FUJIFILM Holdings Corporation

TSE:4901.T

3552 (JPY) • At close November 8, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901988
Operationele Activiteiten:
Nettowinst 243,329221,674216,445183,457138,298157,124144,244147,190141,716137,146102,12471,16956,98572,823-36,41110,524104,129.02725,910.45637,238.2384,683.93480,960.70147,758.50981,340.791118,417.07484,977.39370,406.09789,556.29585,198.29772,795.93127,224.5861,683.98574,794.56294,952.30190,153.71681,551.603
Afschrijvingen & Amortisatie 150,014142,215132,999123,423122,653129,932127,642117,635121,354122,909141,440141,548147,775157,094195,083212,565226,097.321215,100.906226,787.433182,682.651169,777.844171,047.366188,997.72199,752.828103,062.061104,537.33493,349.36183,601.52579,039.86640,823.9198,566.52390,514.84984,508.33468,095.65751,341.292
Uitgestelde Inkomstenbelasting -1,707-13,9628,5147,638-6,70812,359-11,130-2,9349,99500000000000000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000000000000000000000
Verandering in Werkkapitaal 44,481-143,879-14,497130,24815,159-100,27982,3768,030-25,590-5,67337,959-35,166-102,491-66,28778,651-1,197-85,054.34415,341.62-23,306.02710,544.95839,198.39727,867.162-36,151.463-29,635.79620,036.991-38,978.206-33,378.985-11,053.62210,731.4294,276.791-26,166.665-14,956.448-35,813.503-24,226.215462.084
Vorderingen -21,157-17,05234,74120,57653,2774,88541,3423,444-16,313-4,377-18,57610,99800000000000000000000000
Voorraden 62,023-51,545-68,2739,215-11,505-12,287-7,5184,8917,1538,91957,97311,809-24,511-38,20768,77132,335-30,390.86710,959.29315,208.804-5,976.945171.18412,555.324,056.672-25,221.954-8,836.8272,500.893-16,875.818-9,382.582-6,918.666-12,674.852-2,817.1151,010.238-18,607.821-10,074.782149.865
Crediteuren 3,382-9,22121,007-9,713-10,558-12,469-19,9995,692-2,04100000000000000000000000000
Overig Werkkapitaal 233-66,061-1,972110,170-16,055-80,40889,8943,139-32,743-14,592-20,014-46,975-77,980-28,0809,880-33,532-54,663.4774,382.327-38,514.83116,521.90339,027.21215,311.862-60,208.135-4,413.84228,873.818-41,479.099-16,503.166-1,671.0417,650.09516,951.643-23,349.55-15,966.686-17,205.682-14,151.433312.219
Overige Niet-Contante Posten 227,604-9,558-11,013-16,267-20,44362,566-93,11015,764-15,6119,34911,00921,90032,86435,72477,503-12,38652,075.9840,470.33733,474.812-58,073.13532,027.52551,700.93812,493.52-47,921.7134,418.41318,709.063-1,317.591-6,275.685-15,090.403-10,454.3775,265.838-1,268.957-78.625-688.097-5,819.762
Kasstroom uit Operationele Activiteiten 407,941210,452323,934420,861255,667249,343261,152288,619221,869263,731292,532199,451135,133199,354314,826209,506297,247.985296,823.318274,194.449219,838.408321,964.466298,373.975246,680.57140,612.394212,494.858154,674.287148,209.08151,470.516147,476.82461,870.904139,349.681149,084.005143,568.509135,464.267129,470.975
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -464,712-323,472-165,907-125,607-109,724-89,020-81,584-96,965-86,088-83,497-94,874-110,030-121,772-114,204-93,033-177,481-186,309.705-192,761.113-204,895.836-151,243.478-194,184.018-120,552.94-158,694.289-107,823.853-90,217.836-118,720.971-105,114.521-88,565.134-77,454.785-22,895.95-94,243.334-137,380.03-166,605.515-109,732.029-88,907.482
Netto Overnames -91,433-29,50613,307-158,808-123,290-94,766-130,321-6,861-40,647-6,309-4,344-37,629-61,013-32,497-358-6,635-98,686.81-45,671.398-40,830.627-58,136.295-21,540.139-32,920.427-26,714.868-122,452.587-11,097.410000000-49,415.41600
Aankoop van Beleggingen -729-3,880-7,819-4,775-3,240-26,979-5,063-58,644-31,069-37,244-20,023-3,606-13,558-47,025-58,250-17,639-88,086.55-146,687.241-78,462.336-85,472.632-16,359.988-23,256.415-116,030.247-93,447.34-38,429.921-68,333.928-65,160.888-39,250.879-115,154.017-18,204.44-9,426.5-48,491.418-6,578.258-4,634.919-17,446.798
Verkoop/verval van Beleggingen 14,38841,60115,11926,2391512,545113,96163,80145,25438,43714,45316,95439,34271,78249,70662,641141,205.506110,330.71884,131.12240,821.6245,903.04732,499.61734,157.81685,124.09530,004.1165,309.03858,399.91440,736.24821,173.68810,843.17616,989.37149,415.41649,415.41600
Overige Investeringsactiviteiten 15,070-7,968-8,242-16,430-8,747-365-8,779-17,770-43,160-31,895-20,690-6,623-28,874-8,816-29,269-13,667-27,086.45-22,758.173-33,705.156-59,050.133-17,591.327-54,287.265-27,246.507-22,447.5391,746.815-15,076.8131,463.991-64,700.2033,063.0631,408.317-4,008.971-3,153.913-2,896.006-4,349.294462.084
Kasstroom uit Investeringsactiviteiten -527,416-323,225-153,542-279,381-244,850-208,585-111,786-116,439-155,710-120,508-125,478-140,934-185,875-130,760-131,204-152,781-258,964.008-297,547.206-273,762.834-313,080.918-203,772.425-198,517.43-294,528.095-261,047.224-107,994.244-136,822.673-110,411.505-151,779.968-168,372.051-28,848.897-90,689.435-139,609.945-176,079.778-118,716.241-105,892.196
Financieringsactiviteiten:
Schuldaflossingen -124,501-192,360-61,929-74,577-263,151-34,070-163,316-219,718-6,110-16,951-6,630-151,297-19,732-118,832-29,860-50,6180000000000000000000
Uitgifte van Gewone Aandelen 020310340,85600000846297,7029,53700000210.2170000000000005,075.829353.81109,079.329
Terugkoop van Gewone Aandelen -31-20-31-20-51,624-100,018-50,023-50,021-150,049-62-22-6-6-20,013-23-35,005-34,115.067-700.9130-15,330.331-329.441-4,185.1-398.729000000000000
Uitgekeerde Dividenden -56,170-46,109-43,032-37,975-35,817-33,166-31,714-30,165-31,974-26,510-19,275-18,064-15,655-13,438-13,495-23,753-15,290.657-12,734.609-12,810.499-19,965.365-16,113.116-17,145.402-12,227.701-11,602.099-11,611.179-11,396.927-11,671.997-11,041.244-9,896.048-4,622.39-9,242.304-7,995.663-6,905.86-5,855.318-5,032.97
Overige Financieringsactiviteiten -68,762114,774-223-50,521-241,20713,732-13,908-28,24216,468-2,070-13-481,4525,9017697,237-22,693.19171,481.467-68,190.914-48,291.782-46,027.004-41,836.253-31,765.44-63,433.214-13,255.24-16,220.07824,089.299-8,107.64-7,411.326-9,927.3386,956.1079,671.1836,363.87531,626.50512.489
Kasstroom uit Financieringsactiviteiten -462-123,695-105,184-163,093-250,943-153,522-258,961111,290-171,665-45,593-25,094128,287-24,404-146,382-42,609-102,139-72,098.914158,045.945-80,791.197-83,587.478-62,469.561-63,166.755-44,391.87-75,035.313-24,866.42-27,617.00612,417.302-19,148.884-17,307.375-14,549.728-2,286.1976,751.34629,811.82525,771.18841,949.745
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 31,04418,74826,32520,317-18,530-7351,883-8,409-20,48524,68717,21723,486-2,820-15,319-4,930-15,418-19,822.5158,545.97910,383.0042,845.209-4,939.22-4,699.3458,107.4973,909.403-5,343.198-4,513.5171,783.407-5,359.7073,877.023-259.199-3,326.363-123.2-1,834.5741,882.53-1,223.898
Netto Kasstroomverandering -88,893-217,72091,533-1,296-258,656-113,499-107,712275,061-125,991122,317159,177210,290-77,966-93,107136,083-60,832-53,637.452165,868.036-69,976.578-173,984.77950,783.2631,990.444-84,397.717-191,434.63174,290.997-14,278.90951,998.283-24,818.042-34,325.57918,213.0843,047.68516,102.206-4,534.01844,401.74464,304.625
Kaspositie aan het Einde van de Periode 179,715268,608486,328394,795396,091654,747768,246875,958600,897726,888604,571445,394235,104313,070406,177270,094329,969.094384,133.242219,910.432288,784.097454,155.987403,202.973381,584.007468,497.796657,521.566573,407.163602,032.841544,573.454569,783.189603,649.553506,538.962452,290.885442,210.925445,328.717415,388.646