Nippon Hume Corporation

TSE:5262.T

1295 (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 14,304.06912,462.41913,065.05612,328.24610,376.52911,051.2518,838.7178,892.9258,343.3757,549.2329,269.8626,410.5384,981.4545,657.8416,388.3744,857.8673,414.209
Kortetermijnbeleggingen 87.309-248.369-264.675-325.638-237.443-285.244-145.183-193.108-243.134-290.493-333.852-411.132-477.0320000
Liquide middelen en kortetermijnbeleggingen 14,391.37812,462.41913,065.05612,328.24610,376.52911,051.2518,838.7178,892.9258,343.3757,549.2329,269.8626,410.5384,981.4545,657.8416,388.3744,857.8673,414.209
Nettovorderingen 13,362.58510,003.53910,284.3368,770.48511,88712,505.84615,238.58613,814.40911,884.37213,095.20212,446.24113,297.14711,585.5719,481.5978,956.21212,216.27812,911.857
Voorraad 4,212.8084,115.9963,311.6583,073.4512,952.6572,558.6612,415.3732,503.4131,991.5822,773.8962,122.8432,188.8312,172.6431,996.3492,097.2343,988.713,872.132
Overige vlottende activa 590.1632,351.782264.595194.609153.438269.566242.826171.898330.806417.384334.494166.364192.148243.065376.186241.908181.707
Totaal vlottende activa 32,556.93428,933.73626,925.64524,366.79125,369.62426,385.32426,735.50225,382.64522,550.13523,835.71424,173.4422,062.8818,931.81617,378.85217,818.00621,304.76320,379.905
Niet-vlottende activa:
Materiële vaste activa, netto 9,636.8399,460.2519,278.8949,327.9999,265.419,228.3678,724.2068,987.8679,159.599,199.6327,823.4917,620.3867,790.3518,236.4698,491.6889,078.6389,917.515
Goodwill 00000000000000000
Immateriële activa 184.893190.637176.286188.238119.91101.36119.088137.543141.008103.36668.1693.916104.27697.98860.16870.21175.995
Goodwill en immateriële activa 184.893190.637176.286188.238119.91101.36119.088137.543141.008103.36668.1693.916104.27697.98860.16870.21175.995
Langetermijnbeleggingen 19,424.95116,38515,72716,52614,21113,61713,296.15512,943.66412,002.65512,901.4910,596.56910,240.4769,614.7578,803.761000
Belastingvorderingen 9.42110.58414.8099.98312.05413.6356.8476.2766.4067.5519.1019.7396.0799.9000
Overige niet-vlottende activa 266.001-0.493-0.793-0.6080.8560.019153.00843.359-2.521-39.855-99.217159.039360.335498.2658,618.4378,741.2749,353.556
Totaal niet-vlottende activa 29,522.10526,045.97925,196.19626,051.61223,609.2322,960.38122,299.30422,118.70921,307.13822,172.18418,398.10418,123.55617,875.79817,646.38317,170.29317,890.12319,347.066
Totaal activa 62,079.03954,979.71752,121.84450,418.40548,978.85749,345.70749,034.80647,501.35443,857.27346,007.89842,571.54440,186.43636,807.61435,025.23534,988.29939,194.88639,726.971
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 11,527.35810,145.2528,517.4948,113.08710,130.99610,664.711,617.6411,348.1579,612.88911,027.4349,500.7568,989.6968,054.5137,348.4377,509.26510,407.9611,076.779
Kortlopende schulden 1,497.7851,070.553982.028928.055944.4691,230.2611,221.481,212.2691,214.431,622.8121,594.5371,480.3871,439.8661,603.3631,987.6442,498.9142,597.905
Belastingschulden 533.074192.212503.811327.912260.525432.87438.8476.049181.15441.781509.483607.31378.443290.43445.908382.916373.055
Uitgestelde opbrengsten 533.074381.979696.981500.812437.431615.62620.908691.829369.714634.0641,553.1631,529.4711,353.029439.31199.763684.603562.184
Overige kortlopende verplichtingen 2,097.8581,341.3161,293.2981,065.4784.1471,060.493895.133859.129996.2851,112.422767.734614.285372.765754.4181,106.1511,290.441932.096
Totaal kortlopende verplichtingen 15,656.07512,939.111,489.80110,607.35412,297.04313,571.07414,355.16114,111.38412,193.31814,396.73213,416.1912,613.83911,220.17310,145.52810,802.82314,881.91815,168.964
Langlopende verplichtingen:
Langetermijnschulden 25.0300000000000000.8062.01614.161
Uitgestelde opbrengsten niet-vlottend -000000000000001,829.5812,094.0322,266.715
Uitgestelde belastingverplichtingen niet-vlottend 1,340.422530.2486.32683.777188.766392.066592.652562.518363.487820.1821,062.4931,075.395905.4461,083.1361,019.329981.2271,226.276
Overige niet-vlottende verplichtingen 3,458.1823,309.0743,210.213,106.6273,333.3563,314.423,299.6393,268.6673,226.7232,743.9652,710.2192,464.5442,448.4662,396.21284.037647.504631.156
Totaal niet-vlottende verplichtingen 4,823.6343,839.2743,696.533,790.4043,522.1223,706.4863,892.2913,831.1853,590.213,564.1473,772.7123,539.9393,353.9123,479.3463,133.7533,724.7794,138.308
Totaal passiva 20,479.70916,778.37415,186.33114,397.75815,819.16517,277.5618,247.45217,942.56915,783.52817,960.87917,188.90216,153.77814,574.08513,624.87413,936.57618,606.69719,307.272
Eigen vermogen:
Preferente aandelen 0000000096.33700000000
Gewone aandelen 5,251.45,251.45,251.45,251.45,251.45,251.45,251.45,251.45,251.45,251.45,251.45,251.45,251.45,251.45,251.45,251.45,251.4
Ingehouden winsten 30,366.14128,993.63827,871.60326,366.0824,715.81723,126.66221,509.29920,272.82519,309.78617,955.4814,691.76913,082.47611,488.14411,038.29610,621.5149,992.58110,005.227
Overige gereserveerde algehele resultaten 3,355.1341,307.7891,075.311,464.47231.645631.349783.204604.566-96.3378381,2481,51700000
Overige totale aandeelhoudersvermogen 2,155.8192,346.572,428.242,609.562,615.3272,825.6013,026.1973,225.0563,322.8783,826.5024,031.0684,036.875,365.5444,997.165,094.8125,284.3835,115.488
Totaal eigen vermogen van aandeelhouders 41,128.49437,899.39736,626.55335,691.5132,814.18931,835.01230,570.129,353.84727,884.06427,871.38225,222.23723,887.74622,105.08821,286.85620,967.72620,528.36420,372.115
Totaal eigen vermogen 41,599.32638,201.34336,935.51336,020.64733,159.69232,068.14730,787.35329,558.78528,073.74528,047.01925,382.64224,032.65822,233.52921,400.36121,051.72320,588.18920,419.699
Totaal passiva en aandeelhoudersvermogen 62,079.03554,979.71752,121.84450,418.40548,978.85749,345.70749,034.80547,501.35443,857.27346,007.89842,571.54440,186.43636,807.61435,025.23534,988.29939,194.88639,726.971