KFC, Ltd.

TSE:3420.T

1272 (JPY) • At close September 19, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 5,559.863,189.9543,026.3593,182.8573,675.7913,193.5941,386.6682,877.9371,692.3092,837.5932,853.7832,495.9191,395.1462,090.7243,923.5852,576.8561,937.34
Kortetermijnbeleggingen 1,1002,799.9747001,2001,2001,300700901.262-22.317-422.747-192.035-190.4315.96630.4481,500.6381,000.637400.343
Liquide middelen en kortetermijnbeleggingen 5,559.865,989.9283,726.3594,382.8574,875.7914,493.5942,086.6683,779.1991,692.3092,837.5932,853.7832,495.9191,395.1462,090.7245,424.2233,577.4932,337.683
Nettovorderingen 9,822.2374,879.1558,111.8228,781.9127,246.7056,758.5988,833.8395,968.027,682.2727,193.7155,934.4275,660.7458,889.9027,143.4178,945.9537,870.2036,718.371
Voorraad 3,396.2743,011.472,824.2012,202.0012,356.8552,274.7482,189.0411,863.0812,507.6741,390.8871,067.2171,155.793980.2021,273.5761,451.6592,042.571,162.141
Overige vlottende activa 893.162,453.4442,252.6172,494.6952,496.3062,108.9872,450.1042,190.1371,622.081,588.982634.653382.167587.793566.645477.185485.48404.009
Totaal vlottende activa 19,671.53116,333.99716,914.99917,861.46516,975.65715,635.92715,559.65213,800.43713,504.33513,011.17710,490.089,694.62411,853.04311,074.36216,299.0213,975.74610,622.204
Niet-vlottende activa:
Materiële vaste activa, netto 4,871.3734,916.3374,607.4254,545.5074,589.4494,676.974,757.744,765.5274,884.0625,756.7015,987.2986,059.7065,936.436,031.0755,945.5085,945.2725,947.232
Goodwill 00000000000000000
Immateriële activa 342.692419.964361.03189.23125.35321.62524.18628.61350.0259.42578.41799.27500000
Goodwill en immateriële activa 342.692419.964361.03189.23125.35321.62524.18628.61350.0259.42578.41799.275129.324107.77840.84162.96374.308
Langetermijnbeleggingen 4,103.3831,241.963,137.6092,379.8891,557.1191,773.3142,019.585816.7841,443.271,9681,1751,112803.12788.169-728.146-460.329329.836
Belastingvorderingen 10.43211.30810.81410.3899.9848.8617.0831,045.681-1,443.27-1,968-1,175-1,11249.74145.44786.464173.795163.532
Overige niet-vlottende activa 619.1243,267.6221,177.0861,669.3951,549.0341,660.5121,076.937212.0941,783.1621,986.2451,210.8791,156.725265.164465.7571,946.5041,422.925829.799
Totaal niet-vlottende activa 9,947.0049,857.1919,293.9658,694.4117,730.9398,141.2827,885.5316,868.6996,717.2447,802.3717,276.5947,315.7067,183.7797,438.2267,291.1717,144.6267,344.707
Totaal activa 29,618.53526,191.1926,208.96626,555.87924,706.59823,777.21223,445.18620,669.13620,221.57920,813.54817,766.67417,010.3319,036.82218,512.58823,590.19121,120.37217,966.911
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 6,469.891,928.0092,269.1022,870.0293,442.8925,312.8835,465.1024,213.2113,037.7634,427.4763,230.8383,649.4863,448.6341,697.2752,783.9371,780.3791,439.515
Kortlopende schulden 393.354394.143394.198494.124551.212702.379956.6361,193.7113,941.574,237.1973,799.3513,181.4575,134.3626,911.599,699.478,663.8727,085.942
Belastingschulden 491.462436.293485.104809.676665.293594.191641.497538.607495.516638.92886.4410.472284.46731.495684.278180.03360.326
Uitgestelde opbrengsten 72.105641.92814.8471,188.834870.9791,004.56949.141976.046765.863825.008238.09198.106380.37431.495684.278180.03360.326
Overige kortlopende verplichtingen 1,740.1713,418.0873,204.1743,360.4443,631.8742,011.3751,995.1021,657.5351,149.702701.494431.649329.299546.19605.9961,122.0191,238.404837.198
Totaal kortlopende verplichtingen 8,675.526,382.1596,682.3217,913.4318,496.9579,031.1979,365.9818,040.5038,894.89810,191.1757,699.9287,358.3489,509.569,246.35614,289.70411,862.6889,422.981
Langlopende verplichtingen:
Langetermijnschulden 100106.887111.03107.594124.01269.143526.023714.8461,244.8241,770.3932,988.7532,901.6122,508.322,356.9972,701.5943,876.7563,405.7
Uitgestelde opbrengsten niet-vlottend -221.468042.94542.94542.94542.94542.94542.94542.9450129.575119.71200000
Uitgestelde belastingverplichtingen niet-vlottend 223.049145.669200.086372.59174.351204.151281.279301.935244.836280.53338.2979.67100000
Overige niet-vlottende verplichtingen 2250.00110.50310.50414.34414.34314.34314.34314.34215.09115.87243.638236.427256.819293.946292.068368.903
Totaal niet-vlottende verplichtingen 326.581252.557364.564533.633355.65530.582864.591,074.0691,546.9472,066.0173,172.4973,074.6332,744.7472,613.8162,995.544,168.8243,774.603
Totaal passiva 9,002.1016,634.7167,046.8858,447.0648,852.6079,561.77910,230.5719,114.57210,441.84512,257.19210,872.42510,432.98112,254.30711,860.17217,285.24416,031.51213,197.584
Eigen vermogen:
Preferente aandelen 00000000000000000
Gewone aandelen 565.295565.295565.295565.295565.295565.295565.295565.295565.295565.295565.295565.295565.295565.295565.295565.295565.295
Ingehouden winsten 18,881.85818,072.79217,464.22716,200.00114,408.46512,672.80111,478.01110,012.1448,363.1567,053.7675,815.6075,532.525,802.4035,647.4045,259.044,733.094,344.264
Overige gereserveerde algehele resultaten 817.96567.067763.415979.042521.518621.511813.976625.292499.44956514110700000
Overige totale aandeelhoudersvermogen 351.32351.32351.551351.551351.731351.732351.835351.833351.834372.294372.347372.534414.817439.717480.612-353.003-276.689
Totaal eigen vermogen van aandeelhouders 20,616.43319,556.47419,144.48818,095.88915,847.00914,211.33913,209.11711,554.5649,779.7348,556.3566,894.2496,577.3496,782.5156,652.4166,304.9474,945.3824,632.87
Totaal eigen vermogen 20,616.43319,556.47419,162.08118,108.81515,853.99114,215.43313,214.61511,554.5649,779.7348,556.3566,894.2496,577.3496,782.5156,652.4166,304.9475,088.864,769.327
Totaal passiva en aandeelhoudersvermogen 29,618.53426,191.1926,208.96626,555.87924,706.59823,777.21223,445.18620,669.13620,221.57920,813.54817,766.67417,010.3319,036.82218,512.58823,590.19121,120.37217,966.911