ITFOR Inc.

TSE:4743.T

1370 (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 11,505.8983,597.0473,635.7482,972.3043,250.3672,728.3882,998.2872,431.2172,801.1992,209.8672,410.0162,439.0321,727.2861,900.0891,957.011,908.0042,144.479
Kortetermijnbeleggingen 2,449.9659,499.6859,099.7827,699.7835,599.8075,499.9285,299.8445,199.9314,449.0794,048.6784,148.663,348.6362,148.4862,648.3732,848.1162,944.8782,745.547
Liquide middelen en kortetermijnbeleggingen 13,955.86313,096.73212,735.5310,672.0878,850.1748,228.3168,298.1317,631.1487,250.2786,258.5456,558.6765,787.6683,875.7724,548.4624,805.1264,852.8824,890.026
Nettovorderingen 4,539.1663,660.862,589.9252,702.1392,923.9853,346.3052,736.0532,537.3243,111.7592,983.3573,138.5392,543.0913,443.9622,468.4452,235.1543,263.5222,828.251
Voorraad 686.1616.19671.6141,006.142890.04598.087158.208220.686317.913539.718427.072257.159521.538577.552227.396374.713883.659
Overige vlottende activa 317.26302.754266.967313.759185.102127.172130.222118.605116.074104.65100.855104.196120.144111.973125.314165.664152.041
Totaal vlottende activa 19,498.38917,676.53616,264.03614,694.12712,849.30112,299.8811,322.61410,507.76310,796.0249,886.2710,225.1428,692.1147,961.4167,706.4327,392.998,656.7818,753.977
Niet-vlottende activa:
Materiële vaste activa, netto 832.927903.083619.687647.121674.29566.844584.052664.376700.451724.82645.009711.048716.95742.731819.608884.336887.984
Goodwill 7.43761.577115.717169.857223.997156.188185.938215.688245.438275.18801.0642.9094.753000
Immateriële activa 423.513393.891472.188429.258374.638299.963581.887892.847982.875830.051191.468351.3509.347786.395830.69697.216210.611
Goodwill en immateriële activa 430.95455.468587.905599.115598.635456.151767.8251,108.5351,228.3131,105.239191.468352.364512.256791.148830.69697.216210.611
Langetermijnbeleggingen 2,479.0462,3842,3582,6071,9752,431-3,083.35-3,139.236-2,762.237-1,879.321-2,394.602-1,931.735-928.217-1,616.332-1,781.941-2,053.134-1,752.044
Belastingvorderingen 455.943248.163180.668143.132197.338124.879.73311.38233.15725.53833.90314.052109.373223.346184.438288.234272.314
Overige niet-vlottende activa 655.2170.180.2360.4970.025-0.7015,817.7045,766.9214,966.8634,793.854,737.6614,238.5423,152.1453,464.6063,324.7283,336.4383,151.93
Totaal niet-vlottende activa 4,854.0833,990.8943,746.4963,996.8653,445.2883,578.1644,095.9644,411.9784,166.5474,770.1263,213.4393,384.2713,562.5073,605.4993,377.5233,153.092,770.795
Totaal activa 24,352.47221,667.43320,010.53518,690.99416,294.59215,878.04815,418.57814,919.74114,962.57114,656.39613,438.58112,076.38511,523.92311,311.93110,770.51311,809.87111,524.772
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,187.2161,361.709947.0031,681.8611,461.2661,437.103942.509851.5151,236.9681,346.3651,125.805788.1431,142.3071,129.583958.4371,819.092,004.369
Kortlopende schulden 748.346-717.642-808.08700000000001.0051.0641.0180
Belastingschulden 748.346614.638684.661518.805293.601311.906375.577205.612262.768128.993534.25430.7540.249375.002341.976575.214454.871
Uitgestelde opbrengsten 1,017.321717.642808.08700000000001,128.251,104.4161,410.140
Overige kortlopende verplichtingen 1,925.9082,881.4513,227.4352,659.2321,998.0211,807.3451,834.7721,593.8981,717.5941,640.2231,704.4751,573.8921,245.4240.925277.834382.8231,582.367
Totaal kortlopende verplichtingen 4,878.7914,243.164,174.4384,341.0933,459.2873,244.4482,777.2812,445.4132,954.5622,986.5882,830.282,362.0352,387.7072,499.7632,341.7513,613.0713,586.736
Langlopende verplichtingen:
Langetermijnschulden 000000000000001.0052.1640
Uitgestelde opbrengsten niet-vlottend 00000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 356.11180.0840216.42297.6380159.249126.405097.3650000000
Overige niet-vlottende verplichtingen 280.90676.52229.16832.281173.415266.556268.071259.707257.198253.818246.671258.316302.618558.028558.667579.357533.416
Totaal niet-vlottende verplichtingen 637.016256.604229.168248.703271.053266.556427.32386.112257.198351.183246.671258.316302.618558.028559.672581.521533.416
Totaal passiva 5,515.8074,499.7644,403.6064,589.7963,730.343,511.0043,204.6012,831.5253,211.763,337.7713,076.9512,620.3512,690.3253,057.7912,901.4234,194.5924,120.152
Eigen vermogen:
Preferente aandelen 00000000000000000
Gewone aandelen 1,124.6691,124.6691,124.6691,124.6691,124.6691,124.6691,124.6691,124.6691,124.6691,124.6691,124.6691,124.6691,124.6691,124.6691,124.6691,124.6691,124.669
Ingehouden winsten 16,798.65715,403.60313,943.43212,456.81211,398.06910,714.99510,091.4119,449.3829,031.5768,441.9918,200.5687,599.8457,185.0216,679.5816,468.3846,189.9555,723.318
Overige gereserveerde algehele resultaten 953.761451.113450.021521.411153.787497.622794.78676.773466.56586442634900000
Overige totale aandeelhoudersvermogen -40.423188.28488.807-10.687-123.86218.106194.049833.4441,034.899807.008603.392376.606520.705442.153262.868283.875541.913
Totaal eigen vermogen van aandeelhouders 18,836.66417,167.66915,606.92914,092.20512,552.66312,355.39212,204.90912,084.26811,657.70911,237.66810,354.6299,450.128,830.3958,246.4037,855.9217,598.4997,389.9
Totaal eigen vermogen 18,836.66417,167.66915,606.92914,101.19812,564.25212,367.04412,213.97512,088.21611,750.81111,318.62510,361.639,456.0348,833.5988,254.147,869.097,615.2797,404.62
Totaal passiva en aandeelhoudersvermogen 24,352.47121,667.43320,010.53518,690.99416,294.59215,878.04815,418.57614,919.74114,962.57114,656.39613,438.58112,076.38511,523.92311,311.93110,770.51311,809.87111,524.772