Air Water Inc.

TSE:4088.T

1935.5 (JPY) • At close April 28, 2025
Overzicht | Financiële gegevens

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

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Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 64,97565,94459,55445,98341,86132,62123,29831,21123,85224,50621,45819,87921,99718,65822,30321,04412,55316,79112,98911,022
Kortetermijnbeleggingen 06,1515,3234,5905,794-17,305-10,249-16,809-14,407-16,025-13,101-3,933-10,939-11,585-11,1523,0013644113615
Liquide middelen en kortetermijnbeleggingen 64,97572,09564,87750,57347,65532,62123,29831,21123,85224,50621,45819,87921,99718,65822,30324,04512,91717,20213,35011,027
Nettovorderingen 240,584229,276203,049188,664187,402192,595183,4350000000099,48494,74592,81586,20173,914
Voorraad 92,64392,01476,40467,67964,41560,14553,24049,22643,95739,15735,57833,09627,20025,78729,03235,49529,47223,63723,98821,826
Overige vlottende activa 51,17043,90537,88233,44139,59925,29627,44720,36626,48722,60319,75724,28310,0819,3199,80512,48810,53810,1308,93810,168
Totaal vlottende activa 449,372431,139376,889335,767333,277305,323287,420256,484242,143225,364216,617201,116174,102157,415157,042171,512147,672143,784132,477116,935
Niet-vlottende activa:
Materiële vaste activa, netto 497,708443,443442,852403,604380,284329,590274,277238,751229,764208,269207,453197,686179,944177,583164,713156,574141,451119,573116,934106,195
Goodwill 81,85965,13060,12952,99464,00524,35317,40817,32114,88013,96513,96013,63913,82512,48712,01113,21213,21512,14111,53211,439
Immateriële activa 46,24032,56828,09528,39719,35214,98114,18612,3836,9924,8964,2494,2832,7901,7741,7911,4001,6451,7423,1403,091
Goodwill en immateriële activa 128,09997,69888,22481,39183,35739,33431,59429,70421,87218,86118,20917,92216,61514,26113,80214,61214,86013,88314,67214,530
Langetermijnbeleggingen 34,507117,176112,660104,80595,45094,65489,51992,36272,04284,36874,47651,38047,32648,57247,40427,76035,97140,67528,12822,919
Belastingvorderingen 2,7052,1841,4001,2507,3286,0112,7103,0182,9643,1403,6773,8922,6262,9252,8662,6022,5442,4985,8775,946
Overige niet-vlottende activa 110,30545338,1329,3918,7927,0447,6367,65712,3299,9346,8836,93112,50310,9018,8158,2786,938
Totaal niet-vlottende activa 773,324660,505645,141591,053566,422477,721407,491372,627333,686322,274311,472283,209256,445250,224235,716214,051205,727185,444173,889156,528
Totaal activa 1,222,6961,091,6451,022,031926,821899,699783,047694,912629,113575,830547,640528,089484,327430,547407,639392,758385,563353,399329,228306,366273,463
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 140,341166,601149,098135,716137,945120,404114,42994,92590,93991,44393,91387,74577,03264,07262,41464,38666,00169,24159,38854,463
Kortlopende schulden 85,93392,82082,12461,692115,76075,62256,04255,60148,08157,01243,80656,14142,57641,26946,33452,51254,46837,20649,28432,009
Belastingschulden 11,41810,1274,16711,8618,5108,0008,0097,0407,6575,1467,7314,3897,2026,7698,3144,1955,7865,9703,5824,372
Uitgestelde opbrengsten 016,06310,28618,97515,14726,38327,87330,32628,35426,26025,86422,38222,66224,48821,19216,95218,75017,71113,66613,889
Overige kortlopende verplichtingen 79,789-6,71817,370-8,0916,13832,10744,72544,88940,29934,59530,88733,83228,02327,07323,57620,68921,80620,31422,07121,320
Totaal kortlopende verplichtingen 317,481299,697263,045239,128283,500262,516223,205202,455186,976188,196176,337182,107154,833139,183140,638141,782148,061132,731134,325112,164
Langlopende verplichtingen:
Langetermijnschulden 332,786302,138296,358276,132223,675187,540147,138116,799109,71097,849111,67385,15276,80981,04668,45282,55638,90045,45646,44058,494
Uitgestelde opbrengsten niet-vlottend 039,71444,24048,05950,85810,73710,41410,6899,9077,85810,4729,1848,2149,7059,1328,3078,24610,1049,5467,606
Uitgestelde belastingverplichtingen niet-vlottend 23,84514,60112,7468,2169,2528,07213,35012,9738,86610,0466,7465,5644,7695,5087,7446,7398,70410,5475,8912,845
Overige niet-vlottende verplichtingen 40,10028,72830,02630,95731,4585,4846,1635,4494,1943,5393,2423,1093,2233,0712,8432,9493,2511,0452,2092,480
Totaal niet-vlottende verplichtingen 396,731345,467339,130315,305264,385211,833177,065145,910132,677119,292132,133103,00993,01599,33088,171100,55167,34778,25373,63279,031
Totaal passiva 714,212645,164602,175554,433547,885474,349400,270348,365319,653307,488308,470285,116247,848238,513228,809242,333215,408210,984207,957191,195
Eigen vermogen:
Preferente aandelen 0405,967378,815349,219333,231287,23900000000000000
Gewone aandelen 55,85555,85555,85555,85555,85532,26332,26332,26332,26332,26332,26332,26332,26331,01330,01325,51325,51319,87416,66315,513
Ingehouden winsten 335,113303,680275,158244,794228,854228,015209,570192,021174,391159,868144,163129,973116,207103,88396,04886,22077,80867,11858,82952,184
Overige gereserveerde algehele resultaten 50,70524,26516,3168,578-1,2394,3953,5273,020-2,7073,100-3,879-7,52200000000
Overige totale aandeelhoudersvermogen 46,88446,43047,80048,57047,28333,18832,97129,05931,19934,62931,44031,17530,80728,71427,25127,35927,49919,40814,82211,822
Totaal eigen vermogen van aandeelhouders 488,557430,232395,131357,797331,992291,634278,331256,363235,146226,760203,986185,889170,710157,855153,312132,430127,609109,43890,89376,784
Totaal eigen vermogen 508,484446,481419,856372,388351,814308,697294,642280,748256,177240,152219,619199,211182,699169,126163,949143,230137,991118,24498,40982,268
Totaal passiva en aandeelhoudersvermogen 1,222,6961,091,6451,022,031926,821899,699765,983694,912629,113575,830547,640528,089484,327430,547407,639392,758385,563353,399329,228306,366273,463