Niitaka Co., Ltd.

TSE:4465.T

1907 (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 6,832.7636,745.3426,057.125,753.8472,294.1482,025.8141,924.0031,682.5431,747.1981,805.171,468.2761,167.479993.126986.8591,512.86683.621709.425
Kortetermijnbeleggingen 140.91-500.21-626.979-674.066-165.968-449.2260035.85420-7.893-8.927-9.976-9.8414.6739.12-197.991
Liquide middelen en kortetermijnbeleggingen 6,973.6736,745.3426,057.125,753.8472,294.1482,025.8141,924.0031,682.5431,783.0521,825.171,468.2761,167.479993.126986.8591,517.533692.741709.425
Nettovorderingen 4,489.2333,319.7732,916.7292,583.922,918.9273,072.873,290.2153,019.862,910.6583,129.6413,096.4062,917.3112,796.1122,449.8842,606.2242,705.5262,746.063
Voorraad 2,032.3012,063.4421,418.9481,509.2661,522.6321,263.6791,212.7691,117.2571,090.999985.991944.511914.512973.271915.941827.448788.903836.878
Overige vlottende activa 228.9361,539.8951,211.5241,101.521,172.02942.763713.355609.29483.179239.081250.18666.70951.67882.58122.5715.18932.024
Totaal vlottende activa 13,724.14313,668.45211,604.32110,948.5537,907.7277,305.1267,140.3426,428.956,267.8886,179.8835,759.3795,066.0114,814.1874,435.2654,973.7754,202.3594,324.39
Niet-vlottende activa:
Materiële vaste activa, netto 7,285.6058,089.2327,513.9697,624.2597,978.7467,857.0227,278.7946,878.1996,192.7045,628.6545,842.7656,225.4745,824.1426,140.1716,178.7786,335.2735,556.963
Goodwill 152.059208.845002.2774.5556.8329.1111.38713.66515.94318.2220.49822.775000
Immateriële activa 133.551175.121260.828360.8650.216402.852430.787386.236172.98163.115129.021135.661159.386199.91000
Goodwill en immateriële activa 285.61383.966260.828360.8652.493407.407437.619395.346184.367176.78144.964153.881179.884222.685166.465152.372199.073
Langetermijnbeleggingen 441.3648609321,0247081,012623.308542.047417.943353.738341.524354.989317.005331.111673.298629.319850.429
Belastingvorderingen 875.429566.628484.152510.17530.679518.42403.605416.725394.698322.07362.049368.782386.918471.537505.49396.585349.308
Overige niet-vlottende activa 129.422-0.2490.7730.459-0.095-0.255331.948339.36410.653486.484503.513406.579304.277311.793179.665266.047176.96
Totaal niet-vlottende activa 9,017.439,899.5779,191.7229,519.6889,869.8239,794.5949,075.2748,571.6777,600.3656,967.7267,194.8157,509.7057,012.2267,477.2977,703.6967,779.5967,132.733
Totaal activa 22,741.57323,568.03220,796.04420,468.24317,777.55317,099.72216,215.61715,000.62813,868.25313,147.60912,954.19412,575.71611,826.41311,912.56212,677.47111,981.95511,457.123
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 3,319.5191,171.585982.717742.827741.243915.428946.039763.689635.569638.7971,170.2851,019.2361,010.771958.916718.474636.705732.788
Kortlopende schulden 580.184681.357770.028629.327342.539314.786827.588416.304765.026372.35377.713899.8071,121.367909.8351,620.3971,335.9731,194.023
Belastingschulden 359.15265.145236.532493.28390.994132.007196.354218.586153.9138.615195.9125.4133.60429.162130.77984.775
Uitgestelde opbrengsten 359.1521,398.06549.0931,033.279683.964544.014196.354903.495153.9138.615195.9125.4133.64.1685.573360.902307.617
Overige kortlopende verplichtingen 1,454.0312,835.3722,130.3152,196.6352,321.2632,195.0412,852.8482,282.4552,426.1722,585.1112,109.5432,187.7161,941.0532,114.1821,413.5441,413.7031,390.561
Totaal kortlopende verplichtingen 5,712.8866,086.3744,432.1534,602.0684,089.0093,969.2694,822.8294,365.9433,980.6673,734.8733,853.4414,232.1594,206.7913,987.0334,437.9883,747.2833,624.989
Langlopende verplichtingen:
Langetermijnschulden 1,944.4552,791.9392,299.2963,069.3251,508.0021,846.477721.068786.31760.218691.669982.257664.895229.662649.2871,170.4961,670.4081,362.66
Uitgestelde opbrengsten niet-vlottend 0.4241,485.7011,406.4771,371.4241,338.4731,296.2641,248.1570000000000
Uitgestelde belastingverplichtingen niet-vlottend 17.31714.49319.36517.97225.07825.11230.7480000000000
Overige niet-vlottende verplichtingen 1,681.324222.263114.617114.51257.056254.937254.6171,436.4571,365.0271,206.2111,055.2861,041.4981,111.6481,119.811,120.574904.187828.262
Totaal niet-vlottende verplichtingen 3,643.524,514.3963,839.7554,573.2313,128.6093,422.792,254.592,222.7672,125.2451,897.882,037.5431,706.3931,341.311,769.0972,291.072,574.5952,190.922
Totaal passiva 9,356.40610,600.778,271.9089,175.2997,217.6187,392.0597,077.4196,588.716,105.9125,632.7535,890.9845,938.5525,548.1015,756.136,729.0586,321.8785,815.911
Eigen vermogen:
Preferente aandelen 000039.169000000300000
Gewone aandelen 585.199585.199585.199585.199585.199585.199585.199585.199585.199585.199585.199585.199585.199585.199585.199585.199585.199
Ingehouden winsten 11,762.26511,375.11211,085.29210,013.2779,469.5218,564.3957,895.0037,251.0196,602.6056,258.1015,895.3555,510.2145,207.9815,082.4524,841.6924,548.0634,513.575
Overige gereserveerde algehele resultaten 474.669361.141309.509150.084-39.16913.552113.41431.04229.86512637-300000
Overige totale aandeelhoudersvermogen 563.032544.088544.136544.384505.215544.517544.582544.658544.672545.556545.656541.751485.132488.781521.522526.815542.438
Totaal eigen vermogen van aandeelhouders 13,385.16512,865.5412,524.13611,292.94410,559.9359,707.6639,138.1988,411.9187,762.3417,514.8567,063.216,637.1646,278.3126,156.4325,948.4135,660.0775,641.212
Totaal eigen vermogen 13,385.16512,967.26212,524.13611,292.94410,559.9359,707.6639,138.1988,411.9187,762.3417,514.8567,063.216,637.1646,278.3126,156.4325,948.4135,660.0775,641.212
Totaal passiva en aandeelhoudersvermogen 22,741.57123,568.03220,796.04420,468.24317,777.55317,099.72216,215.61715,000.62813,868.25313,147.60912,954.19412,575.71611,826.41311,912.56212,677.47111,981.95511,457.123