FreeBit Co., Ltd.

TSE:3843.T

1376 (JPY) • At close November 13, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 18,722.37318,305.76917,741.25617,621.36215,720.60415,458.70313,656.14310,249.1537,911.0086,983.4414,761.9174,685.3024,873.9754,095.9294,946.3982,920.9671,594.748
Kortetermijnbeleggingen 0889.05904.316941.226-1,082.722-1,067.355-539.9300000-413.237-471.822-136.4951,099.050
Liquide middelen en kortetermijnbeleggingen 18,722.37318,305.76917,741.25617,621.36215,720.60415,458.70313,656.14310,249.1537,911.0086,983.4414,761.9174,685.3024,873.9754,095.9294,946.3984,020.0171,594.748
Nettovorderingen 9,849.6769,296.1998,570.4838,050.68113,419.4839,552.5857,216.6625,933.85,942.5434,777.1274,493.454,457.4394,622.124,438.2642,896.1472,9542,292
Voorraad 2,261.4811,838.3931,630.3471,518.8031,462.7281,165.969413.375255.883745.869120.37791.948136.233296.444971.666399.73257.78137.457
Overige vlottende activa 984.0461,200.071,877.9121,605.7792,513.4491,380.87990.091975.5931,390.083716.016683.4691,257.2791,007.679875.05546.6443,254.0932,411.381
Totaal vlottende activa 31,817.57630,640.43129,819.99828,796.62533,116.26427,558.12722,276.27117,414.42915,989.50312,596.96110,030.78410,536.25310,954.24810,380.9098,788.9217,331.8914,043.586
Niet-vlottende activa:
Materiële vaste activa, netto 3,037.5242,475.8252,482.6782,660.6422,725.3932,924.9612,122.5731,886.3171,709.71,789.7531,937.8161,577.6241,287.9871,484.482805.307452.644384.917
Goodwill 2.40637.14974.587114.771,539.6622,534.7152,142.5352,786.5161,708.2632,242.3432,900.4413,670.8934,201.0095,939.8634,098.1914,456.683,574.586
Immateriële activa 582.726352.122388.033436.2412,132.343,101.0772,126.961,922.338684.672473.092415.813405.745231.091231.889277.993393.995646.61
Goodwill en immateriële activa 585.132389.271462.62551.0113,672.0025,635.7924,269.4954,708.8542,392.9352,715.4353,316.2544,076.6384,432.16,171.7524,376.1844,850.6754,221.196
Langetermijnbeleggingen 989.025602399122,5792,5531,719.289800.241,067.1811,479.097967.1171,047.0641,646.9552,027.3571,256.298-155.2760
Belastingvorderingen 1,099.115864.239544.072416.484379.459492.658147.739262.038374.653335.61843.287133.89722.81170.74811.77716.4530
Overige niet-vlottende activa 655.2171,496.7181,501.7811,499.2110.005-0.532261.194525.389397.646406.847437.377498.342486.549805.957783.8271,898.843333.932
Totaal niet-vlottende activa 6,366.0135,286.0535,230.1516,039.3489,355.85911,605.8798,520.298,182.8385,942.1156,726.756,701.8517,333.5657,876.40210,560.2967,233.3937,063.3394,940.045
Totaal activa 38,183.58935,926.48735,050.15234,835.97642,472.12539,164.00930,796.56125,597.26821,931.61819,323.71116,732.63517,869.81818,830.6520,941.20516,022.31414,395.238,983.631
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 352.019256.361342.066420.894652.332449.29287.085285.8663.96659.6583,297.9483,079.7883,378.7663,784.8552,173.0152,546.09483.452
Kortlopende schulden 5,806.1975,833.9975,271.2645,891.6525,459.93,348.5632,697.0712,211.6262,845.9122,367.4343,705.483,713.9813,550.9916,296.5342,734.7562,832.9681,366
Belastingschulden 1,131.94708.358725.668924.575602.232895.109580.023344.576460.631362.496192.217156.189136.015154.298107.84747.67312.928
Uitgestelde opbrengsten 461.8627,422.5737,168.0446,667.3089,661.5738,065.4580.023895.3620.087429.984271.091383.418595.324261.014151.064582.5381,938.226
Overige kortlopende verplichtingen 6,397.856,985.7637,136.2646,671.07211,049.4639,141.8546,991.966,737.7115,739.2814,193.56719.441794.161,046.893800.911642.117862.4652,045.707
Totaal kortlopende verplichtingen 14,149.86814,363.94713,802.36613,908.19317,763.92713,834.81810,356.1399,579.7799,049.796,983.1487,915.0867,744.1188,112.66511,036.5985,657.7356,289.1963,908.087
Langlopende verplichtingen:
Langetermijnschulden 8,338.13410,157.7159,873.2428,426.08113,437.58713,593.4039,410.5244,287.9111,584.7851,533.6052,174.8123,140.7833,648.4452,694.8411,809.0731,981.9852,410
Uitgestelde opbrengsten niet-vlottend 00-8.0450000018.91315.69323.215595.5019.15249.976000
Uitgestelde belastingverplichtingen niet-vlottend 008.045000008.23915.19520.47621.9743.01844.062000
Overige niet-vlottende verplichtingen 498.758372.474335.339352.952422.026427.17354.791478.32105.093121.699112.375124.91179.889444.981721.169833.4454.812
Totaal niet-vlottende verplichtingen 8,836.89210,530.18910,208.5818,779.03313,859.61314,020.5739,765.3154,766.2311,717.031,686.1922,330.8783,883.1653,780.5043,233.862,530.2422,815.432,414.812
Totaal passiva 22,986.7624,894.13624,010.94722,687.22631,623.5427,855.39120,121.45414,346.0110,766.828,669.3410,245.96411,627.28311,893.16914,270.4588,187.9779,104.6266,322.899
Eigen vermogen:
Preferente aandelen 000002.79907.999000000000
Gewone aandelen 4,514.1854,514.1854,514.1854,514.1854,514.1854,514.1854,514.1854,514.1854,514.1854,514.1853,045.6853,045.0853,045.0853,043.2853,042.3851,854.4251,774.325
Ingehouden winsten 8,693.0755,286.7473,635.6972,811.3891,340.6132,116.1321,995.1652,760.8763,066.6022,671.4091,782.3921,691.5182,086.6381,940.9763,018.092,134.562460.114
Overige gereserveerde algehele resultaten 299.048123.69275.792122.03522.298-2.799-11.319-7.9992.98916302100000
Overige totale aandeelhoudersvermogen -1,743.283-1,482.519-1,217.3481,389.412,227.9542,372.1692,367.7386,896.9342,390.12,669.951,215.0991,187.9031,370.0871,313.3061,535.398508.478426.293
Totaal eigen vermogen van aandeelhouders 11,763.0258,318.4136,932.5348,714.9848,082.7529,005.2858,877.0889,649.8129,973.8789,855.5446,043.1765,943.4816,447.7736,297.5677,601.7934,497.4652,660.732
Totaal eigen vermogen 15,196.82711,032.35111,039.20512,148.7510,848.58511,308.61810,675.10711,251.25811,164.79810,654.3716,486.6716,242.5356,937.4816,670.7477,834.3375,290.6042,660.732
Totaal passiva en aandeelhoudersvermogen 38,183.58735,926.48735,050.15234,835.97642,472.12539,164.00930,796.56125,597.26821,931.61819,323.71116,732.63517,869.81818,830.6520,941.20516,022.31414,395.238,983.631