Nippon Shokubai Co., Ltd.

TSE:4114.T

1746 (JPY) • At close September 20, 2024
Overzicht | Financiële gegevens

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

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Operationele Activiteiten:
Nettowinst 4,6311,2014,4042,7667,019-2,1028,0459,11011,1226,1619,7649,6388,112-16,5553,701-2,6602,5881,9825,0933,7144,9595,5039,4476,90710,2626,9548,6287,4069,2245,0058,4854,7926,1897,1548,9708,30210,5628,0779,3884,5517,3394,0897,2903424,2615,135-3,1962,7718,0656,0288,6208,24510,4348,2679,3225,9856,8281,9515,6223,7222,832-10,949-35
Afschrijvingen & Amortisatie 7,9098,0097,8118,1187,9157,1467,4117,3417,4147,3357,2177,2047,1197,5597,3167,3347,2617,4787,1437,0107,02211,1625,0065,3024,1564,2024,3744,2434,1785,0694,4134,1444,3314,4864,4484,4784,4635,1554,9574,5214,3384,9874,0694,0333,9064,1863,8703,7423,6044,3214,1684,1704,1084,0544,0673,7273,7714,6453,8763,8843,8294,2644,658
Uitgestelde Inkomstenbelasting 000000000000000000000000000000000000000000000000000000000000000
Aandelen Gebaseerde Vergoedingen 000000000000000000000000000000000000000000000000000000000000000
Verandering in Werkkapitaal 3,104-4955,2599,8322,1401,6364,662-9,595-3,473-10,650-3,312-6,175-4,444-7,224-1,1016,326252-6,3163,320-2,3152,834-1,3851,225-6,262-4,950-1,6531,4361,328-4,535-1,431-4204,669-4836841,029-5144,514-4,386538760-2,746-11,480352-3,533-3,9862,6085358,2683,5575,9058,802-4,331-6,516-2,678-835-3,478-4,4053,762-2,7013,6045,68011,7152,575
Vorderingen -4,7552142,332-3311,3749,0603,487-718-4,458-711-10,111-2,330-5,853-11,538-11,6875,33911,471-1,299-2,8854,3605,8803,494-165-2,108-2,874-2,746-3,679-3,730-2,2442,780-8,0233,8741,4227,958-5,9373,7681,6878,970-7,3811,617-5,727-1,968-10,307-199-3,7411,01611,41312,334000000000000000
Voorraden 2,678646-1,3225,3762264,803-3,361-4,133-6,235-1,407-2,273-7,905-4,1652,143-1,2913,381-1411,195-4,8684,049-2,439-1,157-1,8882,129-2,017-3,740-9942,111-716-2,496-1,8932,624-1,0313,1087952,315-1,0423,779-2,8292,87054-4,676-3,627-3,051-3,0393312,6202,781-2,7023,740565-4,828-3,872-1,495-1,409175-5982,241-1,2047843,40615,808-142
Crediteuren 1,648-3,2414,1984,817515-13,0734,543-4,7077,314-8,4498,9914,0635,6262,1820000000000000000000000000000000000000000000000000
Overig Werkkapitaal 3,5331,88651-3025846-7-37-94-8,5329,0724,060-279-9,3671902,945393-7,5118,188-6,3645,273-2283,113-8,391-2,9332,0872,430-783-3,8191,0651,4732,045548-2,424234-2,8295,556-8,1653,367-2,110-2,800-6,8043,979-482-9472,277-2,0855,4876,2592,1658,237497-2,644-1,183574-3,653-3,8071,521-1,4972,8202,274-4,0932,717
Overige Niet-Contante Posten 17,05221,636-4,897-1,461-2,9781,686-1,251-5,008-2,6973,811-1,270-3,986-1,46621,048-2,106-9482,486574-3,978-2,4341,413306-5,140-4,719-9021,027-5,167-2,9461242,534-4,087-5,196-5402,005-2,103-5,449235563-5,445-3,283-1,6306,0361,958-5,977645-2,402-6,037-3,736-3,6481,218-3,223-4,328-3,7642,901-3,506-2,142-1721,890253-1,6183,1154,451-1,892
Kasstroom uit Operationele Activiteiten 16,44911,95212,57719,25514,0968,36618,8671,84812,3666,65712,3996,6819,3214,8287,81010,05212,5873,71811,5785,97516,22815,58610,5381,2288,56610,5309,27110,0318,99111,1778,3918,4099,49714,32912,3446,81719,7749,4099,4386,5497,3013,63213,669-5,1354,8269,527-4,82811,04511,57817,47218,3673,7564,26212,5449,0484,0926,02212,2487,0509,59215,4569,4815,306
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -6,605-4,904-5,662-3,586-6,415-4,772-6,191-5,721-6,401-4,805-4,656-5,572-7,223-8,316-6,740-6,900-9,430-12,029-5,431-8,461-8,108-16,265-4,203-5,356-6,851-3,801-7,049-7,684-8,805-13,852-11,459-7,251-3,986-5,104-3,344-1,731-3,627-4,575-1,830-5,536-6,674-6,873-4,255-6,751-5,449-8,543-5,625-8,453-6,761-5,715-4,435-5,911-4,822-6,131-1,272-2,706-5,192-6,942-3,898-7,948-5,237-6,023-2,409
Netto Overnames 6159-196-4911,221-3,963215-321-557-385-1,074179-8970-3470-407-43-734-5851,1110-1,1110-6630-2-612-9,1884-400034100189-8-20-1,275-9000-98400000000000000000
Aankoop van Beleggingen -1-1-51-50-26-131-2010-51-510-1-54-330-101-50-51-3233,357-1,017-1,065-1,4330000-769000-2-55100-51-66200-102-502000000000000000000000000
Verkoop/verval van Beleggingen 1,4222,606120302-1,221562-20259394708595304804480-2,5858911,1421,2294,910027088537459469721,5781174500001,003500235000000020701861825260409140022280
Overige Investeringsactiviteiten 386193821905591-676-11979648-427-1,871-5744562,139-364195662,361-1,273665720-2,683-539-527171-29-255166452643480-812-209307905288-924-10948010876362-1,614-510-286-765253-370-1,614-203-157-984-95-1,040-680308-513-1,030288-367368-353201
Kasstroom uit Investeringsactiviteiten -4,793-1,946-4,968-2,920-5,850-8,980-6,403-4,727-5,866-5,905-5,401-4,964-6,888-7,127-7,154-6,655-9,687-9,303-6,873-8,453-8,177-14,038-4,742-5,856-6,680-5,174-6,767-7,061-8,496-22,327-9,948-8,062-4,178-4,057-3,101-1,443-4,362-3,791-1,849-5,428-7,873-6,276-5,869-7,261-5,735-9,308-5,372-8,823-8,375-5,711-4,592-6,709-4,735-6,645-1,952-2,394-5,705-7,058-3,610-8,315-4,867-6,148-2,208
Financieringsactiviteiten:
Schuldaflossingen -3,789-1,978-2,921-3,297-3,001-2,960-2,729-3,415-4,517-1,537-2,359-3,731-12,095-858-2,140-631-2,676-768-2,829-5,996-3,009-190-1,553-1,234-1,579-383-1,864-1,015-1,457-5,323-1,074-1,691-8,705-1,552-1,169-2,336-1,434-1,511-1,218-15,160-648-8,274-5,054-242-530-4,404-3,802-5,626-911-1,000-1,487-837-1,548-3,839-1,532-804-1,410-5,748-6,158-3,764-1,972-865-2,258
Uitgifte van Gewone Aandelen 0000-3,19008,22301,2270000000001,4110008290298000000000000086071903,8212104,29109,091012704,8820-3,1980-75206000-1,47107,108
Terugkoop van Gewone Aandelen -1-3-3,959-3-1-1,020-1,983-2-2-10-3-1-2-1-2-10-3-2-1-2-4-4-2-3-6-3-2-5,233-3-1-2-5-30-13-6-8-8-7-9-6-16-4-3-2-3-2-1-3-1-4-1-4-5-101-2-3-3-4-5-5-559
Uitgekeerde Dividenden -3,4750-3,5380-3,5340-3,5940-3,9870-3,1900-1,7940-1,7940-3,5890-3,5890-3,5890-3,1900-3,3900-2,9910-2,9910-3,0430-3,4500-2,6380-2,6380-2,2320-1,6240-1,624-1,410-1,0150-2,2330-2,2330-2,2330-2,4360-2,0300-1,2460-1,2460-1,2460-1,522
Overige Financieringsactiviteiten -7602,526384-2,8021-6,080-143,533-1-4,8237,6883,3107,785-311-3,202-6573,1144,14714,8581,510273-5-222-7-3,146-1,7214522,45438-1,271-165-1,666-1,258-867-5,229-837-331-911,730-71,197-92,8087,8393,516-112,422-11-514-10-4,590-161,449-910,441-828319-1,048-65,4521
Kasstroom uit Financieringsactiviteiten -8,437-2,503-10,034-6,102-9,725-10,060-97116-7,280-6,3612,139-424-6,105-1,171-7,137-1,290-3,1523,379-5,009-1,140-5,08981-3,923-1,460-4,680-3,532-6,582-566918128-5,391-1,8573,587-2,815-4,704-7,578-4,915-1,850-3,381-3,437-1,569-7,083-2,8821,1546,292-890-1,758-3,2065,935-1,517-3,604-5,431881-2,394-6,7749,536-3,418-5,468-6,788-4,816-4,7004,5822,770
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 01,251-9565861,382294-1,9101,0742,0641,20141916587882-114-59-140-150214-75-388-66-344340249-946216500-83,888-419-3,522-1,728-196-212462-6251,094656-217-334986235918871,462-187-593782157-1,026-416484-253-270-415-82-145-1224323-873-28
Netto Kasstroomverandering 4,8668,753-3,38210,820-97-10,38010,458-1,6911,285-4,4069,5551,458-3,585-2,588-6,5972,050-393-2,355-91-3,6932,5742,5871,527-5,746-2,546880-3,8632,904-9-7,134-7,366-5,0347,1797,2634,327-1,7439,8724,8614,863-2,531-2,476-8,7424,942-10,6516,269791-12,145-1,5779,92010,4009,146-8,8018933,2525210,818-3,182-424-3,470-3,5356,2137,0415,840
Kaspositie aan het Einde van de Periode 59,99555,12946,37649,75838,93839,03549,41538,95740,64839,36343,76934,21432,75636,34138,92945,52643,47643,86946,22446,31550,00847,43444,84743,32049,06651,61250,73254,59551,69151,70058,83466,20071,23464,05556,79252,46554,20844,33639,47534,61237,14339,61948,36143,41954,07047,80147,01059,15560,73250,81240,41231,26640,06739,17435,92235,87025,05228,23428,65832,12835,66329,45022,409