TechMatrix Corporation

TSE:3762.T

2390 (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 27,265.39820,071.5418,155.90314,634.33213,396.6511,802.8536,097.6845,458.7434,698.8874,291.2633,959.563,633.5563,624.4312,901.8282,821.7262,398.9652,146.366
Kortetermijnbeleggingen 0-385.454-420.473-418.915-947.111-772.8900000000-9.216-14.734-17.129
Liquide middelen en kortetermijnbeleggingen 27,265.39820,071.5418,155.90314,634.33213,396.6511,802.8536,097.6845,458.7434,698.8874,291.2633,959.563,633.5563,624.4312,901.8282,821.7262,398.9652,146.366
Nettovorderingen 6,874.63430,170.67322,716.1515,625.2379,870.5878,432.9678,026.2097,070.1136,404.3895,825.7475,339.7343,331.1963,260.733,444.6094,298.4363,665.8563,627.06
Voorraad 484.768559.016561.38262.65423.919391.784239.032320.63269.508302.827317.679305.828219.294215.637242.978256.598534.248
Overige vlottende activa 35,837.223969.588833.886847.76676.368566.525537.036494.082719.04371.692252.11,898.8871,377.2481,317.6541,257.3721,134.276742.781
Totaal vlottende activa 70,462.02351,770.81742,267.32131,169.97924,367.52421,194.12914,899.96113,343.56812,091.82410,791.5299,869.0739,169.4678,481.7037,879.7288,620.5127,455.6957,050.455
Niet-vlottende activa:
Materiële vaste activa, netto 6,117.6716,121.5933,506.4754,289.5831,318.2571,194.4291,072.7171,205.6711,028.478472.577448.298457.678367.071352.73297.136328.6287.91
Goodwill 171.978171.978171.978164.903164.9033.01822.125126.015229.904344.876649.502590.655713.544836.433853.239893.75804.24
Immateriële activa 2,420.2922,141.9121,752.2071,473.6361,373.0471,225.3341,196.291,085.862904.067830.414756.869759.077762.66734.679687.084669.499502.829
Goodwill en immateriële activa 2,592.272,313.891,924.1851,638.5391,373.0471,228.3521,218.4151,211.8771,133.9711,175.291,406.3711,349.7321,476.2041,571.1121,540.3231,563.2491,307.069
Langetermijnbeleggingen 4,035.7384,2083,1601,9831,8821,499417.174455.934437.364536.217411.668360.599292.861307.335347.336347.674306.472
Belastingvorderingen 5,395.8251,277.0411,645.86915.097683.719617.272280.221279.224272.255264.543246.72346.95139.57733.61844.32736.37624.615
Overige niet-vlottende activa 1,022.7650.021-0.129-0.054-0.6450.038738.109784.389755.014987.1788.229827.907812.139790.046825.489751.386667.81
Totaal niet-vlottende activa 19,164.26913,920.54510,236.3918,826.1655,256.3784,539.0913,726.6363,937.0953,627.0823,435.7273,301.2893,042.8672,987.8523,054.8413,054.6113,027.2852,593.876
Totaal activa 89,626.29265,691.36352,503.71339,996.14529,623.90425,733.22218,626.59717,280.66415,718.90614,227.25613,170.36212,212.33411,469.55510,934.56911,675.12310,482.989,644.331
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,224.7892,145.2532,158.9811,369.1881,450.2751,214.7171,208.6631,081.1571,063.171,116.6891,135.122885.032915.9181,072.581,611.1251,376.2951,667.887
Kortlopende schulden 1,297.3161,352.0711,462.5941,458.267914.114979.018950.839940.239801.946394.417400.561374.96374.96481.132503.871476.509418.797
Belastingschulden 1,419.212657.3541,115.294537.902725.301587.378419.467451.07372.976338.988360.951334.312422.772240.051310.974219.357463.02
Uitgestelde opbrengsten 42,752.1329,738.07221,313.5713,946.0177,622.5566,582.7745,867.3525,361.3264,892.4864,029.1923,664.182711.341776.202500.953702.707672.556894.586
Overige kortlopende verplichtingen 6,374.1692,809.1123,054.8462,128.6581,922.0021,633.5391,462.8231,503.6721,306.6071,197.95833.153,569.5833,153.7492,927.2562,985.742,406.6391,688.926
Totaal kortlopende verplichtingen 51,648.40436,044.50827,989.99118,902.1311,908.94710,410.0489,489.6778,886.3948,064.2096,738.2486,033.0155,540.9165,220.8294,981.9215,803.4434,931.9994,670.196
Langlopende verplichtingen:
Langetermijnschulden 1003,295.5422,034.5363,160.6211,288.9881,698.8452,004.5792,421.2632,669.954119.85272.24319.71104.67240.193337.829348.477143.105
Uitgestelde opbrengsten niet-vlottend 2,769.35201,857.081,328.563-25.4440000907.79804.916000000
Uitgestelde belastingverplichtingen niet-vlottend 3,869.964052.62210.33225.44400007.844.841000000
Overige niet-vlottende verplichtingen 4,195.0632,433.783367.209239.7711,420.9621,249.9391,158.9731,119.4991,017.3192.4213.163696.762640.301551.066449.036385.544324.677
Totaal niet-vlottende verplichtingen 10,934.3795,729.3254,311.4474,739.2872,709.952,948.7843,163.5523,540.7623,687.2731,037.903885.163716.472744.971791.259786.865734.021467.782
Totaal passiva 62,582.78341,773.83332,301.43823,641.41714,618.89713,358.83212,653.22912,427.15611,751.4827,776.1516,918.1786,257.3885,965.85,773.186,590.3085,666.025,137.978
Eigen vermogen:
Preferente aandelen 000000021.28853.10401000000
Gewone aandelen 1,298.121,298.121,298.121,298.121,298.121,298.121,298.121,298.121,298.121,298.121,298.121,298.121,298.121,298.121,298.121,298.121,298.12
Ingehouden winsten 16,037.63813,380.73911,149.1989,450.9868,743.2027,595.2726,474.2885,426.6044,581.7873,934.6493,541.4592,897.1892,419.0742,138.6912,103.4971,876.1491,627.226
Overige gereserveerde algehele resultaten 571.779671.876685.431487.547304.54856.56730.219-21.288-53.10426-11700000
Overige totale aandeelhoudersvermogen 3,836.9323,620.2583,886.0223,608.1113,389.7292,235.448-1,873.63-1,896.038-1,927.4521,190.2351,325.4921,271.1691,363.9771,351.771,376.0381,370.4821,404.773
Totaal eigen vermogen van aandeelhouders 21,744.46918,970.99317,018.77114,844.76413,735.59911,185.4075,928.9974,828.6863,952.4556,449.0046,165.0715,483.4785,081.1714,788.5814,777.6554,544.7514,330.119
Totaal eigen vermogen 27,043.50723,917.5320,202.27516,354.72815,005.00712,374.395,973.3674,853.5083,967.4246,451.1056,252.1845,954.9465,503.7555,161.3895,084.8154,816.964,506.353
Totaal passiva en aandeelhoudersvermogen 89,626.2965,691.36352,503.71339,996.14529,623.90425,733.22218,626.59617,280.66415,718.90614,227.25613,170.36212,212.33411,469.55510,934.56911,675.12310,482.989,644.331