Toyo Gosei Co.,Ltd.

TSE:4970.T

7100 (JPY) • At close November 8, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 3,6453,252.313,681.1363,794.443,582.6635,412.3832,525.5261,865.8191,326.6511,377.2151,450.9161,669.4571,808.9271,076.5351,329.473925.0481,513.898
Kortetermijnbeleggingen 004124124124124124124090-290.393-353.064229.729000-1.967
Liquide middelen en kortetermijnbeleggingen 3,6453,252.313,681.1363,794.443,582.6635,412.3832,525.5261,865.8191,326.6511,377.2151,450.9161,669.4571,808.9271,076.5351,329.473925.0481,513.898
Nettovorderingen 7,2136,028.8277,507.0155,470.0134,789.7914,394.894,032.2553,621.5213,354.4693,344.5492,481.1472,268.8942,574.3382,655.1662,234.0281,731.2583,858.624
Voorraad 10,33711,758.8378,080.2016,983.5657,019.5776,822.3856,108.5525,889.0436,330.5495,949.5335,469.9155,470.9115,178.9914,102.0473,928.8365,760.7684,584.816
Overige vlottende activa 1,487645.207498.006750.16111.075599.226175.15289.099100.06483.631224.471415.471398.325189.49595.912162.795-3.496
Totaal vlottende activa 22,68221,685.18119,766.35816,998.17815,503.10617,228.88412,841.48511,465.48211,111.73310,754.9289,626.4499,824.7339,960.5818,023.2437,588.2498,579.8699,953.842
Niet-vlottende activa:
Materiële vaste activa, netto 33,86227,639.29525,376.22924,908.15222,112.95518,566.27316,585.14116,059.07616,263.50116,978.91918,352.39919,013.88115,697.85313,407.43214,147.60815,615.14315,731.172
Goodwill 00000000000018.85121.51924.57200
Immateriële activa 1,579607.987511.732523.522407.099417.335331.04366.699335.214321.108332.628312.335388.415420.644549.89900
Goodwill en immateriële activa 1,579607.987511.732523.522407.099417.335331.04366.699335.214321.108332.628312.335407.266442.163574.471688.464480.992
Langetermijnbeleggingen 404259.789217.729212.011372.959411.537480.372473.577250.41305486170.554000107.367
Belastingvorderingen 931855.476955.829818.258675.014182.362224.03-473.577-250.4130-548-617-0.554000187.748
Overige niet-vlottende activa 5957.68858.17358.43359.3859.555-164.005533.854522.551593.979548.442617.123554.19543.809525.186678.243564.429
Totaal niet-vlottende activa 36,83529,420.23527,119.69226,520.37623,627.40719,637.06217,456.57816,959.62917,121.26617,894.00619,233.46919,943.33916,659.30914,393.40415,247.26516,981.8517,071.708
Totaal activa 59,51751,105.41846,886.05343,518.55639,130.51736,865.94830,298.06328,425.11228,232.99928,648.93428,859.91829,768.07226,619.8922,416.64722,835.51425,561.71927,025.55
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 4,0098,657.8067,279.6816,447.8616,448.7415,896.6834,589.9282,628.832,341.0592,026.5551,861.6932,039.3273,639.3781,937.5751,809.0461,789.652,905.435
Kortlopende schulden 7,8118,820.939,128.5158,677.4069,134.5359,283.33310,130.5739,916.7958,957.8348,684.9448,809.8288,110.9117,423.3226,119.3027,300.448,323.6627,467.961
Belastingschulden 635477.1941,117.858512.989463.172406.403151.33754.56195.87255.90518.53764.35733.81635.43426.46225.12824.488
Uitgestelde opbrengsten 6351,980.2542,787.0861,728.6511,475.4491,368.711992.6281,468.3031,079.261884.724248.165336.203339.48547.015216.595227.5440.239
Overige kortlopende verplichtingen 8,06192.429111.13659.53431.706216.431144.54423.84621.74826.2681,386.6792,321.1211,243.3191,100.278631.21720.01723.554
Totaal kortlopende verplichtingen 20,51619,551.41919,306.41816,913.45217,090.43116,765.15815,857.67314,037.77412,399.90211,622.49112,306.36512,807.56212,645.4999,704.179,957.29810,360.82910,837.189
Langlopende verplichtingen:
Langetermijnschulden 14,4119,702.5999,426.41711,870.6589,644.0859,566.6164,898.8545,714.2667,148.8888,740.0529,032.0898,831.0985,884.9864,964.8085,406.116,363.1836,510.55
Uitgestelde opbrengsten niet-vlottend -206-169.862-160.993-161.5430-154.5611,545.1391,474.31,653.2961,542.4281,141.1691,088.9951,035.092974.396982.6461,432.6960
Uitgestelde belastingverplichtingen niet-vlottend 206169.862160.993161.5430154.561169.283142.482156.902185.929192.873192.068170.261183.747171.417173.3740
Overige niet-vlottende verplichtingen 2,7622,209.5652,091.5531,943.7511,826.7131,692.94243.85555.97967.99731.92320.01278.23327.981372.223435.8080.0031,318.222
Totaal niet-vlottende verplichtingen 17,17311,912.16411,517.9713,814.40911,470.79811,259.5586,657.1317,387.0279,027.08310,500.32910,686.14110,390.3917,418.326,495.1746,995.9817,969.2567,828.772
Totaal passiva 37,68931,463.58330,824.38830,727.86128,561.22928,024.71622,514.80421,424.80121,426.98522,122.8222,992.50623,197.95320,063.81916,199.34416,953.27918,330.08518,665.961
Eigen vermogen:
Preferente aandelen 1,2430000000000000000
Gewone aandelen 1,6181,618.8881,618.8881,618.8881,618.8881,618.8881,618.8881,618.8881,618.8881,618.8881,618.8881,618.8881,618.8881,618.8881,618.8881,618.8881,618.888
Ingehouden winsten 15,59713,629.45910,079.9776,820.9784,633.7572,900.0181,808.3643,883.5783,729.6663,396.5582,787.2873,484.2523,488.7043,151.5042,730.0624,192.3165,266.351
Overige gereserveerde algehele resultaten 3003,054.8143,024.1263,010.1162,975.3742,980.7123,014.3643,006.7632,966.335081400000
Overige totale aandeelhoudersvermogen 3,0671,338.6741,338.6741,340.7131,341.2691,341.6141,341.64-1,508.918-1,508.8751,510.6681,453.2371,452.9791,448.3831,446.6471,531.681,420.431,474.35
Totaal eigen vermogen van aandeelhouders 21,82519,641.83516,061.66512,790.69510,569.2888,841.2327,783.2567,000.3116,806.0146,526.1145,867.4126,570.1196,555.9756,217.0395,880.637,231.6348,359.589
Totaal eigen vermogen 21,82519,641.83516,061.66512,790.69510,569.2888,841.2327,783.2567,000.3116,806.0146,526.1145,867.4126,570.1196,556.0716,217.3035,882.2357,231.6348,359.589
Totaal passiva en aandeelhoudersvermogen 59,51751,105.41846,886.05343,518.55639,130.51736,865.94830,298.0628,425.11228,232.99928,648.93428,859.91829,768.07226,619.8922,416.64722,835.51425,561.71927,025.55