,347.4715,437.14312,873.767
Overige gereserveerde algehele resultaten 41.7320.69920.2286.6447.66811.88522.7240.18218.2654826440000000
Overige totale aandeelhoudersvermogen -1,913.16-1,699.756-1,411.322-540.109-539.841-539.6341,783.0881,783.3651,784.4781,788.4191,793.2042,861.1912,892.8652,870.6712,867.3982,855.8562,855.0692,875.6192,786.1
Totaal eigen vermogen van aandeelhouders 30,149.13630,350.88331,147.78737,678.04846,869.33446,708.14547,510.36545,286.49142,263.28239,250.38836,292.03834,656.01132,208.37429,625.32527,497.21325,115.21522,933.71620,043.93917,391.044
Totaal eigen vermogen 30,149.13630,350.88331,147.78737,678.04846,869.33446,708.14547,510.36545,286.49142,263.28239,250.38836,292.03834,656.01132,208.37429,625.32527,497.21325,115.21522,933.71620,043.93917,391.044
Totaal passiva en aandeelhoudersvermogen 49,432.23548,804.7748,021.60155,811.65557,434.06759,034.56859,945.87857,051.66753,262.32850,478.3446,795.88643,878.81941,417.39737,525.23534,251.16930,736.54227,498.85224,695.3520,947.802