Trend Micro Incorporated

TSE:4704.T

8850 (JPY) • At close September 19, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 261,265191,542197,729155,740124,982116,49685,89784,50973,83863,10979,63254,73271,88373,96074,27160,86154,091.38276,711.24759,667.99352,706.03546,823.16547,343.15140,673.90924,352.79315,664.1799,467.593
Kortetermijnbeleggingen 37,76151,30759,07256,52747,61761,28966,53550,15471,91474,32860,95864,11037,73442,79553,22845,92358,021.81425,958.66123,852.85915,611.94410,717.2122,784.5351,842.1541,887.063624.9111,754.524
Liquide middelen en kortetermijnbeleggingen 299,026242,849256,801212,267172,599177,785152,432134,663145,752137,437140,590118,842109,617116,755127,499106,784112,113.196102,669.90883,520.85168,317.97857,540.37850,127.68642,516.06226,239.85616,289.0911,222.117
Nettovorderingen 68,92563,61453,49947,28045,23155,39055,87551,20445,89341,28940,00835,77436,18641,13737,88835,45426,672.82519,923.8325,950.13421,388.1616,615.22915,213.32714,609.92710,784.9675,679.7224,169.842
Voorraad 6,6624,2553,7013,4044,1063,6752,9801,711810523408370425550409402525.664685.952360.235200.49378.177360.138238.283317.12764.11756.965
Overige vlottende activa 14,2729,2167,7485,6975,4115,0655,5057,4539,0334,5503,6064,2734,9943,8074,0502,6133,778.15429,362.2871,927.671,554.0741,400.965790.118855.45605.0291,695.368843.083
Totaal vlottende activa 388,885319,934321,749268,648227,347241,915216,792195,031201,488183,799184,612159,259151,222162,249169,846145,253153,824.461136,426.936111,758.8991,460.70475,634.74866,491.26858,219.72337,946.9823,728.29716,292.007
Niet-vlottende activa:
Materiële vaste activa, netto 6,4897,0897,9327,9719,8608,7698,2226,5515,7884,9494,5834,4375,1575,8484,6784,5354,809.763,499.6682,400.8171,841.3711,707.9891,924.9322,007.5041,218.539750.486501.293
Goodwill 3,6621,0942,8174,77810,09610,05114,97818,3562387401,1199601,8261,5201,1792,0962,790.8362,982.9632,132.2360000000
Immateriële activa 28,22123,19822,61621,12826,08125,06125,31624,1817,9718,6878,0416,9107,6926,5914,9813,3694,192.0453,255.6972,567.588295.198312.386357.4061,107.5572,731.513440.638444.327
Goodwill en immateriële activa 31,88324,29225,43325,90636,17735,11240,29442,5378,2099,4279,1607,8709,5188,1116,1605,4656,982.8816,238.664,699.824295.198312.386357.4061,107.5572,731.513440.638444.327
Langetermijnbeleggingen 18,37523,135-32,579-20,3102,373-16,554-14,142571-9,110-5,282-9,825-28,628-14,255-25,160-41,062-32,14827,596.87215,935.83200000000
Belastingvorderingen 44,38042,11136,50136,22834,50114,09911,86312,16110,73111,03110,57610,73911,38110,53910,0618,8707,135.7964,370.6722,035.3861,689.3081,808.2571,532.605969.721444.4600
Overige niet-vlottende activa 2,61654,23561,41758,25549,44962,89968,12551,68373,41076,01262,38365,32738,74244,51254,20446,791702.543792.87112,164.00711,039.2981,988.9542,780.4962,251.7112,082.0153,890.173615.223
Totaal niet-vlottende activa 103,743150,86298,704108,050132,360104,325114,362113,50389,02896,13776,87759,74550,54343,85034,04133,51347,227.85230,837.70321,300.03414,865.1765,817.5876,595.4396,336.4936,476.5285,081.2971,560.843
Totaal activa 492,628470,799420,457376,701359,710346,243331,157308,537290,520279,938261,493219,007201,765206,099203,887178,766201,052.313167,264.639133,058.924106,325.8881,452.33673,086.70764,556.21644,423.50828,809.59317,852.85
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 2,7272,1641,1659171,2021,6227308935606724867275,4655,6634,5133,4622,868.225,181.7684,006.8743,955.5722,230.7782,193.3723,005.0031,309.6551,213.314649.402
Kortlopende schulden 10,248-192,914-100,032-92,958-88,791-85,041-83,534-76,326-69,132000000013,923.534143.637118.787.7286,610.9395,033.3773,167.062188.993137.949193.681
Belastingschulden 10,2485,0555,0016,0948,0634,4913,5093,6495,1424,6355,2795,6782,2386,1247,9553,901011,565.88200000000
Uitgestelde opbrengsten 211,532192,914100,03292,95888,79185,04183,53476,32669,132000000054,620.96515,589.34640,159.09333,840.65323,804.18315,135.88314,193.5237,647.84700
Overige kortlopende verplichtingen 40,570230,133132,459130,551118,359109,972108,034100,80193,97992,11086,58077,31765,93770,71369,75060,3464,958.81346,055.0451,979.1651,528.3191,049.6524,796.532567.667534.5443,773.6993,121.685
Totaal kortlopende verplichtingen 265,077232,297133,624131,468119,561111,594108,764101,69494,53992,78287,06678,04471,40276,37674,26363,80876,371.53266,969.79646,263.83339,412.27333,695.55127,159.16320,933.2559,681.0395,124.9623,964.768
Langlopende verplichtingen:
Langetermijnschulden 00000-6-7-9-70000000000006,433.89911,469.3269,766.7676,005.8290
Uitgestelde opbrengsten niet-vlottend 0054,06546,07242,48040,04938,45034,07130,11328,53127,42924,46420,71421,10619,20014,88712,833.737,681.7300000000
Uitgestelde belastingverplichtingen niet-vlottend 00000679700000000000000000
Overige niet-vlottende verplichtingen 13,1269,82411,3369,80110,2447,5176,8686,3026,1775,5334,4623,0092,2872,0481,7811,2251,116.2021,410.4334,851.2413,980.33,706.9172,727.4021,469.589713.795351.9790
Totaal niet-vlottende verplichtingen 13,1269,82465,40155,87352,72447,56645,31840,37336,29034,06431,89127,47323,00123,15420,98116,11213,949.9329,092.1634,851.2413,980.33,706.9179,161.30212,938.91610,480.5626,357.808216.467
Totaal passiva 278,203242,121199,025187,341172,285159,160154,082142,067130,829126,846118,957105,51794,40399,53095,24479,92090,321.46476,061.95951,115.07443,392.57237,402.46836,320.46533,872.17120,161.611,482.774,181.235
Eigen vermogen:
Preferente aandelen 0007,1903,9332,60000000000000000000000
Gewone aandelen 19,85519,58519,35819,10418,82218,53318,38618,38618,38618,38618,38618,38618,38618,38618,38618,38617,838.68313,479.07612,496.48611,383.3377,412.6547,183.2766,815.4296,162.385,419.9825,115.462
Ingehouden winsten 156,299166,635175,505158,429153,788148,601140,794134,448124,857118,955113,509102,451100,31892,32491,74887,28883,116.38163,386.13856,023.95242,003.79728,299.51918,613.25511,097.9476,722.943,085.2851,173.48
Overige gereserveerde algehele resultaten 43,83024,9214,666-7,190-3,933-2,6003,4441,38630,49110,7345,140000002,117.4853,741.6800000000
Overige totale aandeelhoudersvermogen -5,59417,51921,11410,99814,66319,87314,44512,246-14,0465,0065,492-7,354-11,393-4,187-1,500-6,8327,641.95210,589.15413,418.8059,546.1738,337.69510,969.71112,770.66911,376.5878,821.5577,382.672
Totaal eigen vermogen van aandeelhouders 214,390228,660220,643188,531187,273187,007177,069166,466159,688153,081142,527113,483107,311106,523108,63498,842110,714.50191,196.04881,939.24362,933.30844,049.86836,766.24230,684.04524,261.90717,326.82413,671.614
Totaal eigen vermogen 214,423228,678221,432189,360187,425187,083177,075166,470159,691153,092142,536113,490107,362106,569108,64398,846110,730.84891,202.6881,943.8562,933.30844,049.86836,766.24230,684.04524,261.90717,326.82413,671.614
Totaal passiva en aandeelhoudersvermogen 492,626470,799420,457376,701359,710346,243331,157308,537290,520279,938261,493219,007201,765206,099203,887178,766201,052.312167,264.639133,058.924106,325.8881,452.33673,086.70764,556.21644,423.50828,809.59317,852.85