Nozawa Corporation

TSE:5237.T

841 (JPY) • At close September 19, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 7,388.8216,993.0337,016.0325,934.6764,786.4045,393.4325,017.6724,497.3313,815.3863,116.4073,545.933,131.0792,404.9681,813.0462,732.3861,487.621,230.184
Kortetermijnbeleggingen 000000000000-0.173-0.52-0.867-1.214-1.562
Liquide middelen en kortetermijnbeleggingen 7,388.8216,993.0337,016.0325,934.6764,786.4045,393.4325,017.6724,497.3313,815.3863,116.4073,545.933,131.0792,404.9681,813.0462,732.3861,487.621,230.184
Nettovorderingen 5,165.2035,870.7985,233.4974,958.8824,659.5286,114.2555,774.4775,437.9544,522.7484,341.0953,978.1873,541.3133,477.3733,517.4963,500.4233,593.8123,483.175
Voorraad 1,024.018952.814872.739935.841,100.614836.8721,013.026770.346839.846766.351796.496601.34674.006649.987639.443986.138766.502
Overige vlottende activa 682.07571.393514.789750.982975.126713.899644.851745.734879.175962.521845.335804.703611.439496.28476.024594.702579.788
Totaal vlottende activa 14,260.11214,388.03813,637.05712,580.3811,521.67213,058.45812,450.02611,451.36510,057.1559,186.3749,165.9488,078.4357,167.7866,476.8097,348.2766,662.2726,059.649
Niet-vlottende activa:
Materiële vaste activa, netto 10,581.47410,305.76610,476.97910,633.86210,448.58710,111.81210,010.2569,652.2759,558.25811,053.74211,153.38411,824.09911,546.3910,929.76511,200.48411,641.63411,988.994
Goodwill 00000.9150.9560.7170000000000
Immateriële activa 131.603141.28184.43165.83916202419.67919.21216.46214.91313.84200000
Goodwill en immateriële activa 131.603141.28184.43165.83916.91520.95624.71719.67919.21216.46214.91313.84215.88415.04815.90917.85732.13
Langetermijnbeleggingen 3,635.1082,564.9472,545.0892,746.6452,107.6262,554.9012,954.1292,819.5082,387.9482,625.3952,110.4621,855.9071,484.3711,454.4651,423.7071,277.8051,852.302
Belastingvorderingen 16.994480.458450.864470.61934.2251,190.779405.782245.921365.995120.854307.646232.046349.191420.727407.401312.174159.339
Overige niet-vlottende activa 852.3507.389612.742767.249599.222558.92528.739494.608510.007513.241698.378743.545751.175803.331795.597789.097843.504
Totaal niet-vlottende activa 15,217.47913,999.84114,170.10514,684.20514,106.57514,437.36813,923.62313,231.99112,841.4214,329.69414,284.78314,669.43914,147.01113,623.33613,843.09814,038.56714,876.269
Totaal activa 29,477.59128,387.88127,807.16527,264.58625,628.2527,495.82926,373.65124,683.35722,898.57623,516.06823,450.73222,747.87521,314.79720,100.14521,191.37420,700.83920,935.918
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 3,674.2993,614.1253,210.9523,376.5743,483.1673,885.4053,340.4353,173.1882,741.2812,806.5722,856.9972,337.6342,406.6472,372.4852,056.8492,742.3142,715.855
Kortlopende schulden 14.37215.00219.65421.1637.456252.93210.3515.03587.3471,075.6661,571.4051,734.31,639.4911,697.2232,882.2231,690.2231,767.5
Belastingschulden 260.99184.493261.948281.139110.73259.818379.056503.489694.338576.307703.876373.08209.32380.011233.01436.70748.222
Uitgestelde opbrengsten 41.995424.993530.948675.699788.2682,403.929657.056823.489974.733851.307981.876604.08407.923259.131412.164217.301297.022
Overige kortlopende verplichtingen 1,492.0811,608.6431,525.5911,461.531,245.5391,658.5841,279.5481,099.11,173.068996.172736.027703.91725.263719.718808.324984.621926.636
Totaal kortlopende verplichtingen 5,222.7475,662.7635,287.1455,534.9665,524.438,200.855,287.3895,110.8075,476.4295,729.7176,146.3055,379.9245,179.3245,048.5576,159.565,634.4595,707.013
Langlopende verplichtingen:
Langetermijnschulden 10.95825.20540.207304.862257.70420.161269.438279.789394.8191,258.9392,427.0213,627.6423,281.4872,900.2692,977.4933,599.7163,444
Uitgestelde opbrengsten niet-vlottend 0.9582,394.6872,289.8382,457.9922,079.0122,005.842,001.1791,967.0961,969.2291,840.2311,922.4011,497.3641,420.1041,384.3991,223.93975.077940.671
Uitgestelde belastingverplichtingen niet-vlottend 1,473.0431,469.871,466.7391,470.6931,466.7391,469.6131,478.4821,480.8041,466.7391,546.8381,713.4591,995.3171,995.3172,277.8492,277.8492,277.8492,278.41
Overige niet-vlottende verplichtingen 2,960.065354.279374.433381.552379.102375.503393.829390.327390.973395.917416.146438.535461.94485.471532.731525.917497.66
Totaal niet-vlottende verplichtingen 4,445.0244,244.0414,171.2174,615.0994,182.5573,871.1174,142.9284,118.0164,221.765,041.9256,479.0277,558.8587,158.8487,047.9887,012.0037,378.5597,160.741
Totaal passiva 9,667.7719,906.8049,458.36210,150.0659,706.98712,071.9679,430.3179,228.8239,698.18910,771.64212,625.33212,938.78212,338.17212,096.54513,171.56313,013.01812,867.754
Eigen vermogen:
Preferente aandelen 693.0320000000000000000
Gewone aandelen 2,4492,4492,4492,4492,4492,4492,4492,4492,4492,4492,4492,4492,4492,4492,4492,4492,449
Ingehouden winsten 11,330.00510,854.25610,823.7479,455.0588,477.8377,737.0919,142.3387,717.4795,764.5294,476.82,939.5931,652.7771,131.314967.5391,006.394821.734840.52
Overige gereserveerde algehele resultaten 4,703.3043,968.3063,866.2954,148.9953,784.1574,027.3024,141.1784,076.4883,774.5863,9073,3113,77500000
Overige totale aandeelhoudersvermogen 634.4751,209.5151,209.7611,210.0691,210.2691,210.4691,210.8181,211.5671,212.2721,212.7521,422.1651,422.774,908.9234,587.0614,564.4174,417.0874,778.644
Totaal eigen vermogen van aandeelhouders 19,809.81618,481.07718,348.80317,263.12215,921.26315,423.86216,943.33415,454.53413,200.38712,045.55210,121.7589,299.5478,489.2378,003.68,019.8117,687.8218,068.164
Totaal eigen vermogen 19,809.81618,481.07718,348.80317,114.52115,921.26315,423.86216,943.33415,454.53413,200.38712,744.42610,825.49,809.0938,976.6258,003.68,019.8117,687.8218,068.164
Totaal passiva en aandeelhoudersvermogen 29,477.58728,387.88127,807.16527,264.58625,628.2527,495.82926,373.65124,683.35722,898.57623,516.06823,450.73222,747.87521,314.79720,100.14521,191.37420,700.83920,935.918