Waseda Academy Co., Ltd.

TSE:4718.T

1772 (JPY) • At close November 8, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 6,746.9776,306.3065,207.25,310.6791,894.7631,513.7731,367.7492,265.7372,162.9151,607.1551,386.4081,851.981,178.303502.526299.535464.374582.611
Kortetermijnbeleggingen 919.265-3,272.793-2,969.436-2,900.784-2,754.228-2,648.848-2,198.317461.0398.38.2978.2948.2898.2838.2768.2698.2568.225
Liquide middelen en kortetermijnbeleggingen 7,666.2426,306.3065,207.25,310.6791,894.7631,513.7731,367.7492,265.7372,171.2151,615.4521,394.7021,860.2691,186.586510.802307.804472.63590.836
Nettovorderingen 1,981.0922,339.5142,371.462,191.3771,858.0461,857.5092,004.471,773.171,618.0791,569.1611,190.421,150.2751,087.5751,051.7411,045.5611,067.5831,082.193
Voorraad 211.292227.187300.057289.214324.16210.883181.97571.67355.16456.50761.57355.06361.49142.55757.56640.4145.015
Overige vlottende activa 538.76431.46325.6297.3948.10110.8257.13211.838.762-10.778293.532294.202252.436303.549271.34258.217348.734
Totaal vlottende activa 10,397.398,904.477,904.3467,798.6644,085.073,592.993,561.3264,122.413,853.223,230.3422,940.2273,359.8092,588.0881,908.6491,682.2711,838.842,066.778
Niet-vlottende activa:
Materiële vaste activa, netto 5,955.095,598.1655,583.1435,050.515,369.8575,562.8695,326.0944,662.0884,613.5724,770.2174,301.4284,170.3774,323.2774,737.8954,553.3734,435.2784,713.76
Goodwill 932.7251,113.5061,302.529840.644963.1551,052.3951,174.18479.40784.738000.83600017.231654.592
Immateriële activa 827.748691.312461.777512.112604.873766.041835.313387.507417.108508.305725.85583000631.071568.059159.69
Goodwill en immateriële activa 1,760.4731,804.8181,764.3061,352.7561,568.0281,818.4362,009.497466.914501.846508.305725.855830.836893.34818.082631.071585.29814.282
Langetermijnbeleggingen 640.1273,8473,5623,6923,7443,5003,126.775830.813772.018802.614779.87816.025532.663587.255314.129338.749335.944
Belastingvorderingen 1,358.097960.722849.762692.43557.33589.385300.259290.363260.346251.484238.446134.942209.867286.538230.462240.203298.083
Overige niet-vlottende activa 3,341.896-0.6370.205-0.183-0.2870.28758.172,203.5262,186.522,161.2422,022.2351,952.2721,900.5981,874.1341,761.7471,647.0321,590.212
Totaal niet-vlottende activa 13,055.68312,210.06811,759.41610,787.51311,238.92811,470.97710,820.7958,453.7048,334.3028,493.8628,067.8347,904.4527,859.7458,303.9047,490.7827,246.5527,752.281
Totaal activa 23,453.07321,114.54219,663.76518,586.17915,324.00215,063.9714,382.12112,576.11512,187.52211,724.20411,008.06111,264.26110,447.83310,212.5539,173.0539,085.3929,819.059
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 359.276345.805344.547281.392163.782164.48175.196407.632506.337511.396172.562161.207162.142102.094124.783122.085129.542
Kortlopende schulden 203.358217.851223.343302.267275.23667.5141,077.769259.197243.855319.713572.045698.271,069.8441,192.962869.5251,669.7331,468.03
Belastingschulden 625.7361,069.886996.003849.941569.837821.561579.339524.291491.208588.958256.264322.465190.582254.737363.064439.889518.47
Uitgestelde opbrengsten 818.2664,659.2014,284.63,790.2373,399.9813,486.293,078.5892,513.492,492.7512,288.8121,873.6741,901.9481,792.9811,755.5471,566.3851,702.1851,799.033
Overige kortlopende verplichtingen 3,991.42565.25261.897119.62574.56859.5655.96144.83941.25673.36462.825637.941594.374452.226447.03443.326547.333
Totaal kortlopende verplichtingen 5,372.3255,288.1094,914.3874,493.5213,913.5614,377.8444,387.5153,225.1583,284.1993,193.2813,081.1063,399.3663,619.3413,502.8293,007.7233,937.3293,943.938
Langlopende verplichtingen:
Langetermijnschulden 317.498333.88386.213805.318954.347888.135918.702307.138414.961467.946612.038972.4021,484.2361,862.2291,446.248734.964768.42
Uitgestelde opbrengsten niet-vlottend 0.498-392.13-412.396-327.401-424.412-376.772-404.518-324.743000842.122770.126714.411000
Uitgestelde belastingverplichtingen niet-vlottend 395.191392.13412.396327.401424.412376.772404.518324.7430005.9046.2137.926000
Overige niet-vlottende verplichtingen 3,103.6652,960.3872,931.5182,282.4592,213.2552,172.2962,077.1982,003.2591,938.7181,877.9011,360.37633.06433.48932.844395.51313.888603.073
Totaal niet-vlottende verplichtingen 3,816.8523,294.2673,317.7313,087.7773,167.6023,060.4312,995.92,310.3972,353.6792,345.8471,972.4141,853.4922,294.0642,617.411,841.7581,048.8521,371.493
Totaal passiva 9,189.1778,582.3768,232.1187,581.2987,081.1637,438.2757,383.4155,535.5555,637.8785,539.1285,053.525,252.8585,913.4056,120.2394,849.4814,986.1815,315.431
Eigen vermogen:
Preferente aandelen 00000000000000000
Gewone aandelen 2,014.1722,014.1722,014.1722,014.172968.749968.749968.749968.749968.749968.749968.749968.749467.304467.304467.304467.304467.304
Ingehouden winsten 10,201.2398,563.5527,447.5326,872.1496,661.7866,168.2515,505.5185,024.1854,594.4464,260.0394,115.3544,082.5273,827.033,449.6333,466.7253,890.3413,612.3
Overige gereserveerde algehele resultaten 141.94578.290.21238.827377.324253.671289.224130.0368.852682816500000
Overige totale aandeelhoudersvermogen 1,906.5371,876.2421,879.7331,879.733234.98235.024235.214917.596917.597888.288842.438795.127240.094175.377389.543-265.245413.027
Totaal eigen vermogen van aandeelhouders 14,263.89312,532.16611,431.64711,004.8818,242.8397,625.6956,998.7057,040.566,549.6446,185.0765,954.5416,011.4034,534.4284,092.3144,323.5724,092.44,492.631
Totaal eigen vermogen 14,263.89312,532.16611,431.64711,004.8818,242.8397,625.6956,998.7057,040.566,549.6446,185.0765,954.5416,011.4034,534.4284,092.3144,323.5724,099.2114,503.628
Totaal passiva en aandeelhoudersvermogen 23,453.0721,114.54219,663.76518,586.17915,324.00215,063.9714,382.1212,576.11512,187.52211,724.20411,008.06111,264.26110,447.83310,212.5539,173.0539,085.3929,819.059