Ichikawa Co., Ltd.

TSE:3513.T

1575 (JPY) • At close November 8, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 6,6905,7844,452.1143,628.3293,306.6554,248.5533,171.3411,642.0911,688.4892,384.2453,338.7722,269.5242,100.4822,877.2592,032.9341,910.8762,006.686
Kortetermijnbeleggingen 22-40-44.005-44.14-42.735-43.10200000000000
Liquide middelen en kortetermijnbeleggingen 6,7125,7844,452.1143,628.3293,306.6554,248.5533,171.3411,642.0911,688.4892,384.2453,338.7722,269.5242,100.4822,877.2592,032.9341,910.8762,006.686
Nettovorderingen 4,6034,3834,4113,9754,1954,4415,040.5564,869.7714,815.6214,899.9394,568.1034,862.4894,731.2544,559.8474,350.2354,982.9686,150.048
Voorraad 3,7063,4633,233.8123,406.0873,362.8273,353.0923,227.6693,250.2873,264.6133,244.7113,133.8593,316.1863,160.1752,639.6083,088.9543,576.1412,996.671
Overige vlottende activa 220181114.546135.053144.279124.745128.377133.625162.374124.257107.67763.06568.79593.777201.106110.038145.979
Totaal vlottende activa 15,24113,81312,213.67511,145.95711,008.86112,167.62611,567.9439,895.7749,931.09710,653.15211,148.41110,511.26410,060.70610,170.4919,673.22910,580.02311,299.384
Niet-vlottende activa:
Materiële vaste activa, netto 8,5298,9979,655.73210,246.1999,845.0269,312.9159,948.65710,896.5311,690.05811,992.16711,977.55512,632.39513,511.05214,650.90415,861.70415,511.12713,904.279
Goodwill 000.0850.140.9180.8580.3180000000000
Immateriële activa 123748813217620111696.032115.554123.66335.40947.00297.05163.407215.355232.286165.734
Goodwill en immateriële activa 1237488.085132.14176.918201.858116.31896.032115.554123.66335.40947.00297.05163.407215.355232.286165.734
Langetermijnbeleggingen 5,2803,7273,7443,7453,1953,8994,376.3353,994.853,331.0763,968.2713,377.1922,927.9982,510.1592,475.9842,881.092,770.2174,372.537
Belastingvorderingen 253031.85424.09330.62642.54724.87727.92122.02626.95124.33823.44222.71321.69616.96315.95820.972
Overige niet-vlottende activa 440-0.5220.241-0.0990.09448.92953.26755.82958.74151.03851.74152.6663.42872.58679.13695.134
Totaal niet-vlottende activa 14,00112,82813,519.14914,147.67313,247.47113,456.41414,515.11615,068.615,214.54316,169.79315,465.53215,682.57816,193.63417,375.41919,047.69818,608.72418,558.656
Totaal activa 29,24226,64325,732.82625,293.63424,256.33525,624.04226,083.0624,964.37425,145.6426,822.94526,613.94326,193.84226,254.3427,545.9128,720.92729,188.74729,858.04
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 811602376.826359.266370.175534.309593.097429.318622.875591.633562.024659.702699.718565.463576.5211,576.1491,750.661
Kortlopende schulden 892912921.575925.894923.184911.739923.434852.5921,331.232912.6171,046.7711,191.0531,148.1692,293.3744,230.4063,771.4052,242.364
Belastingschulden 308146269.738162.667127.91121.317196.25191.9488.414314.64481.39266.62384.05882.17241.437129.128192.851
Uitgestelde opbrengsten 14658713.081466.992436.587460.74507.872483.469307.843662.844429.701376.114382.903629.75306.543472.564614.956
Overige kortlopende verplichtingen 2,037987908.333800.19815.9511,182.318973.236779.629691.012849.007680.805799.397887.706712.22700.25277.78768.39
Totaal kortlopende verplichtingen 3,7543,1592,919.8152,552.3422,545.8973,089.1062,997.6392,545.0082,952.9623,016.1012,719.3013,026.2663,118.4964,200.8075,813.7225,897.9054,676.371
Langlopende verplichtingen:
Langetermijnschulden 172957.498102.834141.557150.92872.58770.751558.1011,398.8061,756.5132,226.9442,849.3143,387.5612,618.0621,175.6841,300
Uitgestelde opbrengsten niet-vlottend 03,3333,312.6293,308.2963,214.7253,129.2843,168.6673,123.2573,053.3362,650.7522,613.9652,239.2782,265.0292,156.682,065.1572,555.4962,732.355
Uitgestelde belastingverplichtingen niet-vlottend 652521591.388750.813515.519752.4091,128.0971,053.096916.6961,244.981,306.0871,227.0921,184.5811,474.1781,639.06568.7781,019.947
Overige niet-vlottende verplichtingen 3,4618883.3779.22975.58167.27264.54863.46962.452118.251117.627116.852131.375130.42106.5820.450.45
Totaal niet-vlottende verplichtingen 4,1303,9714,044.8854,241.1723,947.3824,099.8934,433.8994,310.5734,590.5855,412.7895,794.1925,810.1666,430.2997,148.8396,428.8614,300.4085,052.752
Totaal passiva 7,8847,1306,964.76,793.5146,493.2797,188.9997,431.5386,855.5817,543.5478,428.898,513.4938,836.4329,548.79511,349.64612,242.58310,198.3139,729.123
Eigen vermogen:
Preferente aandelen 00000000000000000
Gewone aandelen 3,5943,5943,594.8033,594.8033,594.8033,594.8033,594.8033,594.8033,594.8033,594.8033,594.8033,594.8033,594.8033,594.8033,594.8033,594.8033,594.803
Ingehouden winsten 13,26912,59312,040.1811,902.96111,813.13911,739.95911,661.89111,602.60611,652.29111,574.34912,686.12512,162.06911,906.95111,407.62311,419.00113,992.18314,274.539
Overige gereserveerde algehele resultaten 3,0471,6201,431.1491,306.139668.2691,113.081,420.879936.546379.5061,16956434000000
Overige totale aandeelhoudersvermogen 1,4411,6871,685.4421,681.1371,672.5221,972.7531,973.9481,974.8381,975.4932,055.9031,255.5221,260.5381,203.7911,193.8381,464.541,403.4482,259.575
Totaal eigen vermogen van aandeelhouders 21,35119,49418,751.57418,485.0417,748.73318,420.59518,651.52118,108.79317,602.09318,394.05518,100.4517,357.4116,705.54516,196.26416,478.34418,990.43420,128.917
Totaal eigen vermogen 21,35519,51318,768.12618,500.1217,763.05618,435.04318,651.52118,108.79317,602.09318,394.05518,100.4517,357.4116,705.54516,196.26416,478.34418,990.43420,128.917
Totaal passiva en aandeelhoudersvermogen 29,23926,64325,732.82625,293.63424,256.33525,624.04226,083.05924,964.37425,145.6426,822.94526,613.94326,193.84226,254.3427,545.9128,720.92729,188.74729,858.04