Daito Pharmaceutical Co.,Ltd.

TSE:4577.T

2227 (JPY) • At close September 19, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 2,7273,6074,3813,372.9063,084.1071,819.4371,711.4491,617.3371,351.1351,918.7492,513.0224,149.0611,572.2181,757.7032,611.4421,162.902
Kortetermijnbeleggingen 0-205-206-294.2-249.46-240.0250000000000
Liquide middelen en kortetermijnbeleggingen 2,7273,6074,3813,372.9063,084.1071,819.4371,711.4491,617.3371,351.1351,918.7492,513.0224,149.0611,572.2181,757.7032,611.4421,162.902
Nettovorderingen 16,73310,67010,5858,382.0389,065.5469,394.7499,497.5079,901.949,274.97110,322.55110,064.7439,610.078,767.488,366.2287,149.7837,002.99
Voorraad 20,89018,23816,82015,751.65312,130.72510,059.0719,308.5978,492.9696,984.015,352.3044,436.4914,017.9873,418.6843,485.6592,909.6963,098.477
Overige vlottende activa 1,1108,1486,1234,923.3076,574.7793,087.2874,538.7734,333.4694,470.6974,123.1483,046.17755.093427.175350.483213.925167.49
Totaal vlottende activa 41,46040,66337,90932,429.90430,855.15724,360.54425,056.32624,345.71522,080.81321,716.75220,060.42618,532.21114,185.55713,960.07312,884.84611,431.859
Niet-vlottende activa:
Materiële vaste activa, netto 31,97225,83723,11621,372.03119,399.60318,732.06618,654.17717,878.38217,446.89616,440.59713,445.07412,992.03213,329.8912,722.79212,533.02512,750.054
Goodwill 0000000000000001.989
Immateriële activa 490377386332.688299.353306.503329.985321.926400.122521.893588.167558.343483.648285.615165.421155.302
Goodwill en immateriële activa 490377386332.688299.353306.503329.985321.926400.122521.893588.167558.343483.648285.615165.421157.291
Langetermijnbeleggingen 3,1883,1692,9583,0963,3933,0202,877.4932,829.0153,087.8053,358.4532,331.9692,326.1751,429.7491,628.491,736.2881,609.151
Belastingvorderingen 320504570508.017302.287329.79232.94631.01230.90632.80452.14234.35867.1977.58416.42816.857
Overige niet-vlottende activa 2780-10.7230.3320.165245.203301.835293.688234.653216.946319.146413.488397.427379.759388.176
Totaal niet-vlottende activa 36,24829,88727,02925,309.45923,394.57522,388.52622,139.80421,362.1721,259.41720,588.416,634.29816,230.05415,723.96515,111.90814,830.92114,921.529
Totaal activa 77,70870,55264,93957,739.36554,249.73446,749.07347,196.13345,707.88743,340.23142,305.15536,694.72634,762.26829,909.52229,071.98127,715.76726,353.388
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 8,6994,4354,4934,359.5854,330.424,086.2323,620.63,587.0423,644.2774,176.7743,445.3683,185.9223,457.973,530.8283,041.4723,248.117
Kortlopende schulden 2,3741,5131,2001,375.1271,782.3232,319.0964,036.3325,937.8268,566.2258,567.4929,093.9768,948.8146,184.3916,031.5396,578.5965,542.713
Belastingschulden 1955591,4021,098.4591,302.663351.942729.261,022.116366.93821.779666.022292.973609.777531.785198.99358.945
Uitgestelde opbrengsten 1955,3794,4893,724.1344,531.5932,450.607729.263,361.152,042.9212,627.5651,687.8461,426.0951,115.261,025.23691.394889.538
Overige kortlopende verplichtingen 7,2374,1013,8873,399.9464,410.012,761.9025,297.3442,348.961812.574614.056639.39763.9511,457.2511,362.071993.781,108.626
Totaal kortlopende verplichtingen 18,50515,42814,06912,858.79215,054.34611,617.83713,683.53615,234.97915,065.99715,985.88714,866.58713,624.78212,214.87211,949.66811,305.24210,788.994
Langlopende verplichtingen:
Langetermijnschulden 4,6693,4452,2472,018.8651,582.6823,098.1064,027.8873,711.9533,692.1773,492.0344,474.7515,346.2855,546.9916,016.035,946.6747,988.497
Uitgestelde opbrengsten niet-vlottend 1,676507755764.343568.226506.149514.415484.709455.403195.95227.352207.788258.358333.857391.911452.802
Uitgestelde belastingverplichtingen niet-vlottend 32313228.99527.31830.854329.846318424.096660.938376.271367.60653.33160.491138.87893.581
Overige niet-vlottende verplichtingen 557170165151.009148.803146.759144.896144.365142.251115.728125.137142.092319.301344.101289.042314.572
Totaal niet-vlottende verplichtingen 6,9344,1533,1992,963.2122,327.0293,781.8685,017.0444,659.0274,713.9274,464.655,203.5116,063.7716,177.9816,754.4796,766.5058,849.452
Totaal passiva 25,43919,58117,26815,822.00417,381.37515,399.70518,700.5819,894.00619,779.92420,450.53720,070.09819,688.55318,392.85318,704.14718,071.74719,638.446
Eigen vermogen:
Preferente aandelen 049,14146,2730000000000000
Gewone aandelen 7,1867,1867,0316,271.2345,370.1814,367.7744,367.7744,367.7744,367.7744,367.7743,120.3013,120.3012,565.1032,565.1032,565.1031,437.525
Ingehouden winsten 37,08735,00632,33828,331.60724,742.92821,301.62818,239.09615,610.11913,329.26911,138.2979,342.8377,828.016,310.0735,100.0674,288.5853,644.003
Overige gereserveerde algehele resultaten 1,7121,5311,031872.3871,153.1421,031.8951,212.2471,146.031,217.671,7108097950000
Overige totale aandeelhoudersvermogen 6,084-42,192-39,3696,143.7315,242.964,240.7444,241.1874,242.2184,242.8894,244.4443,005.4783,007.0592,641.4932,702.6642,790.3321,633.414
Totaal eigen vermogen van aandeelhouders 52,06950,67247,30441,618.95936,509.21130,942.04128,060.30425,366.14123,157.60221,460.51516,277.61614,750.3711,516.66910,367.8349,644.026,714.942
Totaal eigen vermogen 52,26550,97147,67141,917.36136,868.35931,349.36828,495.55325,813.88123,560.30721,854.61816,624.62815,073.71511,516.66910,367.8349,644.026,714.942
Totaal passiva en aandeelhoudersvermogen 77,70870,55264,93957,739.36554,249.73446,749.07347,196.13345,707.88743,340.23142,305.15536,694.72634,762.26829,909.52229,071.98127,715.76726,353.388