TAC Co.,Ltd.

TSE:4319.T

201 (JPY) • At close November 5, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 5,745.7286,103.8575,716.5725,149.3314,287.3225,195.5164,973.4286,542.7166,989.5976,455.6886,163.9363,889.1671,726.0063,046.8351,388.8431,359.4941,859.653
Kortetermijnbeleggingen 0200200200.011200.085100.099700.165.75185.83487.773166.11380.968189.87170.412163.36120.938360.436
Liquide middelen en kortetermijnbeleggingen 5,745.7286,303.8575,916.5725,349.3424,487.4075,295.6155,673.5286,608.4667,175.4316,543.4616,330.0493,970.1351,915.8763,217.2471,552.2041,380.4322,220.089
Nettovorderingen 4,256.7453,835.4093,581.9973,792.0773,860.0033,871.2134,140.523,805.0883,385.1793,178.6353,365.8913,129.9693,071.092,716.0092,980.3072,424.6762,214.945
Voorraad 936.7878.925796.533894.275865.634784.675693.032630.816586.141596.023629.2171,012.829991.064935.958898.939641.417536.434
Overige vlottende activa 683.555586.051,384.282466.273503.925950.082954.7441,065.33810.802938.215769.695807.9033,451.3264,913.2995,149.7394,548.354418.987
Totaal vlottende activa 11,622.72811,604.24111,679.38410,501.9679,716.96910,901.58511,461.82412,109.711,957.55311,256.33411,094.8528,920.8369,429.35611,782.51310,581.1898,994.8795,390.455
Niet-vlottende activa:
Materiële vaste activa, netto 4,855.8644,973.0225,113.9374,760.1274,746.8374,508.2494,604.0634,615.2854,680.3484,800.5141,437.4331,643.2751,693.2081,989.5911,509.468646.439612.793
Goodwill 000000000139.0950054.83186.424318.01800
Immateriële activa 303.489231.137202.075233.301300.168331.329351.879266.484259.613255.901264.855230.997181.601207.412243.903276.755247.358
Goodwill en immateriële activa 303.489231.137202.075233.301300.168331.329351.879266.484259.613394.996264.855230.997236.431393.836561.921276.755247.358
Langetermijnbeleggingen 1,175.6983,5624,0174,5525,0345,3341,502.9681,014.551499.031390.6831,173.4311,533.75950.693760.131984.9051,626.0171,295.623
Belastingvorderingen 896.022424.711372.776370.032455.211410.6617.87965.75185.83487.773166.11380.968282.903437.414236.051236.804202.752
Overige niet-vlottende activa 2,212.8140.107-0.7240.4110.0120.3313,689.7533,997.6714,050.0964,374.6454,494.6424,398.8136,469.0296,291.3616,569.5725,310.9065,631.82
Totaal niet-vlottende activa 9,443.8879,190.9779,705.0649,915.87110,536.22810,584.5710,156.5429,959.7419,674.92210,048.6117,536.4747,887.8039,632.2649,872.3339,861.9178,096.9217,990.346
Totaal activa 21,066.61520,795.21921,384.45120,417.84220,253.19921,486.15821,618.36622,069.44221,632.47521,304.94518,631.32616,808.63919,061.6221,654.84620,443.10617,091.813,380.801
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 580.431495.021515.084633.888495.222524.932473.104450.866452.763476.934492.511488.497431.366503.046584.575444.546439.192
Kortlopende schulden 3,948.5892,228.6452,094.7921,910.5581,931.362,622.2942,263.6962,612.2522,204.682,626.5462,072.5562,583.1864,423.5563,863.5563,6251,5509.6
Belastingschulden 37.4440.962256.286133.34518.78351.079162.25242.19260.15732.518437.289167.0323.03130.38935.276290.309284.841
Uitgestelde opbrengsten 37.446,128.1836,798.4447,461.387,279.4617,115.9127,383.0767,301.657,030.0216,653.3677,548.5867,371.9777,968.9598,763.5589,869.5568,524.0277,986.563
Overige kortlopende verplichtingen 7,886.6571,894.422,053.9951,293.1311,019.4651,238.1461,163.7351,020.5721,295.8891,198.4531,212.5561,216.3651,592.7491,691.0691,531.4091,070.8986.267
Totaal kortlopende verplichtingen 12,453.11710,746.26911,462.31511,298.95710,725.50811,501.28411,283.61111,385.3410,983.35310,955.311,326.20911,660.02514,416.6314,821.22915,610.5411,589.3739,421.622
Langlopende verplichtingen:
Langetermijnschulden 1,732.2583,069.9263,001.0712,535.5053,256.0633,755.0234,202.6564,916.3845,276.595,193.12,328.146989.7021,772.8882,824.8149001,3000
Uitgestelde opbrengsten niet-vlottend 71.328-285.556-251.846-99.99-88.317-32.225-34.915663.203663.484588.992630.18631.94100000
Uitgestelde belastingverplichtingen niet-vlottend 275.743285.556251.84699.9988.31732.22534.91520.78633.18330.19339.98674.49300000
Overige niet-vlottende verplichtingen 662.125775.702746.395767.74793.498731.119840.117124.429135.325149.861138.927125.008672.376786.094127.693140.22139.917
Totaal niet-vlottende verplichtingen 2,741.4543,845.6283,747.4663,303.2454,049.5614,486.1425,042.7735,724.8026,108.5825,962.1463,137.2391,821.1442,445.2643,610.9081,027.6931,440.22139.917
Totaal passiva 15,194.57114,591.89715,209.78114,602.20214,775.06915,987.42616,326.38417,110.14217,091.93516,917.44614,463.44813,481.16916,861.89418,432.13716,638.23313,029.5939,561.539
Eigen vermogen:
Preferente aandelen 0000.123.98110.24100000000000
Gewone aandelen 940.2940.2940.2940.2940.2940.2940.2940.2940.2940.2940.2940.2940.2940.2940.2940.2940.2
Ingehouden winsten 4,186.5634,515.1324,411.4154,077.4513,764.2843,771.9893,591.7993,223.0532,788.4522,611.9882,422.4551,608.956631.0151,612.4952,193.9042,454.6822,097.477
Overige gereserveerde algehele resultaten 20.11623.43123.823-0.1-23.981-10.241-35.960.87517.5024217200000
Overige totale aandeelhoudersvermogen 715.392715.392790.522790.422766.541780.281790.522790.522790.523790.299789.662690.091620.079662.013666.132661.502771.267
Totaal eigen vermogen van aandeelhouders 5,862.2716,194.1556,165.965,808.0735,471.0255,492.475,286.5614,954.654,536.6774,384.4874,153.3173,311.2472,191.2943,214.7083,800.2364,056.3843,808.944
Totaal eigen vermogen 5,872.0426,203.3226,174.675,815.645,478.135,498.7325,291.9824,959.34,540.544,387.4994,167.8783,327.472,199.7263,222.7093,804.8734,062.2073,819.262
Totaal passiva en aandeelhoudersvermogen 21,066.61320,795.21921,384.45120,417.84220,253.19921,486.15821,618.36622,069.44221,632.47521,304.94518,631.32616,808.63919,061.6221,654.84620,443.10617,091.813,380.801