Internet Initiative Japan Inc.

TSE:3774.T

2836.5 (JPY) • At close November 5, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 45,47442,47247,390.52742,466.93338,671.73431,957.78921,402.89221,958.59119,569.09521,093.63322,421.112,258.87213,536.82413,313.6158,764.41510,187.72411,454.98113,584.56513,753.065,287.11612,292.9533,585.44211,063.41113,632.3416,162.1451,071.811
Kortetermijnbeleggingen 1,5321,9181,294.6161,975.912,670.8851,581.212-11,388.332-9,667.802-8,071.874-5,714.576-3,897.689-4,252.557-3,436.74700012.16512.13500000000
Liquide middelen en kortetermijnbeleggingen 45,47444,39048,685.14344,442.84341,342.61933,539.00121,402.89221,958.59119,569.09521,093.63322,421.112,258.87213,536.82413,313.6158,764.41510,187.72411,467.14513,596.70113,753.065,287.11612,292.9533,585.44211,063.41113,632.3416,162.1451,071.811
Nettovorderingen 48,79358,85953,072.85346,679.43442,679.30441,898.36240,273.86336,293.08629,998.32227,490.93525,197.73222,303.69518,509.84916,431.37411,396.59710,256.52712,238.119,697.20111,984.9347,408.2899,000.52210,244.6768,996.1325,442.0154,500.7192,917.709
Voorraad 3,2273,1882,608.3482,171.0462,476.4773,403.1921,714.5472,798.0542,003.5731,229.4631,670.2581,301.684752.075601.088807.803529.7561,182.4711,113.52853.46140.153438.699417.271621.353246.671214.036119.09
Overige vlottende activa 22,395241119.198111.33492.027130.93,793.4492,672.0081,834.9512,272.6052,411.3761,576.718891.561,533.185762.0811,610.8071,555.689932.666214.572108.198325.688932.106144.074349.1982,025.277869.358
Totaal vlottende activa 119,889106,678104,485.54293,404.65786,590.42778,971.45567,184.75163,721.73953,405.94152,086.63651,700.46637,440.96933,690.30834,537.68324,894.64224,356.76928,445.90726,395.6427,839.21913,548.76522,615.93115,743.52621,242.57319,924.96522,902.1784,977.968
Niet-vlottende activa:
Materiële vaste activa, netto 70,31469,99662,719.61967,792.12767,960.22433,136.05946,414.2539,775.44434,324.1529,370.05426,971.48523,025.75519,735.54616,480.72412,970.15213,172.89111,723.9019,854.13810,318.9749,723.5548,608.0079,144.1047,767.6476,958.9895,544.1843,739.431
Goodwill 10,3289,8599,479.4646,082.4726,082.4726,082.4726,082.4726,169.6096,169.6096,169.6095,969.9515,969.9515,788.3335,980.3332,639.3192,639.3192,503.7391,389.337507.6510000000
Immateriële activa 18,35716,61616,423.55216,954.27418,280.24718,818.7072,704.6683,087.0173,549.4593,941.2794,338.9444,791.4315,396.4695,862.5032,819.1873,201.8063,395.4531,493.962126.177561.257141.472189.7010000
Goodwill en immateriële activa 28,68526,47525,903.01623,036.74624,362.71924,901.1798,787.149,256.6269,719.06810,110.88810,308.89510,761.38211,184.80211,842.8365,458.5065,841.1255,899.1922,883.299633.828561.257141.472189.7010000
Langetermijnbeleggingen 34,85542,84438,51436,40026,86830,10429,554.3822,790.57319,445.11515,697.99813,091.96910,603.5828,716.9734,046.0363,712.9642,862.220000000000
Belastingvorderingen 290200182.641143.337742.857176.587183.80880.566224.316471.087636.807163.77324.7616.393685.3700000000000
Overige niet-vlottende activa 19,68000.2580.4020.033-0.0841,324.491,770.201716.314968.6521,156.953115.805140.8574,549.3173,393.8166,068.1949,555.8888,665.56712,008.94613,287.33111,401.6896,960.77416,324.11323,986.70910,563.3994,715.97
Totaal niet-vlottende activa 153,824139,515127,319.534127,372.612119,933.83388,317.74186,264.06873,673.4164,428.96356,618.67952,166.10944,670.29739,802.93836,935.30626,220.80827,944.4327,178.98121,403.00422,961.74723,572.14220,151.16916,294.57924,091.7630,945.69816,107.5838,455.401
Totaal activa 273,713246,193231,805.076220,777.269206,524.26167,289.196153,448.819137,395.149117,834.904108,705.315103,866.57582,111.26673,493.24671,472.98951,115.4552,301.19955,624.88947,798.64350,800.96637,120.90642,767.132,038.10545,334.33350,870.66339,009.76113,433.369
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 25,43522,31320,741.83519,243.818,287.54621,962.23914,950.9214,653.06513,906.70312,182.90811,491.66610,973.129,752.92313,574.1526,967.6546,064.8297,884.2368,483.53410,127.1194,861.2947,193.0788,399.2217,096.7184,333.3843,560.1111,679.171
Kortlopende schulden 30,13316,82816,37018,56015,58012,75014,905.87514,068.72313,204.38612,772.11314,133.02610,41013,007.29216,217.9557,179.67310,622.25712,588.2949,313.81410,568.38511,966.54422,347.8959,475.9637,205.4387,297.34215,948.9318,586.4
Belastingschulden 5,3284,0345,795.0843,012.4152,283.7071,139.461,928.0371,075.7451,078.412499.1041,079.481,669.8492,210.0890000000000000
Uitgestelde opbrengsten 12,74132,38732,466.26928,073.48126,115.47613,632.96310,725.5219,890.6588,037.7177,053.5335,744.0626,691.6145,982.864816.1171,445.1741,255.7491,550.703907.806541.078541.204454.65389.194248.01212.24300
Overige kortlopende verplichtingen 30,0496,3367,199.457,381.7465,703.6234,559.0051,562.7171,370.661917.31,732.7811,098.1734,309.373717.3423,557.2272,121.3671,844.8131,867.3852,474.4621,705.391817.651484.258551.525507.582457.2741,240.341261.998
Totaal kortlopende verplichtingen 98,35877,86476,777.55473,259.02765,686.64552,904.20742,145.03339,983.10736,066.10633,741.33532,466.92732,384.10729,460.42134,165.45117,713.86819,787.64823,890.61821,179.61622,941.97318,186.69330,479.88118,815.90315,057.74912,300.24320,749.38310,527.569
Langlopende verplichtingen:
Langetermijnschulden 473,6025,5007,00012,17014,00026,420.72618,884.6437,779.3674,340.4214,603.3226,350.3656,731.2413,626.5653,657.6574,866.124,731.7784,327.8945,280.725,869.7125,191.93122,073.85121,295.20520,572.1612,300.1442,167.441
Uitgestelde opbrengsten niet-vlottend 8,7897,7307,768.7937,649.996,470.9045,518.4923,952.2793,656.6123,092.5622,943.9752,711.3472,562.2081,547.1591,270.9841,302.05400000000-000
Uitgestelde belastingverplichtingen niet-vlottend 1,483610640.624225.469136.536421.396688.787963.845710.0551,097.651,092.863412.132652.28609.412212.7730000000101.011189.2913.0830
Overige niet-vlottende verplichtingen 38,00437,08536,497.30841,671.13242,003.05817,325.4916,253.4376,526.7424,842.8393,738.1542,811.492,768.2762,405.8982,159.227865.3952,404.5121,762.8881,317.5851,052.378418.959234.049265.676108.454125.227114.26271.454
Totaal niet-vlottende verplichtingen 48,32349,02750,406.72556,546.59160,780.49837,265.37937,315.22930,031.84216,424.82312,120.211,219.02212,092.98111,336.5787,666.1886,037.8797,270.6326,494.6665,645.4786,333.0986,288.6715,425.9822,339.52721,504.67120,886.6782,417.4892,238.895
Totaal passiva 146,681126,891127,184.279129,805.618126,467.14390,169.58679,460.26270,014.94952,490.92945,861.53543,685.94944,477.08840,796.99941,831.63923,751.74727,058.2830,385.28326,825.09529,275.07124,475.36435,905.86141,155.4336,562.4233,186.92123,166.87212,766.464
Eigen vermogen:
Preferente aandelen 0111,546000000000000000000000000
Gewone aandelen 25,56225,56225,561.83825,530.62125,530.62125,518.71225,511.80425,509.49925,509.49925,499.85725,497.02216,833.84716,833.84716,833.84716,833.84716,833.84716,810.3516,871.16316,865.70213,766.98313,775.1267,076.5067,093.5287,114.4837,083.951,107.538
Ingehouden winsten 65,61651,07737,023.74925,046.81316,500.99312,335.0358,404.2284,511.9452,471.276-556.162-2,867.548-6,399.088-10,990.348-14,023.259-16,720.092-18,549.142-19,528.268-24,324.476-29,736.7-34,438.155-34,815.056-34,656.757-18,237.217-10,811.138-6,063.502-1,286.174
Overige gereserveerde algehele resultaten 10,8636,5716,275.2224,865.112,669.5014,125.6625,130.3042,499.71,196.6691,938.6491,712.786263.770-85.134168.769-320.71190.537951.7536,566.0318,691.1163,648.144529.8181,785.9093,555.4131,952.83611.909
Overige totale aandeelhoudersvermogen 23,710-76,63934,667.31134,513.83534,374.47434,292.02934,223.72134,220.72735,667.76335,622.05835,569.92526,908.24626,844.70626,926.83327,037.05327,205.1927,573.23826,658.14326,565.20823,596.48423,610.30117,054.32717,095.25617,145.75812,031.34654.996
Totaal eigen vermogen van aandeelhouders 125,751118,117103,528.1289,956.37979,075.58976,271.43873,270.05766,741.87164,845.20762,504.40259,912.18537,606.77532,688.20529,652.28727,319.57725,169.18424,945.85720,156.58320,260.2411,616.4286,218.516-9,996.1077,737.47617,004.51515,004.624488.27
Totaal eigen vermogen 127,032119,302104,620.79790,971.65180,057.11777,119.6173,988.55767,380.265,343.97562,843.7860,180.62637,634.17832,696.24729,641.3527,363.70325,242.91925,239.60620,973.54921,525.89512,645.5426,861.239-9,117.3248,771.91317,683.74215,842.889666.905
Totaal passiva en aandeelhoudersvermogen 273,713246,193231,805.076220,777.269206,524.26167,289.196153,448.819137,395.149117,834.904108,705.315103,866.57582,111.26673,493.24671,472.98951,115.4552,301.19955,624.88947,798.64350,800.96637,120.90642,767.132,038.10545,334.33350,870.66339,009.76113,433.369