ODK Solutions Company, Ltd.

TSE:3839.T

556 (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 2,705.5192,811.2582,527.3322,564.2562,236.2462,439.572,424.7032,503.2571,613.6471,669.0321,573.2631,045.1361,287.441,350.521,078.14703.1341,262.617
Kortetermijnbeleggingen 150-293.322101.1491.257-282.9461.58-209.215100.67-32.148100.028-19.3-26.989-31.137-48.421200.48299.6599.998
Liquide middelen en kortetermijnbeleggingen 2,855.5192,811.2582,628.4812,565.5132,236.2462,441.152,424.7032,603.9271,613.6471,769.061,573.2631,045.1361,287.441,350.521,278.621,002.7841,362.615
Nettovorderingen 2,433.4752,325.5682,315.5832,391.2972,146.7542,058.1681,788.751,153.3321,039.815996.44785.0971,243.413839.3681,417.5171,249.5381,306.427952.851
Voorraad 29.74948.0089.71340.16534.43710.8869.97813.91712.5128.78818.3118.22613.80817.6636.46105.379330.541
Overige vlottende activa 124.2643.68214.836-0.5411.18622.0063.6455.34522.16722.1225.60710.233154.20115.7818.5145.36866.794
Totaal vlottende activa 5,443.0035,228.5164,968.6134,996.4344,418.6234,532.2044,287.0763,776.5212,688.1412,796.412,382.2782,307.0082,294.8172,801.4782,573.1322,419.9582,712.801
Niet-vlottende activa:
Materiële vaste activa, netto 264.808337.981475.195574.344449.45413.101467.645412.78557.737467.123469.195311.995273.972324.675405.845377.311136.436
Goodwill 74.44683.96251.367004.05420.27436.49452.71368.93385.153101.372117.592133.812150.03100
Immateriële activa 1,298.0961,384.315918.142844.89635.877496.412651.375879.399924.95834.931650.996439.079318.76245.912286.14400
Goodwill en immateriële activa 1,372.5421,468.277969.509844.89635.877500.466671.649915.893977.663903.864736.149540.451436.352379.724436.175256.219160.984
Langetermijnbeleggingen 1,064.5121,2721,3781,7861,9571,5781,623.45825.3191,116.0241,048.8211,125.841,711.6931,615.6411,105.09868.606671.965792.078
Belastingvorderingen 264.491231.146238.50174.63226.426134.62463.219168.821176.019177.961216.62213.845223.661282.007316.837316.52327.514
Overige niet-vlottende activa 285.12-0.040.267-0.0180.508-0.31371.907374.293325.283442.268307.703396.906386.557182.9660.622924.988800.221
Totaal niet-vlottende activa 3,251.4733,309.3643,061.4723,279.8483,069.2612,625.8782,897.872,697.1063,152.7263,040.0372,855.5073,174.892,936.1832,274.3962,688.0852,547.0032,217.233
Totaal activa 8,694.4768,537.8848,030.0878,276.2847,487.8877,158.0847,184.9466,473.6285,840.8685,836.4475,237.7855,481.8985,2315,075.8745,261.2174,966.9614,930.034
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 257.644234.917314.302234.944206.064170.157216.274156.614151.701150.304143.913124.96275.404140.923106.443175.051274.851
Kortlopende schulden 370.735377.266244316.79213.484321.161375.513374.878271.197229.22285.26591.342122.6852.18249.8929.2440
Belastingschulden 211.857317.927381.42412.139387.286403.958293.025217.606151.188164.49124.629270.812215.8187.555316.421232.24398.523
Uitgestelde opbrengsten 253.356796.805725.241743.431668.267766.883549.013413.749308.558326.199300.384543.436406.983402.278567.635454.6360
Overige kortlopende verplichtingen 822.33724.61627.92829.57132.87819.51369.84728.76910.1559.539.81137.39896.7311.82442.08137.254639.343
Totaal kortlopende verplichtingen 1,704.0721,433.6041,311.4711,324.7361,120.6931,277.7141,210.647974.01741.611715.255539.373797.138701.797607.207766.049696.185914.194
Langlopende verplichtingen:
Langetermijnschulden 464.946877.951493.051658.778258.877379.261668.258833.118625.278699.132247.567152.79788.513105.036151.674114.7070
Uitgestelde opbrengsten niet-vlottend 42.269-82.376452.167-176.606-230.449-115.355-120.392-23.454-4.64900000000
Uitgestelde belastingverplichtingen niet-vlottend 0.20582.3769.481176.606230.449115.355120.39223.4544.64900000000
Overige niet-vlottende verplichtingen 427.735429.09528.675425.862511.446449.105492.503507.552499.598480.838515.26509.998596.881687.765801.195811.718797.675
Totaal niet-vlottende verplichtingen 935.1551,307.046983.3741,084.64770.323828.3661,160.7611,340.671,124.8761,179.97762.827662.795685.394792.801952.869926.425797.675
Totaal passiva 2,639.2272,740.652,294.8452,409.3761,891.0162,106.082,371.4082,314.681,866.4871,895.2251,302.21,459.9331,387.1911,400.0081,718.9181,622.611,711.869
Eigen vermogen:
Preferente aandelen 0000000002814000000
Gewone aandelen 637.2637.2637.2637.2637.2637.2637.2637.2637.2637.2637.2637.2637.2637.2637.2637.2637.2
Ingehouden winsten 4,589.4794,403.6544,248.9374,136.7263,744.463,460.8523,235.0483,052.4023,005.9253,011.5922,992.3972,846.8612,673.5312,517.8022,380.9862,115.8871,977.196
Overige gereserveerde algehele resultaten 194.336122.149153.271400.916523.145261.87273.30453.24510.555-28-14300000
Overige totale aandeelhoudersvermogen 634.231634.231694.834692.066692.066692.082667.986416.101320.701292.43305.988534.904533.078520.864524.113591.264603.769
Totaal eigen vermogen van aandeelhouders 6,055.2465,797.2345,734.2425,866.9085,596.8715,052.0044,813.5384,158.9483,974.3813,941.2223,935.5854,021.9653,843.8093,675.8663,542.2993,344.3513,218.165
Totaal eigen vermogen 6,055.2465,797.2345,735.2425,866.9085,596.8715,052.0044,813.5384,158.9483,974.3813,941.2223,935.5854,021.9653,843.8093,675.8663,542.2993,344.3513,218.165
Totaal passiva en aandeelhoudersvermogen 8,694.4738,537.8848,030.0878,276.2847,487.8877,158.0847,184.9466,473.6285,840.8685,836.4475,237.7855,481.8985,2315,075.8745,261.2174,966.9614,930.034