Nippon Sheet Glass Company, Limited

TSE:5202.T

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

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

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Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 51,18369,31360,46458,67343,60852,40664,80184,92055,07467,69573,86483,47243,34660,90679,43594,525127,928160,914180,67064,163
Kortetermijnbeleggingen 0-54,858-63,756-39,288461-44,29810057234639465232313614540000
Liquide middelen en kortetermijnbeleggingen 51,18369,31360,46458,67344,06952,40664,90185,49255,42067,69873,95884,12443,34960,90679,79694,979127,928160,914180,67064,163
Nettovorderingen 89,133100,04877,35267,13258,23965,71573,99969,65473,66779,01092,523101,242096,66294,09491,450152,935151,67960,93561,474
Voorraad 173,068156,918132,242111,910118,388119,645109,616106,139109,578114,487110,149101,218106,688100,77698,791113,826119,488113,25937,74934,582
Overige vlottende activa 7,91510,040109,54379,40261,63273,53078,45970,74375,70584,95797,699108,734115,02516,52224,76524,97621,58439,9849,3787,505
Totaal vlottende activa 321,299336,319302,249249,985224,089245,581252,976262,374240,703267,142281,806294,076265,062274,866297,446325,231421,935465,836288,732167,724
Niet-vlottende activa:
Materiële vaste activa, netto 431,212370,460341,736316,788294,545241,506252,778245,157258,866293,529289,389267,983260,597271,287283,140317,478375,474396,586119,396114,084
Goodwill 84,17274,081104,73799,01691,199107,349112,455105,972113,459130,734135,826116,768105,018107,690122,653132,882181,167204,88300
Immateriële activa 46,73439,48050,25648,76147,39053,79057,38956,28862,89875,68086,99984,49687,47595,28300171,506194,6146,9893,890
Goodwill en immateriële activa 130,906113,561154,993147,777138,589161,139169,844162,260176,357206,414222,825201,264192,493202,973122,653132,882352,673399,4976,9893,890
Langetermijnbeleggingen 59,662102,434107,18876,59779,31681,23234,84539,76951,51862,39556,71951,15359,51262,48158,86355,48299,867126,855174,006134,403
Belastingvorderingen 47,21828,61333,11533,81628,65832,41136,11541,62248,35762,07255,57151,79761,24843,12147,83648,36351,4311,150834793
Overige niet-vlottende activa 28,7040000045,32439,01036,31928,55418,86519,1639,84013,860123,783145,78517,91019,0596,0066,015
Totaal niet-vlottende activa 697,702615,068637,032574,978541,108516,288538,906527,818571,417652,964643,369591,360583,690593,722636,275699,990897,355943,147307,231259,185
Totaal activa 1,019,001951,387939,281824,963765,197761,869791,882790,192812,120920,106925,175885,436848,752868,588933,7211,025,2211,319,2901,408,983595,963426,909
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 178,512183,612163,114136,233124,145127,425133,538123,794120,979133,550127,858113,780109,26973,92768,89861,87198,95598,29100
Kortlopende schulden 144,223161,610114,347120,99454,00041,05496,47078,417139,089112,119119,954152,585110,37555,55179,13687,822102,956107,31646,70346,778
Belastingschulden 5,6373,8383,8432,2942,2323,0844,6552,7972,2192,3262,5103,3713,4772,1726,02319,36916,73241,51000
Uitgestelde opbrengsten 18,072-160,195-111,673-117,544-53,608-39,6224,6552,7972,2192,3262,5103,3713,47717,08360,02289,53876,713125,23500
Overige kortlopende verplichtingen 29,085199,350140,943148,13075,85264,12120,48218,21723,62318,94424,05223,30619,75254,88927,07830,084111,151106,74764,29961,229
Totaal kortlopende verplichtingen 369,892384,377306,731287,813200,389192,978255,145223,225285,910266,939274,374293,042242,873201,450235,134269,315389,775437,589111,002108,007
Langlopende verplichtingen:
Langetermijnschulden 318,980329,933352,017349,146373,728328,598274,185317,981289,319325,008331,839291,793283,565314,521315,306338,500353,452453,800190,22074,533
Uitgestelde opbrengsten niet-vlottend 33,02521,2608,3779,1229,2885,3449,3238,97010,1229,7839,8009,0566,2315,18477,28079,68192,47296,83422,89322,885
Uitgestelde belastingverplichtingen niet-vlottend 31,12714,52322,60816,17616,10518,46918,56715,00517,32120,70023,19023,64137,84940,99845,91962,27190,41349,86928,07512,030
Overige niet-vlottende verplichtingen 112,13976,42680,19382,94477,49383,97491,80591,30397,437111,668111,474112,451107,69979,56120,15118,23121,18020,2662,1741,413
Totaal niet-vlottende verplichtingen 495,271442,142463,195457,388476,614436,385393,880433,259414,199467,159476,303436,941435,344440,264458,656498,683557,517620,769243,362110,861
Totaal passiva 865,163826,519769,926745,201677,003629,363649,025656,484700,109734,098750,677729,983678,217641,714693,790767,998947,2921,058,358354,364218,868
Eigen vermogen:
Preferente aandelen 0185,785211,85930,00030,00035,00040,00040,00077,2840019,60600000000
Gewone aandelen 116,853116,756116,709116,643116,607116,588116,546116,463116,449116,449116,449116,449116,449116,44996,14796,14796,14796,14741,06041,060
Ingehouden winsten -56,882-154,723-128,169-149,740-122,324-108,578-120,188-127,694-131,550-93,130-95,765-79,323-37,25566,13271,696118,159152,097105,91495,79195,355
Overige gereserveerde algehele resultaten -91,493-88,745-66,568-127,219-143,902-113,214-96,632-99,218-77,28424,91616,791-19,60600000000
Overige totale aandeelhoudersvermogen 155,79737,96711,460193,253193,231193,964194,608194,595118,210127,511127,511107,90582,11934,07663,14632,835110,444135,207101,43368,885
Totaal eigen vermogen van aandeelhouders 124,27597,040145,29162,93773,612123,760134,334124,146103,109175,746164,986145,031161,313216,657230,989247,141358,688337,268238,284205,300
Totaal eigen vermogen 153,838124,868169,35579,76288,194132,506142,857133,708112,011186,008174,498155,453170,535226,874239,931257,223371,998350,625241,599208,041
Totaal passiva en aandeelhoudersvermogen 1,019,001951,387939,281824,963765,197761,869791,882790,192812,120920,106925,175885,436848,752868,588933,7211,025,2211,319,2901,408,983595,963426,909