GMO GlobalSign Holdings K.K.

TSE:3788.T

2810 (JPY) • At close September 19, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 6,645.496,679.5174,590.1644,670.4174,433.6194,356.683,695.9913,220.3493,830.2472,693.083,328.5813,554.3323,038.982,733.6672,650.8781,642.057
Kortetermijnbeleggingen 1020-169.033206060-159.9-159.960700-19.561-8.316-61.786-148.018200-423.18
Liquide middelen en kortetermijnbeleggingen 6,655.496,679.5174,590.1644,670.4174,433.6194,356.683,695.9913,220.3493,830.2473,393.083,328.5813,554.3323,038.982,733.6672,850.8781,642.057
Nettovorderingen 2,194.352,024.6171,583.7091,332.2191,441.5131,370.7911,269.3061,296.6061,307.4271,2291,0938840000
Voorraad 0711.231935.8731,046.96707.5698.08487.558475.953423.455448.671366.338250.4840000
Overige vlottende activa 1,213.453471.225407.459340.73281.902153.94191.30369.21659.828194.016124.25144.237118.078124.39469.30696.22
Totaal vlottende activa 10,063.2939,886.597,517.2057,390.3266,864.5346,579.4925,544.1585,062.1245,620.9575,264.7674,912.1694,833.0534,120.0673,846.9043,806.9142,505.401
Niet-vlottende activa:
Materiële vaste activa, netto 1,093.1231,079.836955.4721,019.124998.0471,102.5871,190.3721,382.0921,225.7771,226.0961,091.513812.722498.58296.334220.525266.473
Goodwill 00000006.2071,034.381,611.176365.989668.486973.0181,346.087647.6561,042.079
Immateriële activa 3,650.5952,792.2832,082.7481,725.9241,200.934746.9181,036.308856.184501.605444.393482.215622.858628.919684.887822.25806.941
Goodwill en immateriële activa 3,650.5952,792.2832,082.7481,725.9241,200.934746.9181,036.308862.3911,535.9852,055.569848.2041,291.3441,601.9372,030.9741,469.9061,849.02
Langetermijnbeleggingen 445.975499.92880.035643.452674.571561.359596.78705.555630.263-225.1441,190.08410.678314.781270.386-159.65440.658
Belastingvorderingen 71.878187.0477.181134.193134.68934.7356.82340.91123.309719.33341.32551.68250.7638.34915.82244.18
Overige niet-vlottende activa 368.641128.6310.058150.15781.73498.091244.661249.423179.857218.9208.917150.42162.203192.633638.539108.095
Totaal niet-vlottende activa 5,630.2124,687.713,995.4943,672.853,089.9752,543.693,074.9443,240.3723,595.1913,994.7543,380.0392,716.8462,628.2612,828.6762,185.1422,708.426
Totaal activa 15,693.50514,574.30411,512.70411,063.1789,954.5139,123.1838,619.1028,302.4969,216.1489,259.5218,292.2087,549.8996,748.3286,675.585,992.0565,213.827
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 47.7868.56762.718110.929118.808201.352596.567900.652814.686283.82664.536568.463491.86538.526427.044336.99
Kortlopende schulden 504.6851,232.679577.212389.816140.357173.263205.291243.722242.521205.273231.635195.414104.83286.00328.8824
Belastingschulden 222.83258.213192.966272.564341.194292.483266.885200.192282.047211.558184.71348.352192.957161.859390.403180.634
Uitgestelde opbrengsten 2,511.9092,280.1512,751.9492,586.572,768.183292.4831,821.7211,642.6061,781.1052,192.351,652.2131,835.1971,736.6681,760.7031,704.7821,492.502
Overige kortlopende verplichtingen 1,721.5261,723.662511.308413.277309.1242,381.269342.737288.233273.17190.201112.228100.402167.464133.03492.35458.828
Totaal kortlopende verplichtingen 4,785.95,305.0593,903.1873,500.5923,336.4723,048.3672,966.3163,075.2133,111.4822,871.6442,660.6122,699.4762,500.8242,518.2662,253.061,912.32
Langlopende verplichtingen:
Langetermijnschulden 1,260725.324116.263134.88143.722212.299308.789423.287494.328422.958413.772367.083200.211181.2362246
Uitgestelde opbrengsten niet-vlottend 241.31500-83.1160000-43.6910000000
Uitgestelde belastingverplichtingen niet-vlottend 641.076495.488268.70283.116000043.69143.23217.79615.54716.46711.9774.720
Overige niet-vlottende verplichtingen 99.7492.33471.998138.82639.52843.4687.65346.211168.63264.47330.21830.68431.72.7440.0010
Totaal niet-vlottende verplichtingen 2,242.1311,313.146456.963273.706183.25255.759396.442469.498662.958730.663461.786413.314248.378195.95726.72146
Totaal passiva 7,028.0316,618.2054,360.153,774.2983,519.7223,304.1263,362.7583,544.7113,774.443,602.3073,122.3983,112.792,749.2022,714.2232,279.7811,958.32
Eigen vermogen:
Preferente aandelen 0000000000000000
Gewone aandelen 916.9916.9916.9916.9916.9916.9916.9916.9916.9916.9916.9916.9910.075910.075907.8907.45
Ingehouden winsten 6,584.3126,294.5655,867.9636,027.7985,393.9434,785.6874,147.0623,756.3463,390.7373,284.8223,030.1572,709.3322,447.7272,307.6241,841.9441,414.677
Overige gereserveerde algehele resultaten 1,300.459886.319511.564168.921203.808195.075261.7158.3121,883.56632717100000
Overige totale aandeelhoudersvermogen -163.305-163.153-163.027-117.786-106.36-106.257-106.13-106.617-910.374966.141967.457802.033638.701700.573923.291913.987
Totaal eigen vermogen van aandeelhouders 8,638.3667,934.6317,133.46,995.8336,408.2915,791.4055,219.5324,724.9415,280.8295,494.8635,085.5144,428.2653,996.5033,918.2723,673.0353,236.114
Totaal eigen vermogen 8,665.4737,956.0997,152.5547,288.886,434.7915,819.0575,256.3444,757.7855,441.7085,657.2145,169.814,437.1093,999.1263,961.3573,712.2753,255.507
Totaal passiva en aandeelhoudersvermogen 15,693.50414,574.30411,512.70411,063.1789,954.5139,123.1838,619.1028,302.4969,216.1489,259.5218,292.2087,549.8996,748.3286,675.585,992.0565,213.827