Quick Co.,Ltd.

TSE:4318.T

2032 (JPY) • At close November 12, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 13,056.40212,275.62210,509.9848,151.7797,469.1666,364.5215,044.8834,669.4283,430.7873,151.3762,431.4281,856.5091,820.3511,334.71,183.7091,120.8611,126.069
Kortetermijnbeleggingen 59.055-766.707-815.552-743.709-704.483-707.864-510.4913000-300.83640.63340.60341.97440.53240.47340.309
Liquide middelen en kortetermijnbeleggingen 13,056.40212,275.62210,509.9848,151.7797,469.1666,364.5215,044.8834,669.4283,430.7873,151.3762,431.4281,897.1421,860.9541,376.6741,224.2411,161.3341,166.378
Nettovorderingen 2,978.6852,7672,3471,9872,1372,0591,996.4721,784.6051,625.0891,5141,11494400000
Voorraad 03.6782.8012.4922.7322.682174.346201.772139.289161.943150.501140.85800000
Overige vlottende activa 381.169543.335346.398322.539421.373619.225378.676332.559293.307310.568167.732108.49173.96472.37896.604126.595109.526
Totaal vlottende activa 16,416.25615,589.63513,206.18310,463.8110,030.2719,045.4287,594.3776,988.3645,488.4725,137.8873,863.6613,090.4912,945.4332,274.4262,039.6672,023.6392,582.844
Niet-vlottende activa:
Materiële vaste activa, netto 1,460.8141,982.0931,885.6441,907.3551,924.3991,887.629984.264743.974728.566662.479700.014724.049737.729726.434673.05699.395781.263
Goodwill 2.3364.2056.07469.51774.846118.858143.70800000.90900000.71
Immateriële activa 1,091.004897.06910.987767.563453.367242.531198.653219.569185.789138.115119.11610200032.44892.458
Goodwill en immateriële activa 1,093.34901.265917.061837.08528.213361.389342.361219.569185.789138.115119.116102.90987.00984.9854.06132.44893.168
Langetermijnbeleggingen 2,131.9191,9792,5422,4761,6311,8621,611.25882.788528.812536.075529169.402121.76791.34744.17631.40543.022
Belastingvorderingen 77.19446.062163.461104.651100.38862.9543.8053.4790.921.674-52943.9010.4350.5062.04418.34585.893
Overige niet-vlottende activa 862.984-718.887-711.603-685.691-655.764-627.10251.145462.5398.812309.462529.278267.509314.459367.088311.377397.269403.704
Totaal niet-vlottende activa 5,626.2474,589.5334,796.5634,639.3953,528.2363,546.872,992.8252,312.311,842.8991,647.8051,348.4081,307.771,261.3991,270.3551,084.7081,178.8621,407.05
Totaal activa 22,042.50320,179.16918,002.74915,103.20913,558.50912,592.29910,587.2019,300.6757,331.3716,785.6925,212.0694,398.2614,206.8323,544.7813,124.3753,202.5013,989.894
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 789.99672.74520.197492.089492.927545.634655.4731,366.7741,132.3171,052.732729.516611.094591.155502.695436.022539.69966.286
Kortlopende schulden 122.594121.993143.648302.509195.327193.393196.952203.797205.628218.734276.915322.839398.025383.584491.992221.392115.095
Belastingschulden 530.1451,501.6091,528.163615.428901.735939.55577.869749.213444.008662.618358.002250.212314.53553.90832.61834.886.875
Uitgestelde opbrengsten 227.7445,180.1994,585.2752,898.9932,936.1953,131.3652,286.1811,601.4531,011.7131,286.152926.137732.797817.521454.464204.009254.452347.718
Overige kortlopende verplichtingen 3,492.423-1,805.275-1,565.669-721.622-1,042.908-1,285.201-1,051.941-1,986.74-1,454.834-1,633.581-1,029.773-813.997-868.111-522.118-411.135-519.372-994.396
Totaal kortlopende verplichtingen 5,162.8966,344.0065,731.8114,079.4863,976.2034,070.3753,320.0073,301.2712,471.1492,639.3871,990.3131,714.0391,844.281,375.2281,189.5281,070.6521,487.864
Langlopende verplichtingen:
Langetermijnschulden 0.7411.8333.3045.954.8037.6295.91510.95924.85434.08132.50462.619111.947192.706201.02282.6780
Uitgestelde opbrengsten niet-vlottend 0107.898105.27598.85698.01186.8355.3137.96534.82130.39429.09124.80721.49519.133000
Uitgestelde belastingverplichtingen niet-vlottend 192.9480.65961.565213.627.5365.288226.908153.56889.829102.04115.0557.62711.0138.951000
Overige niet-vlottende verplichtingen 265.4740.0032.41210.5937.9623.3711.9730.7481.8652.4612.6591.5790.7511.90712.59236.2145.205
Totaal niet-vlottende verplichtingen 459.163110.393172.556329.019118.306163.118290.106203.24151.369168.97779.30996.632145.206222.697213.612318.88845.205
Totaal passiva 5,622.0596,454.3995,904.3674,408.5054,094.5094,233.4933,610.1133,504.5112,622.5182,808.3642,069.6221,810.6711,989.4861,597.9251,403.141,389.541,533.069
Eigen vermogen:
Preferente aandelen 00000000000000000
Gewone aandelen 351.317351.317351.317351.317351.317351.317351.317351.317351.317351.317351.317351.317351.317351.317351.317351.317351.317
Ingehouden winsten 14,512.61412,503.27110,261.0288,886.5718,194.7566,968.7625,723.3824,728.5813,825.9543,068.7562,456.0461,959.3631,635.3321,371.0831,140.7571,221.7041,824.264
Overige gereserveerde algehele resultaten 0779.5321,109.8671,079.188538.441660.899601.413427.285242.55825432000000
Overige totale aandeelhoudersvermogen 1,552.93289.421375.221375.387375.387376.427288.775288.981289.024291.856291.908266.945222.161216.311220.453231.098271.384
Totaal eigen vermogen van aandeelhouders 16,416.86313,723.54112,097.43310,692.4639,459.9018,357.4056,964.8875,796.1644,708.8533,965.9293,131.2712,577.6252,208.811,938.7111,712.5271,804.1192,446.965
Totaal eigen vermogen 16,420.44113,724.7712,098.38210,694.7049,4648,358.8066,977.0885,796.1644,708.8533,977.3283,142.4472,587.592,217.3461,946.8561,721.2351,812.9612,456.825
Totaal passiva en aandeelhoudersvermogen 22,042.520,179.16918,002.74915,103.20913,558.50912,592.29910,587.2019,300.6757,331.3716,785.6925,212.0694,398.2614,206.8323,544.7813,124.3753,202.5013,989.894