Tokai Senko K.K.

TSE:3577.T

679 (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 2,680.4082,501.8092,321.2772,274.562,473.5582,079.7552,079.7952,028.0811,530.3831,700.4251,603.7531,477.7281,714.7732,176.9851,901.2441,962.4691,775.212
Kortetermijnbeleggingen 0.044-225.199-315.515-307.335-341.262-315.856182.679118.9670000070.61-5.90400
Liquide middelen en kortetermijnbeleggingen 2,680.4522,501.8092,321.2772,274.562,473.5582,079.7552,079.7952,028.0811,530.3831,700.4251,603.7531,477.7281,714.7732,247.5951,901.2441,962.4691,775.212
Nettovorderingen 2,600.9072,010.4711,933.3962,205.5072,952.4343,473.9963,693.4373,782.1724,395.3014,289.8834,015.4883,643.1983,831.5874,751.5683,932.2083,959.5525,368.727
Voorraad 1,157.7721,151.034907.872737.258847.922949.946852.701863.963986.3481,0531,138.2541,124.551993.6221,063.555912.8571,149.6621,341.26
Overige vlottende activa 261.637887.529806.007225.771209.88126.3410.34278.2658.44121.713208.478227.389147.291127.936208.152398.051657.017
Totaal vlottende activa 6,700.7686,550.8435,968.5525,443.0966,483.7956,530.0386,626.2756,752.4766,970.4727,165.0216,965.9736,472.8666,687.2738,190.6546,954.4617,469.7349,142.216
Niet-vlottende activa:
Materiële vaste activa, netto 4,889.3915,004.2895,125.9935,269.0975,437.4685,838.7185,757.4675,454.4625,438.7055,529.4635,489.2355,428.6975,204.2335,389.2086,286.6546,381.3267,244.964
Goodwill 17.90423.4130000000000.2960.69111.08621.48131.87740
Immateriële activa 72.6987.61160.51170.86884.16890.68971.03143.00743.11642.60445.17333.88536.97740.11529.59730.44633.621
Goodwill en immateriële activa 90.594111.02460.51170.86884.16890.68971.03143.00743.11642.60445.17334.18137.66851.20151.07862.32373.621
Langetermijnbeleggingen 2,598.1892,2712,2012,1041,8962,2352,451.4432,175.9051,923.8012,213.1861,798.2581,663.7241,550.2151,412.4971,790.5021,583.8832,318.896
Belastingvorderingen 0.749-225.19927.96520.19925.06651.62712.56131.6956.69153.59653.0122.45510.42314.68711.26312.0887.224
Overige niet-vlottende activa 274.045226.145-0.0010.5470.817-0.031421.001412.585370.58328.576375.855327.526250.365323.72248.576327.051312.328
Totaal niet-vlottende activa 7,852.9687,387.2597,415.4687,464.7117,443.5198,216.0038,713.5038,117.6497,832.8938,167.4257,761.5317,476.5837,052.9047,191.3138,388.0738,366.6719,957.033
Totaal activa 14,553.73613,938.10513,384.02412,907.80913,927.31614,746.04315,339.77814,870.12614,803.36515,332.44614,727.50413,949.44913,740.17715,381.96715,342.53415,836.40519,099.249
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,291.417645.539640.803610.384954.577936.781990.6831,822.6752,197.8592,184.3882,215.6122,065.6892,293.6352,447.4122,204.292,366.4882,861.628
Kortlopende schulden 1,243.5771,412.6121,077.5361,038.9271,155.1981,037.0391,115.4441,363.7751,598.5592,079.82,252.2232,243.0252,167.2543,804.8634,105.713,648.0163,653.383
Belastingschulden 96.53778.17761.9638.26562.06193.84664.46191.998152.87240.53546.51153.2232.06277.23163.69146.45375.031
Uitgestelde opbrengsten 96.537834.704711.935658.926731.889890.98856.737885.236952.073799.736684.51632.692881.6511,109.807775.0931,154.0911,067.958
Overige kortlopende verplichtingen 1,060.778888.396768.172767.6641,134.5691,228.6061,271.895420.97285.084339.358230.353400.986351.712155.967736.202406.374389.87
Totaal kortlopende verplichtingen 3,692.3093,781.2513,198.4463,075.9013,976.2334,093.4064,234.7594,492.6565,033.5755,403.2825,382.6985,342.3925,694.2527,518.0497,821.2957,574.9697,972.839
Langlopende verplichtingen:
Langetermijnschulden 1,2501,421.9071,576.3061,491.5111,271.7651,042.0431,061.623978.3561,190.6811,425.6371,649.7611,105.156811.5856.9521,017.7991,120.8231,361.026
Uitgestelde opbrengsten niet-vlottend 22.278850.132860.566895.8681,029.2911,080.1161,173.1451,271.9511,258.9031,426.8951,666.9641,904.9042,260.3642,148.921,986.7322,106.5012,501.796
Uitgestelde belastingverplichtingen niet-vlottend 455.913225.866294.1278.058140.615186.591450.139355.233305.787380.012241.497170.482105.726173.566238.06376.977291.974
Overige niet-vlottende verplichtingen 1,123.509342.568299.283305.865313.604297.03298.169298.782334.581388.846392.167267.55469.87369.39481.214118.913125.841
Totaal niet-vlottende verplichtingen 2,851.72,840.4733,030.2552,971.3022,755.2752,605.782,983.0762,904.3223,089.9523,621.393,950.3893,448.0963,247.4633,248.8323,323.8083,423.2144,280.637
Totaal passiva 6,544.0096,621.7246,228.7016,047.2036,731.5086,699.1867,217.8357,396.9788,123.5279,024.6729,333.0878,790.4888,941.71510,766.88111,145.10310,998.18312,253.476
Eigen vermogen:
Preferente aandelen 0141.769408.582608.196737.614573.5130359.405502.31829974678900000
Gewone aandelen 4,3004,3004,3004,3004,3004,3004,3004,3004,3004,3004,3004,3004,3004,3004,3004,3004,300
Ingehouden winsten 1,440.4311,373.7651,538.981,555.4391,794.7292,495.972,236.2531,949.4581,386.502920.059560.857367.736305.733146.286-1,471.089-1,228.547-151.362
Overige gereserveerde algehele resultaten 397.687-141.769-408.582-608.196-737.614-573.513-140.455-359.405-502.318-299-746-78900000
Overige totale aandeelhoudersvermogen 697.777556.363355.634193.58864.597329.159903.439545.707503.149708.075260.409240.411-13.674-32.0561,181.2331,675.2342,689.148
Totaal eigen vermogen van aandeelhouders 6,835.8956,230.1286,194.6146,049.0276,159.3267,125.1297,299.2376,795.1656,189.6515,928.1345,121.2664,908.1474,592.0594,414.234,010.1444,746.6876,837.786
Totaal eigen vermogen 8,009.7227,316.3817,155.3236,860.6067,195.8088,046.8578,121.9447,473.1486,679.8386,307.7745,394.4175,158.9614,798.4624,615.0864,197.4314,838.2226,845.773
Totaal passiva en aandeelhoudersvermogen 14,553.73113,938.10513,384.02412,907.80913,927.31614,746.04315,339.77914,870.12614,803.36515,332.44614,727.50413,949.44913,740.17715,381.96715,342.53415,836.40519,099.249