SHUEI YOBIKO Co., Ltd.

TSE:4678.T

262 (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 1,108.5071,961.661,861.5061,553.331,207.601644.1811,556.5791,207.4321,140.5693,087.2521,473.731,906.4941,327.2291,336.99997.184903.97871.056
Kortetermijnbeleggingen 41.10233.90226.701199.516192.3170.67283.456156.243000000000
Liquide middelen en kortetermijnbeleggingen 1,149.6091,961.661,861.5061,553.331,207.601644.1811,556.5791,207.4321,140.5693,087.2521,473.731,906.4941,327.2291,336.99997.184903.97871.056
Nettovorderingen 149.571126.136139.792150.479154.933191.5269.205273.537225.654270.343315.684382.809374.404380.006464.112490.119726.484
Voorraad 83.88294.159109.177124.621108.984121.535136.266100.13379.843109.297107.144106.005119.774145.576206.572215.269141.073
Overige vlottende activa 395.871336.625368.873619.354428.586435.419466.197536.368548.032491.581731.668723.591737.707731.442724.896721.701645.079
Totaal vlottende activa 1,778.9332,518.582,479.3482,447.7841,900.1041,392.6352,428.2472,117.471,994.0983,958.4732,628.2263,118.8992,559.1142,594.0142,392.7642,331.0592,383.692
Niet-vlottende activa:
Materiële vaste activa, netto 5,142.0367,320.4235,879.5996,229.3526,481.27,339.9097,696.4668,164.5978,509.3379,557.83810,926.42711,721.63813,803.21214,305.09514,381.03813,948.43112,755.834
Goodwill 00000000000019.25252.25685.26118.264151.268
Immateriële activa 21.87434.886109.719190.751262.259329.745349.027272.24947.42357.74281.139103.285120.845173.153213.441224.511213.648
Goodwill en immateriële activa 21.87434.886109.719190.751262.259329.745349.027272.24947.42357.74281.139103.285140.097225.409298.701342.775364.916
Langetermijnbeleggingen 1,9472,0342,2232,2022,5882,8083,0213,113.0533,382.7423,9386,2006,80403.6963.853.927514.38
Belastingvorderingen -1,946.122-1,826.334-106.432-133.166-154.316-168.585-3,021-3,113.053-3,382.742-3,938-6,200657.443481.54476.772237.744182.444145.445
Overige niet-vlottende activa 1,952.58687.559115.503145.803170.736188.8823,041.2463,363.143,656.7353,938.8746,200.169-0.2127,227.427,568.0168,009.568,298.3917,534.015
Totaal niet-vlottende activa 7,117.3747,650.5348,221.3898,634.749,347.87910,497.95111,086.73911,799.98612,213.49513,554.45417,207.73519,286.15421,652.26922,578.98822,930.89322,775.96821,314.59
Totaal activa 8,896.30710,169.11710,700.7411,082.52511,247.98611,890.58813,514.98613,917.45614,207.59317,512.92719,835.96122,405.05324,211.38325,173.00225,323.65725,107.02723,698.282
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 72.954-570.836-602.2750000520.734542.458611.843464.805540.883531.206455.337636.708543.037612.619
Kortlopende schulden 501.726631.7211,047.8931,777.8391,334.9221,767.4541,621.0543,025.9043,294.7573,261.3263,358.7043,953.7514,662.764,619.6525,294.3515,178.685,209.968
Belastingschulden 72.954253.807213.729162.801382.587144.821192.33232.448154.123272.42499.612106.194240.911325.672482.289109.442.895
Uitgestelde opbrengsten 11.666570.836602.2750000942.438870.9312,675.905901.478852.9731,186.331,473.6381,642.8981,353.7111,345.671
Overige kortlopende verplichtingen 1,302.0281,893.1211,884.2091,739.7141,780.6151,713.8862,205.615406.907387.032484.934433.574418.934401.811393.222228.481206.041202.987
Totaal kortlopende verplichtingen 1,888.3742,524.8422,932.1023,517.5533,115.5373,481.343,826.6694,895.9835,095.1787,034.0085,158.5615,766.5416,782.1076,941.8497,802.4387,281.4697,371.245
Langlopende verplichtingen:
Langetermijnschulden 329.414572.734789.631757.5981,180.871,847.2762,453.4961,562.051,717.1481,813.3132,033.742,552.5881,905.0632,802.882,469.4573,035.5071,294.631
Uitgestelde opbrengsten niet-vlottend 71.6412,209.9312,155.4461,939.0822,110.8321,950.8981,864.8471,831.7811,108.4941,021.0051,358.9632,394.82500000
Uitgestelde belastingverplichtingen niet-vlottend 94.56469.58778.93426.43714.48757.46292.311105.787130.604156.675229.3750.50800000
Overige niet-vlottende verplichtingen 2,210.278.35126.339195.52364.855532.699702.991878.3011,728.731,931.8012,396.6011,731.9763,792.033,737.6851,221.7821,051.054928.435
Totaal niet-vlottende verplichtingen 2,705.8192,930.6023,150.352,918.6373,671.0444,388.3355,113.6454,377.9194,684.9764,922.7946,018.6796,679.8975,697.0936,540.5653,691.2394,086.5612,223.066
Totaal passiva 4,594.1935,455.4446,082.4526,436.196,786.5817,869.6758,940.3149,273.9029,780.15411,956.80211,177.2412,446.43812,479.213,482.41411,493.67711,368.039,594.311
Eigen vermogen:
Preferente aandelen 014.821000000000000000
Gewone aandelen 2,089.42,089.42,089.42,089.42,089.42,089.42,089.42,089.42,089.42,089.42,089.42,089.42,089.42,089.42,089.42,089.42,089.4
Ingehouden winsten 311.187803.593674.415686.312536.355-108.724368.256407.597134.4991,185.3974,326.2265,924.9447,698.4957,657.1319,796.3389,705.27810,073.015
Overige gereserveerde algehele resultaten 66.022-14.82118.97235.1220.14996.011172.79202.331259.314338298100000
Overige totale aandeelhoudersvermogen 1,835.5011,820.681,835.5011,835.5011,835.5011,944.2261,944.2261,944.2261,944.2261,943.3281,945.0951,943.2711,944.2881,944.0571,944.2421,944.3191,941.556
Totaal eigen vermogen van aandeelhouders 4,302.114,713.6734,618.2884,646.3354,461.4054,020.9134,574.6724,643.5544,427.4395,556.1258,658.7219,958.61511,732.18311,690.58813,829.9813,738.99714,103.971
Totaal eigen vermogen 4,302.114,713.6734,618.2884,646.3354,461.4054,020.9134,574.6724,643.5544,427.4395,556.1258,658.7219,958.61511,732.18311,690.58813,829.9813,738.99714,103.971
Totaal passiva en aandeelhoudersvermogen 8,896.30310,169.11710,700.7411,082.52511,247.98611,890.58813,514.98613,917.45614,207.59317,512.92719,835.96122,405.05324,211.38325,173.00225,323.65725,107.02723,698.282