Osaka Organic Chemical Industry Ltd.

TSE:4187.T

2918 (JPY) • At close November 8, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 7,890.8098,094.5419,923.737,521.767,642.626,477.1166,480.7624,525.082,993.0562,880.2544,377.2793,416.3025,044.5854,377.0942,459.7171,984.408
Kortetermijnbeleggingen 030-146.509200.25-134.282299.831,300301.13355.324400.548-607.999799.279574.186790.411699.7510
Liquide middelen en kortetermijnbeleggingen 7,890.8098,094.5419,923.737,722.017,642.626,776.9466,480.7624,826.213,348.383,280.8024,377.2794,215.5815,618.7715,167.5053,159.4681,984.408
Nettovorderingen 8,957.1139,824.0999,054.3417,699.6618,287.4097,943.8637,688.0986,671.3496,872.7788,555.9587,232.8286,343.435,998.6426,276.9366,191.5965,914.555
Voorraad 8,713.5199,048.4998,631.1377,179.3876,439.3545,800.8185,141.8284,767.5994,562.8044,722.313,937.8523,315.4563,300.0863,221.342,947.8974,279.951
Overige vlottende activa 1,540.5441,115.128479.492533.347591.291473.635701.406465.024109.579100.9784.299239.89572.07467.98643.42429.608
Totaal vlottende activa 27,101.98528,082.26728,088.723,134.40522,960.67420,995.26220,012.09416,730.18214,893.54116,660.0415,632.25814,114.36214,989.57314,733.76712,342.38512,208.522
Niet-vlottende activa:
Materiële vaste activa, netto 20,443.46418,470.8315,609.68816,299.32114,900.72712,934.3711,32312,156.1511,313.77510,896.6989,988.82410,536.72710,029.4539,766.14510,533.66811,497.585
Goodwill 43.33363.33383.3330066.333225.533384.733543.933703.133000000
Immateriële activa 59.3853.35958.26370.72878.91427.44225.92924.93792.019157.783213.819275.375145.41814.8872.343.064
Goodwill en immateriële activa 102.713116.692141.59670.72878.91493.775251.462409.67635.952860.916213.819275.375145.41814.8872.343.064
Langetermijnbeleggingen 6,500.845,619.7075,789.3825,257.8345,619.3585,850.5817,381.7695,768.3015,854.1485,066.5325,4802,527.1652,556.0982,572.8412,413.6972,447.228
Belastingvorderingen 0.2090.4236.05234.18422.382472.805213.601444.166355.324400.548-5,480799.279125.404118.63360.576112.454
Overige niet-vlottende activa 487.754546.817202.932527.916266.057129.477297.496332.518374.508550.9845,480.805597.6961,630.2841,706.2391,034.893304.757
Totaal niet-vlottende activa 27,534.9824,754.46621,779.6522,189.98320,887.43819,481.00819,467.32819,110.80518,533.70717,775.67815,683.44814,736.24214,486.65714,178.74514,045.17414,365.088
Totaal activa 54,636.96552,836.73549,868.35545,324.3943,848.11640,476.27239,479.42335,840.98733,427.24834,435.71831,315.70628,850.60429,476.2328,912.51226,387.55926,573.61
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 3,802.7324,522.0594,192.7563,201.1214,166.7223,812.3991,193.43961.081,035.4926,518.2765,122.3054,006.544,107.614,265.5413,703.8565,087.333
Kortlopende schulden 1,764.7991,820.832759.92968.666811.597535.159545.948631.08373.544312.925390.488881,008.9831,064.004626.504512.554
Belastingschulden 234.6791,036.4371,615.908715.869647.233690.556611.817600.494271.687353.143282.39167.89184.422617.3963.795129.118
Uitgestelde opbrengsten 14.133.2253,088.2432,736.4293,384.198690.5564,419.173,778.1063,238.178396.683316.311100.06222.982685.48781.757189.218
Overige kortlopende verplichtingen 1,516.3892,823.553646.919647.448420.0122,710.767576.486398.116704.512455.007570.076422.818430.289432.36254.948341.623
Totaal kortlopende verplichtingen 7,098.059,169.6698,687.8387,553.6648,782.5297,748.8816,735.0345,768.3825,351.7267,682.8916,399.1725,417.4185,769.8646,447.3924,667.0656,130.728
Langlopende verplichtingen:
Langetermijnschulden 3,169.8491,761.3271,494.4632,029.3771,817.156823.7481,358.9071,621.518507.616777.824235.02565.51,4311,891.652,120.654836.658
Uitgestelde opbrengsten niet-vlottend 7.30900000478.122533.912707.339858.821790.163764.569788.317860.317893.6250
Uitgestelde belastingverplichtingen niet-vlottend 628.65410.366458.403555.388456.517928.2991,101.955784.445873.013527.517391.98135.5456.8458.8578.6990
Overige niet-vlottende verplichtingen 103.883100.999102.594160.69244.991312.989107.374160.035136.554447.095250.506304.491234.38418.1395.436610.597
Totaal niet-vlottende verplichtingen 3,909.6912,272.6922,055.462,745.4552,518.6642,065.0363,046.3583,099.912,224.5222,611.2571,667.671,670.1052,460.5462,778.9633,028.4141,447.255
Totaal passiva 11,007.74111,442.36110,743.29810,299.11911,301.1939,813.9179,781.3928,868.2927,576.24810,294.1488,066.8427,087.5238,230.419,226.3557,695.4797,577.983
Eigen vermogen:
Preferente aandelen 0000000000000000
Gewone aandelen 3,600.2953,600.2953,600.2953,600.2953,600.2953,600.2953,600.2953,600.2953,600.2953,600.2953,600.2953,600.2953,600.2953,318.3443,318.3443,318.344
Ingehouden winsten 35,954.91333,861.60730,004.24426,068.68823,752.01521,538.29619,573.53118,016.48716,553.23715,407.29914,744.72414,027.02613,648.20913,100.5912,037.87112,688.781
Overige gereserveerde algehele resultaten 2,627.511,974.1551,961.6331,915.3331,814.2282,202.3532,795.7231,655.5941,9471,2361,01300000
Overige totale aandeelhoudersvermogen 801.3171,390.2413,079.5243,073.6963,067.1833,059.6223,502.4573,471.2553,524.7453,677.1333,676.7693,930.563,811.4723,109.1753,184.442,796.154
Totaal eigen vermogen van aandeelhouders 42,984.03540,826.29838,645.69634,658.01232,233.72130,400.56629,472.00626,743.63125,625.27723,920.72723,034.78821,557.88121,059.97619,528.10918,540.65518,803.279
Totaal eigen vermogen 43,629.22141,394.37439,125.05735,025.27132,546.92330,662.35529,698.03126,972.69525,85124,141.5723,248.86421,763.08121,245.8219,686.15718,692.0818,995.627
Totaal passiva en aandeelhoudersvermogen 54,636.96252,836.73549,868.35545,324.3943,848.11640,476.27239,479.42335,840.98733,427.24834,435.71831,315.70628,850.60429,476.2328,912.51226,387.55926,573.61