Zeria Pharmaceutical Co., Ltd.

TSE:4559.T

2375 (JPY) • At close November 5, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 18,604.14516,219.07811,704.2829,793.9389,005.2528,045.04910,166.8989,250.7712,343.10518,012.49422,202.3057,367.1295,713.3994,949.8373,574.4492,812.7692,477.1312,152.4042,147.165
Kortetermijnbeleggingen 1,719.579-13,322.696-11,159.4133.032-10,108.534-13,414.9427.03100-7,113.185-5,400.09-2,023.268000006.998-3,525.195-4,187.249
Liquide middelen en kortetermijnbeleggingen 20,323.72416,219.07811,704.2829,796.979,005.2528,045.04910,173.9289,350.7712,343.10518,012.49422,202.3057,367.1295,713.3994,949.8373,574.4492,812.7692,484.1292,152.4042,147.165
Nettovorderingen 21,080.0617,512.92416,206.81213,635.62713,369.32314,952.25916,363.74917,339.4215,508.71417,185.22916,853.76814,423.06213,468.77213,044.213,834.36712,976.6512,804.93914,786.41116,073.228
Voorraad 14,489.75812,764.18911,950.54311,104.0059,563.3710,023.729,375.6758,608.5368,013.3088,189.0217,733.8766,542.0586,068.2515,234.0446,209.2985,749.8575,211.1594,827.5833,821.431
Overige vlottende activa 1,915.4871,707.5661,802.082,776.4473,082.0595,702.2643,342.3683,466.2693,830.3572,293.9653,112.3081,904.6261,972.881,939.332,543.8643,288.9762,508.7432,512.1021,969.76
Totaal vlottende activa 57,809.02948,203.75741,663.71737,313.04935,020.00438,723.29239,255.7238,764.99539,695.48445,680.70949,902.25730,236.87527,223.30225,167.41126,161.97824,828.25223,008.9724,278.524,011.584
Niet-vlottende activa:
Materiële vaste activa, netto 26,517.83624,591.37523,139.34323,634.28223,125.43622,913.69323,340.76324,154.32823,274.09822,021.34621,952.85821,220.55521,048.49521,537.77220,700.78719,891.51819,616.76919,981.39117,412.456
Goodwill 4,262.8185,299.7985,830.4596,429.1537,081.0587,858.8728,717.0149,240.15510,137.64211,531.2912,240.87811,509.13111,846.29212,688.86910,211.1360000
Immateriële activa 38,876.88836,630.87135,375.5735,640.65822,767.3621,940.42523,620.61924,644.83725,645.912813.4171,010.1021,112.8151,261.6021,241.0441,415.8691,664.6931,660.0471,379.3631,149.739
Goodwill en immateriële activa 43,139.70641,930.66941,206.02942,069.81129,848.41829,799.29732,337.63333,884.99235,783.55412,344.70713,250.9812,621.94613,107.89413,929.91311,627.0051,664.6931,660.0471,379.3631,149.739
Langetermijnbeleggingen 9,145.15420,17218,16518,77516,07718,9536,928.7889,106.41519,585.07415,131.33512,567.80810,571.8279,767.1218,499.487,161.7415,660.3926,420.44710,972.84212,335.833
Belastingvorderingen 110.26136.295108.18767.60385.20844.8425.93831.20113.26785.314738.254974.1691,401.0671,391.2811,231.6151,049.5181,001.367197.72719.3
Overige niet-vlottende activa 13,811.6080.4370.054-0.411-0.205-0.26614,197.5088,415.734826.591,004.8651,081.7062,621.4752,653.2863,253.2334,088.255,015.7744,717.1641,709.21,610.537
Totaal niet-vlottende activa 92,724.56486,830.77682,618.61384,546.28569,135.85771,710.56476,830.6375,592.6779,482.58350,587.56749,591.60648,009.97247,977.86348,611.67944,809.39833,281.89533,415.79434,240.52332,527.865
Totaal activa 150,533.593135,034.536124,282.333121,859.337104,155.863110,433.858116,086.354114,357.667119,178.06796,268.27699,493.86378,246.84775,201.16573,779.0970,971.37658,110.14756,424.76458,519.02356,539.449
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 3,273.951,996.1222,049.591,693.9381,587.8331,763.2312,072.6732,272.6972,041.0722,383.5883,718.2083,308.1993,344.1453,364.7055,129.934,966.4515,142.5325,909.5436,490.379
Kortlopende schulden 38,631.99834,890.4733,842.93344,158.85829,705.19527,988.80424,926.39533,061.72839,037.95111,572.98612,593.80415,250.50815,038.16421,143.99425,906.02813,080.087,507.6868,039.0688,253.868
Belastingschulden 1,967.21749.106458.297562.594249.172693.19693.948403.135479.891,147.4991,899.4521,455.4151,519.041823.403750.104264.95762.2491,071.22378.628
Uitgestelde opbrengsten 34.9162,303.7681,989.2321,956.6288,182.5672,002.755693.9481,955.1951,936.432,512.5994,204.583,015.2853,229.1542,383.2432,150.0191,513.6982,099.5172,464.0981,806.758
Overige kortlopende verplichtingen 12,577.6077,967.9586,311.3085,947.6131,594.6537,083.7568,466.6217,888.4055,230.1485,441.8335,436.4633,253.753,214.6263,097.9742,706.5552,276.2443,228.8732,503.2363,310.252
Totaal kortlopende verplichtingen 54,518.47147,158.31844,193.06353,757.03741,070.24838,838.54636,159.63745,178.02548,245.60121,911.00625,953.05524,827.74224,826.08929,989.91635,892.53221,836.47317,978.60818,915.94519,861.257
Langlopende verplichtingen:
Langetermijnschulden 7,943.814,541.4818,385.865,819.65,470.7057,795.9658,676.1752,884.154,653.9510,63613,867.48615,665.89819,123.24714,581.8086,168.4597,949.3958,449.0888,739.4425,588.51
Uitgestelde opbrengsten niet-vlottend 1,010.111,187.7961,619.7881,645.6291,179.051703.554805.514811.996718.776445.604227.845225.782218.652249.206173.305168.437000
Uitgestelde belastingverplichtingen niet-vlottend 6,447.4125,190.7433,905.0883,356.3612,554.5023,541.8554,509.0411,784.1581,297.153515.648520.699361.454286.975208.65140.8764.737000
Overige niet-vlottende verplichtingen 785.0061,275.4891,086.061,100.7471,202.511206.11239.829194.693195.147189.401189.981255.497251.447325.877600.986379.1121,034.8581,266.511,736.217
Totaal niet-vlottende verplichtingen 16,186.32822,195.50824,996.79611,922.33710,406.76912,247.48414,230.5595,674.9976,865.02611,786.65314,806.01116,508.63119,880.32115,365.5417,083.628,561.6819,483.94610,005.9527,324.727
Totaal passiva 70,704.79969,353.82669,189.85965,679.37451,477.01751,086.0350,390.19650,853.02255,110.62733,697.65940,759.06641,336.37344,706.4145,355.45742,976.15230,398.15427,462.55428,921.89727,185.984
Eigen vermogen:
Preferente aandelen 0000000000000000000
Gewone aandelen 6,593.3986,593.3986,593.3986,593.3986,593.3986,593.3986,593.3986,593.3986,593.3986,593.3986,593.3986,593.3986,593.3986,593.3986,593.3986,593.3986,593.3986,593.3986,593.398
Ingehouden winsten 59,254.32553,462.58948,860.69746,380.93944,832.50243,822.1942,096.19539,654.88737,810.21536,392.07334,717.90630,598.26227,649.62125,656.97624,517.46524,177.6823,641.10422,673.46621,283.398
Overige gereserveerde algehele resultaten 20,355.52611,973.7965,348.4996,350.8023,246.0457,650.87110,758.5825,423.6475,092.0396,8714,7101,4400000000
Overige totale aandeelhoudersvermogen -6,580.686-6,579.868-5,907.953-3,312.581-2,161.4841,119.1276,084.2611,679.83914,239.30812,714.14612,713.493-1,905.288-3,893.198-3,928.906-3,115.639-3,059.085-1,272.292330.2621,476.669
Totaal eigen vermogen van aandeelhouders 79,622.56365,449.91554,894.64156,012.55852,510.46159,185.58665,532.43563,351.77163,734.9662,570.61758,734.79736,726.37230,349.82128,321.46827,995.22427,711.99328,962.2129,597.12629,353.465
Totaal eigen vermogen 79,828.79265,680.70855,092.47356,179.9652,678.84559,347.82665,696.15863,504.64564,067.43862,570.61758,734.79736,910.47430,494.75528,423.63327,995.22427,711.99328,962.2129,597.12629,353.465
Totaal passiva en aandeelhoudersvermogen 150,533.591134,803.741124,084.5121,691.932103,987.478110,271.616116,086.354114,357.667119,178.06596,268.27699,493.86378,246.84775,201.16573,779.0970,971.37658,110.14756,424.76458,519.02356,539.449