Digital Garage, Inc.

TSE:4819.T

3435 (JPY) • At close November 8, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004
Operationele Activiteiten:
Nettowinst 5,806-13,88145,39314,31710,00813,4247,6195,018.7497,574.7559,248.9935,035.0164,215.0572,535.467958.816-2,183.52812,259.855-336.2872,606.3371,451.8631,426.794
Afschrijvingen & Amortisatie 3,7603,6323,6203,6372,3691,9521,5331,347.1291,232.5871,465.4991,386.9581,557.436395.525370.198422.9041,252.6011,133.6791,000.508735.922412.635
Uitgestelde Inkomstenbelasting 00000000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000000
Verandering in Werkkapitaal -16,96218,361-24,507-9,550-18,807-6,8759,6893,532.223-5,916.191557.188-3,413.1411,321.753-2.235-701.918-858.4822,745.545-945.944261.585-21.2291,945.893
Vorderingen -9,4923,7352,38322-3,195-3,45991-1,833.638-5,766-3,164.252-2,932-61700000000
Voorraden -70-10-8254-87-50-27-110.876-13.398-71.793-3.21113.08835.7024.5545.922-48.467865.263-1.48900
Crediteuren -6,4294,3834,170-521-5,7156,71910,301950.8610489.7630000000000
Overig Werkkapitaal -97110,253-30,978-9,105-9,810-10,0859,7164,525.876-5,902.793628.981-3,409.931,308.665-37.937-706.472-864.4042,794.012-1,811.207263.07400
Overige Niet-Contante Posten 22,7375,361-17,447-1,357-5,892-5,921-4,548-1,994.473-5,509.748-6,231.604-3,043.733-3,882.618-386.559-495.291-2,543.913-14,294.102-900.659-3,089.365-268.341-1,490.125
Kasstroom uit Operationele Activiteiten -8,17013,4737,0597,047-12,3222,58014,2934,215.717-2,618.5975,040.076-34.93,211.6282,542.198131.805-5,163.0191,963.899-1,049.211779.0651,898.2152,295.197
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -2,913-2,180-2,855-3,207-5,243-2,478-1,141-853.994-1,037.883-746.041-815.856-1,935.604-828.787-166.292-478.992-572.109-664.248-544.697-864.039-437.339
Netto Overnames 162,972-864108-811,717776-2,871.4971,044.292,281.617-514.3293,804.77-268.582-129.30798.332-1,008.285-671.952-376.58489.029147.36
Aankoop van Beleggingen -7,460-103-4,794-186-4-2,587-1,190-278.808-1,195.346-951.521-4,189.218-418.903-8,597.982-79.122-805.329-3,016.912-161.981-468.985-3,115.024-268.479
Verkoop/verval van Beleggingen 1,7419023401,865-1,7499492,8632,427.272-741.7590.346893.354211.88266.9136.9422,130.84211,544.287629.9933,185.03622.897410.018
Overige Investeringsactiviteiten -57371955561,6042-300124.173859.092-75.791-529.169-147.509217.284202.541288.66399.6761,354.4611,560.764161.371-17.295
Kasstroom uit Investeringsactiviteiten -8,6721,628-7,978-864-5,473-2,3971,008-1,452.855-1,071.606508.61-5,155.2181,514.636-9,411.154-165.2381,233.5137,346.657486.2733,355.538-3,305.766-165.735
Financieringsactiviteiten:
Schuldaflossingen -14,395-2,901-10,330-3,270-511-9,836-4,879-5,586.01-8,939.557-913.775-46,811.349-53,515.346-8,897.054-6,809.368-23,804.362-33,152.798-15,446.844-5,685.886-3,191.56-6,311.085
Uitgifte van Gewone Aandelen 9,1503,6534,6290024,185388.08717.40354.24136.9322,611.1888,244.78472.8840228.899137.94618.73454.32733.895
Terugkoop van Gewone Aandelen -5,076-5,068000-5,0053,4000-1,442.39216,740.8372,263.449,46215,9506,2000-169.784-299.9370-0.267-0.358
Uitgekeerde Dividenden -1,704-1,647-1,474-1,748-1,289-1,073-943-1,407.579-1,174.83-233.941-233.735-216.607-0.711-6.693-923.44-908.5110000
Overige Financieringsactiviteiten -1474913,4194,1044,16323877-10.465-98.175-14,257.15255,905.723-157.761-23.611-25.01121,433.22528,849.34731,295.7075,463.95611,738.82210,122.613
Kasstroom uit Financieringsactiviteiten 15,032-5,2146,244-9142,3638,509-2,3074,176.052-11,637.5511,390.20911,260.971-1,816.52615,273.408-568.188-3,294.577-5,152.8471.592-203.1962,806.777573.881
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 1003310217-2012-81188-427.8411,954.91821.707422.382.718-2.513-0.429-2.4712.8820.8530.573-0.881
Netto Kasstroomverandering -3,7649,9205,4265,287-15,4528,70412,913-8,736.984-15,755.5978,893.8146,092.5593,332.0398,487.172-604.135-7,224.5144,149.006-558.4624,037.9921,399.82,702.462
Kaspositie aan het Einde van de Periode 49,57153,33543,41537,98932,70248,15438,24825,339.49418,321.76234,077.35925,183.54519,090.98615,758.9477,271.7757,875.9115,100.42410,951.41811,509.887,471.8886,072.088