Kansai Paint Co., Ltd.

TSE:4613.T

2163.5 (JPY) • At close April 28, 2025
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 76,58786,97364,677114,29258,61874,61465,08853,02772,30968,86961,75953,53844,43741,49141,18332,12733,63540,50637,14829,742
Kortetermijnbeleggingen 24,2098,1693,41410,1544,7053,1488,5799,1818,536-10,666-7,824-4,574-3,929-2,901-3,009-2,8122,9998008067
Liquide middelen en kortetermijnbeleggingen 100,79695,14268,091124,44663,32377,76273,66762,20880,84568,86961,75953,53844,43741,49141,18332,12736,63441,30637,95429,749
Nettovorderingen 108,364102,259106,379101,86098,360109,410111,51899,96290,32391,36986,40180,21879,56666,37669,09160,62778,70379,80365,94760,283
Voorraad 104,323105,39589,21865,66664,32169,23966,59959,13643,17345,44543,88540,51534,16925,43423,63619,54624,57922,19419,75116,529
Overige vlottende activa 15,23717,03612,9628,49914,9349,76114,43012,64710,8919,1858,0808,7529,9567,4486,1037,8127,1516,8427,3896,674
Totaal vlottende activa 328,720319,617276,650300,471240,938266,172266,214233,953225,232214,868200,125183,023168,128140,749140,013120,112147,067150,145131,041113,235
Niet-vlottende activa:
Materiële vaste activa, netto 158,961144,578133,432127,219129,417127,443123,911110,56390,02396,93589,11879,15964,68456,63258,42760,11763,78754,83245,98345,461
Goodwill 34,05140,49827,57329,88233,55139,78247,20344,2157,65711,26412,19115,76212,1021512163040000
Immateriële activa 32,10922,70221,37321,45124,85327,54330,54124,00811,79412,91912,87814,1099,9762,4362,1621,4391,5991,6299521,175
Goodwill en immateriële activa 66,16063,20048,94651,33358,40467,32577,74468,22319,45124,18325,06929,87122,0782,5872,3781,7431,5991,6299521,175
Langetermijnbeleggingen 100,657134,411134,097121,660105,596116,315107,580101,05975,675107,68781,71966,67460,69669,37067,50055,63562,23083,32381,64155,834
Belastingvorderingen 5,7845,2024,6683,6377,4706,7646,0583,7542,0732,1862,3172,0152,0148708998996501,1501,085574
Overige niet-vlottende activa 29,4212,4502,2582,2542,29011022,25122,89817,7382,2191,7341,8771,8091,0361,1562,1597,5518,2196,1843,460
Totaal niet-vlottende activa 360,983349,841323,401306,103303,177317,957337,544306,497204,960233,210199,957179,596151,281130,495130,360120,553135,817149,153135,845106,504
Totaal activa 689,703669,464600,057606,580544,123584,135603,766540,458430,198448,085400,092362,625319,409271,244270,373240,665282,884299,298266,886219,739
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 86,70780,99972,89663,80858,69471,14073,59259,38255,00955,55053,76454,43056,06747,63550,04145,76659,89560,25448,56944,928
Kortlopende schulden 11,442119,99770,28453,43522,03031,34331,801-7,94520,6023,5777,86116,1306,2101,1641,9111,1862,0619,7322,1771,728
Belastingschulden 17,5717,7602,4517,4712,2424,2194,2114,3743,6313,5575,1044,9373,3223,0304,6051,0783,6523,9595,542989
Uitgestelde opbrengsten 022,83216,91421,82117,30421,210018,35016,05815,49415,84815,35613,93010,13111,6967,51411,39211,59512,7917,790
Overige kortlopende verplichtingen 37,12933,74410,5389,82211,8438,68826,7066,96122,76824,03722,91621,32519,53614,09213,87813,84016,41416,06512,68712,681
Totaal kortlopende verplichtingen 152,849265,332173,083156,357112,113157,810136,31099,472102,01086,72189,64596,82285,13565,92170,43561,87082,02290,01068,97560,326
Langlopende verplichtingen:
Langetermijnschulden 111,1186,2263,38169,49074,25968,594101,580106,3182,21119,45118,67515,08313,851-5,9548111,2331,4241,5797,0287,060
Uitgestelde opbrengsten niet-vlottend 68,4978,1298,8379,7158,811-26,8099,7568,6587,6548,0037,2396,2766,3266,6767,2917,6897,9368,0958,565
Uitgestelde belastingverplichtingen niet-vlottend 35,58935,39935,27129,99425,04025,18230,89627,04521,83228,56323,59518,36013,1368,8099,3995,90112,10618,38616,3976,481
Overige niet-vlottende verplichtingen 9,90136,3905,0803,0452,3013,07912,5561,7041,5852,0702,1592,3241,9502,1932,0161,8882,5192,78414,21611,341
Totaal niet-vlottende verplichtingen 156,60851,11351,861111,366111,315105,666145,032144,82334,28657,73852,43243,00641,48717,70018,90216,31323,73830,68545,73633,447
Totaal passiva 309,457316,445224,944267,723223,428263,476281,342244,295136,296144,459142,077139,828126,62283,62189,33778,183105,760120,695114,71193,773
Eigen vermogen:
Preferente aandelen 0265,762300,297281,693270,897260,18600000000000000
Gewone aandelen 25,65825,65825,65825,65825,65825,65825,65825,65825,65825,65825,65825,65825,65825,65825,65825,65825,65825,65825,65825,658
Ingehouden winsten 234,131299,019279,551260,799248,511237,721230,255218,880200,096176,296160,891142,807128,100116,913108,00498,57291,45180,79570,66461,017
Overige gereserveerde algehele resultaten 32,34027,14719,7215,105-2,0219,82932,44719,47515,66441,17317,1167,09200000000
Overige totale aandeelhoudersvermogen 17,828-58,915-4,910-4,764-5,2936,636-12,032-10,66713,81922,12022,21022,30321,44321,45221,45021,48321,54026,36544,45230,082
Totaal eigen vermogen van aandeelhouders 309,957292,909320,018286,798268,876270,015276,328253,346255,237265,247225,874197,860171,260167,195161,231145,730156,833164,132140,774116,757
Totaal eigen vermogen 380,248353,019375,113338,857320,695320,659322,424296,163293,902303,626258,015222,797192,787187,623181,036162,482177,124178,603152,175125,966
Totaal passiva en aandeelhoudersvermogen 689,703669,464600,057606,580544,123584,135603,766540,458430,198448,085400,092362,625319,409271,244270,373240,665282,884299,298266,886219,739