Toyo Tanso Co., Ltd.

TSE:5310.T

4915 (JPY) • At close November 8, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 15,13215,43715,36413,63218,09917,88515,90612,24211,627.04511,665.8628,4977,209.1879,136.9589,283.8917,921.99314,035.95213,642.89914,775.34311,203.453,187.43
Kortetermijnbeleggingen 2,9992,9992,9992,999-420-283-454-341-382.909-170.05500000-8.64-13.2-17.9-20.634-22.713
Liquide middelen en kortetermijnbeleggingen 18,13118,43618,36316,63118,09917,88515,90612,24211,627.04511,665.8628,4977,209.1879,136.9589,283.8917,921.99314,035.95213,642.89914,775.34311,203.453,187.43
Nettovorderingen 17,43316,60614,19811,38914,19516,08615,19912,75613,989.18614,326.85312,98811,808.2114,026.59513,754.73311,299.7669,077.54911,908.73410,845.3019,076.6598,115.155
Voorraad 21,80518,41516,02215,67415,41614,68515,47016,13117,008.22818,209.38118,48118,547.36315,688.56312,454.92410,910.619,520.4257,224.5686,573.7376,061.2395,292.431
Overige vlottende activa 730404426559233316125233185.6637.4931,036884.148706.687772.017867.962974.72206.36658.547102.10765.431
Totaal vlottende activa 58,09953,86149,00944,25347,94348,97246,70041,36242,810.12244,209.58941,00238,448.90839,558.80336,265.56531,000.33133,608.64632,982.56132,852.92826,443.45516,660.447
Niet-vlottende activa:
Materiële vaste activa, netto 33,24331,13831,04628,44824,87423,50224,64225,42127,016.74428,850.12629,89231,406.85529,210.3326,162.21628,290.77523,208.34121,269.80619,633.0115,804.01812,811.101
Goodwill 20000000000000000000
Immateriële activa 4882892831982247298851,0111,174.7171,285.4331,0511,055.821894.851785.261921.714379.167376.647287.026259.072100.311
Goodwill en immateriële activa 4902892831982247298851,0111,174.7171,285.4331,0511,055.821894.851785.261921.714379.167376.647287.026259.072100.311
Langetermijnbeleggingen 503-2,649-2,615-2,657746603968693726.758497.3731,903286.767189.214199.072219.511289.541971.747423.241290.421266.896
Belastingvorderingen 1,4911,4909771,1141,271197363740.564284.7210720.086449.716316.1536.94733.933333.27560.908798.24924.418
Overige niet-vlottende activa 2,7865,3014,9524,7161,0219809901,2691,222.004704.3263811,590.5321,597.8041,463.3771,316.9511,301.4331,772.5251,073.5321,517.5151,704.208
Totaal niet-vlottende activa 38,51335,56934,64331,81928,13626,01127,52128,43130,180.78731,621.97933,22735,060.06132,341.91528,926.07630,785.89825,212.41524,723.99521,977.71718,669.26615,806.934
Totaal activa 96,61289,43283,65576,07576,08274,98674,22369,79772,990.91275,831.5774,22973,508.97171,900.71865,191.64161,786.22958,821.06157,706.55654,830.64545,112.72132,467.381
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 3,5492,3282,2251,5871,6852,2752,1131,9312,408.822,533.6552,3931,538.1348,488.3025,489.0665,710.3125,146.2125,003.5763,989.3652,551.6842,126.53
Kortlopende schulden 2072851912152274028311,4771,453.6752,988.8214,5784,527.7952,267.8461,406.0131,682.141,323.951,277.4012,064.9952,923.8813,500.883
Belastingschulden 1,6751,7348523656141,02892695403.31532.540147.232867.1011,495.6180.746290.192969.1071,731.70800
Uitgestelde opbrengsten -20703,5242,5953,0293,5442,9831,8832,562.9353,782.64803,430.0091,856.0132,399.351894.6921,082.5021,901.2582,679.6342,944.2962,565.901
Overige kortlopende verplichtingen 7,5628,5344,2054,0534,6173,7645,9424,8574,913.4672,641.9524,5561,587.5792,117.591,788.492,633.6411,595.891,279.7852,127.7951,573.552887.517
Totaal kortlopende verplichtingen 11,11111,14710,1458,4509,5589,98511,86910,14811,338.89711,947.07611,52711,083.51714,729.75111,082.9210,920.7859,148.5549,462.0210,861.7899,993.4139,080.831
Langlopende verplichtingen:
Langetermijnschulden 00839681033624871,215.3962,003.9853,1333,910.739470.349665.014431.07470.74423.981,231.022,186.1243,224.785
Uitgestelde opbrengsten niet-vlottend 004194054002,417408402401.554425.030926.776873.448936.999592.593329.736147.111197.369705.4011,556.254
Uitgestelde belastingverplichtingen niet-vlottend 129125124126132157282203197.163160.610175.208286.9266.934384.597351.606197.08217.473209.228198.181
Overige niet-vlottende verplichtingen 846961704436220-1,772318378350.564376.4991,019446.089475.322491.41496.925313.58952.767936.401840.87524.192
Totaal niet-vlottende verplichtingen 9751,0861,2551,0068209051,3701,4702,164.6772,966.1244,1525,458.8122,106.0192,360.3571,905.1891,065.6621,720.9382,582.2633,941.6285,003.412
Totaal passiva 12,08612,23311,4009,45610,37810,89013,23911,61813,503.57414,913.215,67916,542.32916,835.7713,443.27712,825.97410,214.21611,182.95813,444.05213,935.04114,084.243
Eigen vermogen:
Preferente aandelen 00000000000000000000
Gewone aandelen 7,9477,9477,9477,9477,9477,9477,8107,6927,692.5757,692.5757,6927,692.5757,692.5757,692.5757,692.5757,692.5757,692.5757,692.5755,000.0751,090.075
Ingehouden winsten 61,71055,67251,74848,33146,71744,82140,53638,03437,932.70638,013.13936,92437,450.66638,179.89335,169.22131,884.33930,856.7928,558.30523,522.91119,223.42116,531.261
Overige gereserveerde algehele resultaten 5,2643,9783,0257505578272,2611,73017,167.673,9992,619000000000
Overige totale aandeelhoudersvermogen 9,5509,5499,4839,5489,7309,7319,5949,474-4,560.569,474.8869,47610,134.9277,660.8787,669.0038,254.7848,855.459,355.499,770.8836,636.865505.083
Totaal eigen vermogen van aandeelhouders 84,47177,14672,20366,57664,95163,32660,20156,93058,232.39159,179.656,71155,278.16853,533.34650,530.79947,831.69847,404.81545,606.3740,986.36930,860.36118,126.419
Totaal eigen vermogen 84,52477,19972,25566,61965,70464,09660,98458,17959,487.33860,918.3758,55056,966.64255,064.94851,748.36448,960.25548,606.84546,523.59841,386.59331,177.6818,383.138
Totaal passiva en aandeelhoudersvermogen 96,61289,43283,65576,07576,08274,98674,22369,79772,990.91275,831.5774,22973,508.97171,900.71865,191.64161,786.22958,821.06157,706.55654,830.64545,112.72132,467.381