Kuraray Co., Ltd.

TSE:3405.T

1658.5 (JPY) • At close April 28, 2025
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 31,72442,44677,99758,6979,1272,89350,04168,14160,51231,53358,51445,59844,90150,72945,89523,08219,52325,55422,41221,18618,46515,1818,0512,8664,0457,452
Afschrijvingen & Amortisatie 85,26077,16365,45659,00362,45958,15856,69842,96541,55535,69644,10234,97231,40330,73733,53636,48937,14731,48525,49625,18621,32420,78519,10816,05616,59316,769
Uitgestelde Inkomstenbelasting 00000000000000000-13,53900000000
Aandelen Gebaseerde Vergoedingen 00000000000000000000000000
Verandering in Werkkapitaal -8,82217,202-64,542-16,25218,5561,384-13,201-15,780-7,529-7,260-9,332-3,482-1,440-15,798-4,34510,9883,971-2,817-5,431-4,219751703-85813,484-2,464-3,660
Vorderingen 2,1992,111-12,500-13,4372,6375,724-1,001-7,294-4,3861,526-14,887.9960140-4,7730002,04300000000
Voorraden -17,2598,363-54,716-17,53716,731-781-9,096-13,601-1,645-1,465-6,6171,835-4,789-14,389-6,76716,031-7,831-218-1,357-4,219-2,1559357,0595,5131,213-6,203
Crediteuren 0-5,12269112,244-3,224-5,182-2,0823,031-1,435-4,2410000000-3,53500000000
Overig Werkkapitaal 6,23811,8501,9832,4782,4121,623-4,105-2,179-5,884-5,795-2,71503,349-1,4092,422-5,04311,802-1,107-4,07402,906-232-7,9177,971-3,6772,543
Overige Niet-Contante Posten 30,132-7,513-27,184-23,227-10,19533,142-18,367-10,720-615-19,129-561,455-7,953-23,082-5,4759,979-13,72240,063-3,515-9,462-925-5,90111,042-13,709-2,2874,505
Kasstroom uit Operationele Activiteiten 138,294129,29851,72778,22179,94795,57775,17184,60693,92340,84093,22861,17566,91142,58669,61180,53846,91956,45638,96232,69139,61530,76837,34318,69715,88725,066
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -71,383-60,551-72,657-70,182-84,915-88,943-67,482-56,466-50,508-44,050-43,099-59,717-44,560-38,208-19,323-21,806-39,602-46,584-35,319-36,069-47,512-30,248-18,522-48,478-17,583-19,980
Netto Overnames 001,1159269-134-119,8145952-68,4191,259-1,379-31,2331201021,157178-2,28200000000
Aankoop van Beleggingen 0-1-1,115-238-95-956-1,495-18,492-489-1,850-7,760-5,158-9,276-50,478-25,463-73,541-4,128-13,422000000-3,116-29,327
Verkoop/verval van Beleggingen 01,9073,3367,64722,0096,8346251,5613,5515,2574,38568,44243,35760,09422121,53418,0830000024,49530,89113,474
Overige Investeringsactiviteiten -4,625-4,506697-2,914-1,093-6,1701,184-6,558-1,9063,372-3,33819,916-21,9103,4495,957-13,347-410-1,0126,38322,3762,81625,97535,953-24210,131-6,919
Kasstroom uit Investeringsactiviteiten -76,008-63,151-68,624-65,595-64,025-89,369-186,982-79,896-49,300-105,690-48,55322,293-63,622-25,023-38,705-107,525-42,428-45,217-28,936-13,693-44,696-4,27317,431-24,22520,323-42,752
Financieringsactiviteiten:
Schuldaflossingen -41,351-45,38814,362-33,817104,88920,184130,855147353-15,084-3,879-3,7591,931-862-8,7213,94238,6094,1541,523-3,3293,254-2,583-3,758-3,335-7,002-13,429
Uitgifte van Gewone Aandelen 0008210555595291956116111,36636885112605043656600000020,364
Terugkoop van Gewone Aandelen -20,004-4-10,002-2-2-6,617-3,735-2,892-5-10-10-10-5-6-13-48-107-30,165-1760000000
Uitgekeerde Dividenden -17,292-16,066-13,908-13,414-14,784-14,595-14,691-14,420-14,753-12,613-9,474-12,584-12,195-10,448-7,310-6,267-8,009-7,522-6,249-4,772-4,039-3,351-3,445-3,446-3,446-3,301
Overige Financieringsactiviteiten -3,857-3,501-2,505-2961,300-5441,600-540-491-396-8,462-440-338-397-423-479-511-13-1431114,006-27,195-46,999-14,6690-594
Kasstroom uit Financieringsactiviteiten -82,504-64,959-12,053-47,44791,508-1,517114,088-17,176-14,701-3,650-24,353-15,427-10,239-11,628-16,355-2,79230,032-33,097-4,350-7,79113,221-33,129-54,202-21,450-10,4483,040
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 8,8484,8584,9434,224-1,541-70-1,210-882-1,5143,255-9602,6882,024-550-1,53934-1,242-235272134454-252-184303518-553
Netto Kasstroomverandering -11,9716,047-23,871-30,597106,1174,6221,111-13,15528,639-65,25419,36270,757-4,9265,38813,011-29,74533,968-21,8435,94811,3429,728-6,886405-26,67526,302-15,048
Kaspositie aan het Einde van de Periode 121,692133,663127,616151,487182,08475,96771,34570,23483,38935,38854,750100,64229,88534,81129,42316,41246,15712,18934,03328,08516,7437,01513,90113,49640,17113,869