Soken Chemical & Engineering Co., Ltd.

TSE:4972.T

1526 (JPY) • At close May 12, 2025
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 7,576.5467,013.5387,203.4866,100.2294,245.023,010.8513,093.3942,541.5773,501.9432,575.2663,698.63,687.173,025.333,253.7882,718.2921,928.3582,071.627
Kortetermijnbeleggingen 5,5003,0004,0003,5002,5003,5003,5002,5008001,6001,699.9951,699.993999.9801,000030
Liquide middelen en kortetermijnbeleggingen 13,076.54610,013.53811,203.4869,600.2296,745.026,510.8516,593.3945,041.5774,301.9434,175.2665,398.5955,387.1634,025.313,253.7883,718.2921,928.3582,101.627
Nettovorderingen 11,678.24210,810.72110,425.27210,747.609,957.79210,290.8838,184.26509,098.3498,243.71607,001.0097,405.0927,491.8325,031.8830
Voorraad 5,313.7145,872.4725,656.5344,029.9453,789.7164,759.2184,212.2143,451.3723,986.1664,309.9933,959.8563,688.3322,953.0142,984.3832,691.9393,275.6823,784.304
Overige vlottende activa 253.7592.04588.591223.072,805.029315.409296.251583.869283.437527.811598.32275.919492.734598.613507.424583.568402.295
Totaal vlottende activa 30,322.20227,288.77127,873.88324,600.84419,368.28521,543.2721,741.01317,261.08316,853.06618,111.41918,200.48717,937.09914,472.06714,241.87614,409.48710,819.49114,921.117
Niet-vlottende activa:
Materiële vaste activa, netto 18,793.75118,540.7816,135.77613,952.97813,713.97912,234.17712,719.07413,109.66413,752.77313,951.4613,265.88111,702.82111,461.37611,468.01811,589.72712,410.93213,457.485
Goodwill 0000000000000042.73185.463128.194
Immateriële activa 328.049273.915328.701386.321408.03254.67383.19698.665124.568173.333230.613196.316165.739157.175173.506194.478318.617
Goodwill en immateriële activa 328.049273.915328.701386.321408.03254.67383.19698.665124.568173.333230.613196.316165.739157.175216.237279.941446.811
Langetermijnbeleggingen 82942365208551,746-2,106.556-1,294.848405.096-68.864-478.786-618.54-57.7111,024.802-126.132611.469705.53
Belastingvorderingen 1,056.4911,077.5941,008.751943.882985.689830.346457.21503.948560.794469.474541.511477.468522.407571.633489.75724.076493.161
Overige niet-vlottende activa 0.2520.261-0.535-0.3080.1750.2064,102.4542,951.6791,335.3392,114.3332,267.0492,082.8991,194.189321.7991,365.243383.376269.802
Totaal niet-vlottende activa 20,260.54319,986.5517,708.69315,802.87315,962.87315,065.40215,255.37815,369.10816,178.5716,639.73615,826.26813,840.96413,28613,543.42713,534.82514,409.79415,372.789
Totaal activa 50,582.74847,275.32445,582.57840,403.7235,331.16136,608.67436,996.39432,630.19433,031.63934,751.15834,026.75831,778.06627,758.06727,785.30327,944.31225,229.28530,293.906
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 7,003.1916,965.0338,146.3115,636.4085,087.8036,660.7646,573.7364,641.0655,247.8645,309.4455,666.6636,024.7294,644.0085,614.9045,372.3133,693.447,870.657
Kortlopende schulden 1,900.1472,864.8691,182.8681,063.4812,258.5171,446.8111,670.8142,542.4721,998.8282,748.9174,542.0622,341.0612,044.0032,272.4582,010.9761,809.0091,712.872
Belastingschulden 431.347352.262328.08699.872114.855105.73339.33445.538130.02788.71762.505597.29655.789239.557359.18150.298808.974
Uitgestelde opbrengsten 0955.4061,053.871,458.008726.844752.7011,067.9781,068.273584.388565.734544.8341,215.947294.175757.759973.253302.3261,425.224
Overige kortlopende verplichtingen 4,571.3693,494.5123,252.1454,594.32,624.382,550.9572,486.5551,965.3551,688.9842,013.7081,763.0462,270.7371,628.5141,587.141,546.0111,275.2822,905.471
Totaal kortlopende verplichtingen 13,906.05413,676.67612,909.40411,994.06110,085.55510,764.26211,070.4359,594.439,065.70310,160.78712,034.27611,233.8238,372.3149,714.0599,288.4816,828.02913,297.974
Langlopende verplichtingen:
Langetermijnschulden 2,366.2551,670.0852,440.1261,0001201,3601,6008401,0001,323.202436.3141,273.81,491.7762461,463.8952,501.668275.553
Uitgestelde opbrengsten niet-vlottend 000-23.144-38.678-96.492-159.3170000000000
Uitgestelde belastingverplichtingen niet-vlottend 00023.14438.67896.492159.3170000000000
Overige niet-vlottende verplichtingen 1,575.0581,951.2681,884.7781,818.4911,880.8651,934.2751,931.2791,889.981,883.8421,449.0431,665.2751,579.2671,557.5721,567.1381,397.1971,322.1521,235.353
Totaal niet-vlottende verplichtingen 3,941.3133,621.3534,324.9042,818.4912,000.8653,294.2753,531.2792,729.982,883.8422,772.2452,101.5892,853.0673,049.3481,813.1382,861.0923,823.821,510.906
Totaal passiva 17,847.36717,298.02917,234.30814,812.55212,086.4214,058.53714,601.71412,324.4111,949.54512,933.03214,135.86514,086.8911,421.66211,527.19712,149.57310,651.84914,808.88
Eigen vermogen:
Preferente aandelen 00000000000000000
Gewone aandelen 3,361.5633,361.5633,361.5633,361.5633,361.5633,361.5633,361.5633,361.5633,361.5633,361.5633,361.5633,361.5633,361.5633,361.5633,361.5633,361.5633,361.563
Ingehouden winsten 22,442.24620,515.60419,697.64118,272.68615,999.75514,819.60713,936.71612,345.02611,292.10911,052.28810,576.5859,952.6169,274.8869,163.2928,452.1377,567.8357,959.213
Overige gereserveerde algehele resultaten 3,530.852,727.8931,944.859641.995592.639997.221,724.6521,227.2251,871.9242,8591,62829100000
Overige totale aandeelhoudersvermogen 3,400.7226,100.1283,344.2073,956.9193,883.4234,368.9675,096.4013,371.973,391.6986,250.083,391.8193,391.8443,391.8993,240.6823,500.8873,391.9273,391.836
Totaal eigen vermogen van aandeelhouders 32,735.38129,977.29528,348.2725,591.16823,244.74122,550.13722,394.6820,305.78419,917.29420,663.93118,958.23416,996.53315,764.06815,765.53715,314.58714,186.20815,038.99
Totaal eigen vermogen 32,735.38129,977.29528,348.2725,591.16823,244.74122,550.13722,394.6820,305.78421,082.09421,818.12619,890.89317,691.17616,336.40516,258.10615,794.73914,577.43615,485.026
Totaal passiva en aandeelhoudersvermogen 50,582.74847,275.32445,582.57840,403.7235,331.16136,608.67436,996.39432,630.19433,031.63934,751.15834,026.75831,778.06627,758.06727,785.30327,944.31225,229.28530,293.906