Agro-Kanesho Co., Ltd.

TSE:4955.T

1308 (JPY) • At close November 5, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 10,375.72811,061.29210,177.63511,958.99612,454.8312,132.21215,572.62813,226.45913,446.1213,011.48911,776.4438,666.7487,031.7995,611.8754,919.6074,149.989
Kortetermijnbeleggingen 0000002020200000000
Liquide middelen en kortetermijnbeleggingen 10,375.72811,061.29210,177.63511,958.99612,454.8312,132.21215,572.62813,226.45913,446.1213,011.48911,776.4438,666.7487,031.7995,611.8754,919.6074,149.989
Nettovorderingen 5,350.9715,167.2214,055.7843,539.2924,341.6634,742.5764,054.1814,227.2695,350.6814,354.4224,260.0453,376.2193,523.9283,835.3953,713.2774,142.939
Voorraad 5,779.6785,252.2215,162.1815,057.0994,897.8494,184.783,251.1493,134.3483,327.3783,215.4132,560.4412,626.5772,390.5432,616.5692,450.072,187.281
Overige vlottende activa 207.475798.632877.8971,001.346702.079779.179500.866550.443475.349181.18177.662358.584193.527103.407129.734428.003
Totaal vlottende activa 21,713.85222,279.36620,273.49721,556.73322,396.42121,838.74723,378.82421,138.51922,599.52820,762.50518,674.59115,028.12813,139.79712,167.24611,212.68810,908.212
Niet-vlottende activa:
Materiële vaste activa, netto 4,804.8164,832.8725,094.4285,389.3515,652.586,115.7562,230.682,090.5192,185.3822,330.0242,629.9092,232.0971,675.8812,754.4832,605.4672,134.36
Goodwill 0141.685450.8221,349.531,580.7921,902.055229.127330450570.020746.8921,311.4472,107.4843,539.8234,297.86
Immateriële activa 140.223151.981166.08569.02117.4922.92226.64430.48438.02127.31822.16321.3488.8919.2259.68610.759
Goodwill en immateriële activa 140.223293.666616.9071,418.5511,598.2821,924.977255.771360.484488.021597.33822.163768.241,320.3382,116.7093,549.5094,308.619
Langetermijnbeleggingen 139.804123.304107.20699.461117.571332.828206.952180.61185.905196.672169.839118.95691.156119.104119.676126.882
Belastingvorderingen 390.885389.112358.098340.748277.50943.34314.47842.48752.622120.125121.352142.815140.955334.434324.244333.862
Overige niet-vlottende activa 162.32151.973159.925172.706171.912173.456407.654413.576187.885185.54189.784176.384179.674192.512215.6225.254
Totaal niet-vlottende activa 5,638.0485,790.9276,336.5647,420.8177,817.8548,590.363,115.5353,087.6763,099.8153,429.6993,133.0473,438.4923,408.0045,517.2426,814.4967,128.977
Totaal activa 27,351.928,070.29526,610.06328,977.55230,214.27730,429.1126,494.3624,226.19625,699.34324,192.20421,807.63818,466.6216,547.80117,684.48818,027.18418,037.189
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,556.3861,613.3341,233.0261,171.9061,789.8361,875.5941,429.6191,581.0471,472.5951,982.461,717.7081,078.9041,273.1541,336.9331,154.751,512.26
Kortlopende schulden 305.969379.775403.229405.343434.431400.57312.844147.473299.924295.971393.215392.038286.8286.80731.931
Belastingschulden 36.316235.88130.836104.02340.853303.156841.94985.83802.011684.068829.923330.87087.777122.88487.183
Uitgestelde opbrengsten 36.316083.833153.37690.951303.156886.0351,028.7382,993.219725.802871.7374.984087.777087.183
Overige kortlopende verplichtingen 2,130.7232,235.4851,614.4862,025.0721,679.7051,585.431,316.9551,187.904651.5191,188.8271,008.3281,292.577832.658864.0641,070.5411,212.608
Totaal kortlopende verplichtingen 4,029.3944,228.5943,334.5743,755.6973,994.9234,164.7533,645.4533,945.1625,417.2574,193.063,990.9513,138.5032,392.6122,575.5742,225.2913,543.982
Langlopende verplichtingen:
Langetermijnschulden 929.2721,442.8791,822.6542,225.8842,624.2152,991.58825.61516.242160.323442.556730.2161,110.9351,2831,569.81,5261,063.747
Uitgestelde opbrengsten niet-vlottend 0.539-81.6080-86.887-106.432-55.981-83.637-72.907-77.3850000000
Uitgestelde belastingverplichtingen niet-vlottend 93.46581.608086.887106.43255.98183.63772.90777.3850000000
Overige niet-vlottende verplichtingen 1,586.8141,610.3551,554.8581,625.8021,604.6351,647.5341,614.5241,631.9231,595.0631,765.671,739.4411,677.9021,637.0291,664.4041,845.0791,835.412
Totaal niet-vlottende verplichtingen 2,610.093,053.2343,377.5123,851.6864,228.854,639.1221,640.1391,648.1651,755.3862,208.2262,469.6572,788.8372,920.0293,234.2043,371.0792,899.159
Totaal passiva 6,639.4847,281.8286,712.0867,607.3838,223.7738,803.8755,285.5925,593.3277,172.6436,401.2866,460.6085,927.345,312.6415,809.7785,596.376,443.141
Eigen vermogen:
Preferente aandelen 000105.51205.75383.5010131.33400000000
Gewone aandelen 1,809.1771,809.1771,809.1771,809.1771,809.1771,809.1771,809.1771,809.1771,809.1771,809.1771,809.1771,809.1771,809.1771,809.1771,809.1771,809.177
Ingehouden winsten 16,823.8316,649.09216,006.28815,915.09415,704.48315,016.70513,994.02112,350.21211,477.54610,294.5878,932.6757,821.1227,286.5587,684.4047,070.5266,606.289
Overige gereserveerde algehele resultaten 376.891151.22672.456-105.51-205.753-83.501377.071-131.3343,782.76562155100000
Overige totale aandeelhoudersvermogen 536.7621,236.8781,223.1351,117.6361,397.5011,511.6611,595.4371,464.431-1,603.1571,973.9061,351.81991.923539.184731.281,662.7941,514.947
Totaal eigen vermogen van aandeelhouders 19,546.6619,846.37319,111.05618,841.90718,911.16118,337.54317,775.70615,623.8215,466.33114,698.6712,644.66210,622.2229,634.91910,224.86110,542.4979,930.413
Totaal eigen vermogen 20,712.41420,788.46719,897.97721,370.16921,990.50421,625.23521,208.76818,632.86918,526.717,790.91815,347.0312,539.2811,235.1611,874.7112,430.81411,594.048
Totaal passiva en aandeelhoudersvermogen 27,351.89828,070.29526,610.06328,977.55230,214.27730,429.1126,494.3624,226.19625,699.34324,192.20421,807.63818,466.6216,547.80117,684.48818,027.18418,037.189