Toei Animation Co.,Ltd.

TSE:4816.T

3450 (JPY) • At close November 5, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 79,00766,90960,14943,04139,98434,45428,493.39325,591.24519,624.78818,144.81114,322.29414,169.48412,567.34211,353.5212,296.07610,237.4889,528.9058,232.85712,266.11712,461.934
Kortetermijnbeleggingen 85501554628456,4575,000-2,958.867-1,098.042-3,006-3,012-5,541.44-2,845.271-1,127.911-1,432.272-753.625000
Liquide middelen en kortetermijnbeleggingen 79,09266,95960,30443,08740,01234,49928,493.39325,591.24519,624.78818,144.81114,322.29414,169.48412,567.34211,353.5212,296.07610,237.4889,528.9058,232.85712,266.11712,461.934
Nettovorderingen 27,09028,16217,71812,84413,67516,0839,390.2178,021.5289,542.9186,681.0088,754.4887,866.8354,323.9174,870.9744,144.753,336.9984,005.6274,050.5814,463.8623,605.865
Voorraad 10,08013,33613,3127,9245,8353,5932,037.5181,757.1881,451.066602.926935.4881,394.081,226.3541,201.099963.046959.817623.279950.777572.7171,007.647
Overige vlottende activa 4,1932,2451,5959795598401,053.6133,539.147976.703485.494299.316318.911523.115535.164525.415632.803518.613262.333211.553491.798
Totaal vlottende activa 120,455110,70292,92964,83460,08155,01540,974.74138,909.10831,595.47525,914.23924,311.58623,749.3118,640.72817,960.75717,929.28715,167.10614,676.42413,496.54817,514.24917,567.244
Niet-vlottende activa:
Materiële vaste activa, netto 8,1808,3928,5168,5828,9359,2249,301.8387,062.7145,270.1833,635.6023,803.9513,673.2553,602.8713,686.9993,669.5343,724.8223,768.6493,881.1633,995.5043,226.799
Goodwill 00000000000000000000
Immateriële activa 1,3211,184633527454466497.862339.392214.623195.906218.993193.942202.943221.734245.345364.37350.839327.495323.155336.147
Goodwill en immateriële activa 1,3211,184633527454466497.862339.392214.623195.906218.993193.942202.943221.734245.345364.37350.839327.495323.155336.147
Langetermijnbeleggingen 30,99727,22321,79125,51521,52320,78523,97013,792.20218,073.16414,71416,550.31616,278.30814,566.8310,622.5819,269.5349,621.58510,575.435000
Belastingvorderingen 11,4591,6004,7651,3211,84314.007-13,792.20221.45-14,71416.347114.61527.42822.157585.262818.4581,084.131000
Overige niet-vlottende activa 1,7851,5471,4101,2521,7021,1571,263.16719,667.3591,229.15820,714.513915.58825.8722,198.0753,960.4272,969.1712,363.512,302.7716,130.57911,719.8727,176.801
Totaal niet-vlottende activa 42,28439,80533,95040,64133,93533,47535,046.87427,069.46524,808.57824,546.02121,505.18721,085.98721,098.13919,313.89816,738.84616,892.74518,081.82420,339.23716,038.53110,739.747
Totaal activa 162,739150,508126,883105,47794,01988,49176,021.61765,978.57556,404.05650,460.26245,816.77544,835.29939,738.86737,274.65534,668.13332,059.85132,758.24833,835.78533,552.7828,306.991
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 20,37022,76320,00711,0159,66311,52510,458.2217,530.025,971.785,229.9114,235.5084,449.4353,325.0963,443.2132,928.1842,324.632,829.782,843.1093,232.1352,686.456
Kortlopende schulden 2,11932522536694139131.74678.90600000000000
Belastingschulden 2,1195,3342,9262,8202,7983,1931,994.4492,259.7531,927.36750.882774.0941,334.3591,244.3191,305.641910.97588.026441.549666.3531,138.831265.032
Uitgestelde opbrengsten 3,3433,8654,648-53-66-94-139-131.746-78.90600000000000
Overige kortlopende verplichtingen 2,8988,4904,7896,6087,0387,3465,287.4224,963.2893,5282,629.8361,937.8323,300.2382,423.0632,508.0082,148.2781,611.0261,932.0271,689.3322,248.331,176.026
Totaal kortlopende verplichtingen 28,73035,15029,96617,62316,70118,87115,745.64312,493.3099,499.787,859.7476,173.347,749.6735,748.1595,951.2215,076.4623,935.6564,761.8074,532.4415,480.4653,862.482
Langlopende verplichtingen:
Langetermijnschulden 000000063.50454.93500000000000
Uitgestelde opbrengsten niet-vlottend 00000000-135.99900000000000
Uitgestelde belastingverplichtingen niet-vlottend 0000000081.06400000000404.031,091.21549.355
Overige niet-vlottende verplichtingen 2,2948578762,7342,6252,4172,241.3241,872.6181,536.4831,497.1341,132.757908.7861.615872.429834.203842.616764.858609.354962.153967.532
Totaal niet-vlottende verplichtingen 2,2948578762,7342,6252,4172,241.3241,936.1221,536.4831,497.1341,132.757908.7861.615872.429834.203842.616764.8581,013.3842,053.3631,516.887
Totaal passiva 31,02436,00730,84220,35719,32621,28817,986.96714,429.43111,036.2639,356.8817,306.0978,658.3736,609.7746,823.655,910.6654,778.2725,526.6655,545.8257,533.8285,379.369
Eigen vermogen:
Preferente aandelen 0108,76791,84881,89473,66965,24600000000000000
Gewone aandelen 2,8672,8672,8672,8672,8672,8672,867.5752,867.5752,867.5752,867.5752,867.5752,867.5752,867.5752,867.5752,867.5752,867.5752,867.5752,867.5752,867.5752,867.575
Ingehouden winsten 115,751103,29886,24576,29068,08759,51450,116.98244,042.51338,134.80633,602.75831,779.12830,263.96827,807.25625,346.94623,006.9221,976.3321,831.29220,632.59217,569.59915,400.211
Overige gereserveerde algehele resultaten 10,4395,7344,1933,2261,0241,9572,1851,773.311,499.4281,76899718000000000
Overige totale aandeelhoudersvermogen 2,656-106,165-89,112-79,157-70,954-62,3812,865.0932,865.7462,865.9842,865.0482,866.9752,865.3832,454.2622,236.4842,882.9732,437.6742,115.4614,789.7935,269.1424,405.838
Totaal eigen vermogen van aandeelhouders 131,713114,50196,04185,12074,69367,20358,034.6551,549.14445,367.79341,103.38138,510.67836,176.92633,129.09330,451.00528,757.46827,281.57926,814.32828,289.9625,706.31622,673.624
Totaal eigen vermogen 131,713114,50196,04185,12074,69367,20358,034.6551,549.14445,367.79341,103.38138,510.67836,176.92633,129.09330,451.00528,757.46827,281.57927,231.58328,289.9626,018.95222,927.622
Totaal passiva en aandeelhoudersvermogen 162,739150,508126,883105,47794,01988,49176,021.61765,978.57556,404.05650,460.26245,816.77544,835.29939,738.86737,274.65534,668.13332,059.85132,758.24833,835.78533,552.7828,306.991