NGK Spark Plug Co., Ltd.

TSE:5334.T

3997 (JPY) • At close September 19, 2024
Overzicht | Financiële gegevens

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

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Operationele Activiteiten:
Nettowinst 27,84814,32129,88629,44936,1279,71921,95027,23034,48525,92024,70015,70917,31315,30520,07413,4293,1936,45913,91110,38313,99610,74515,21713,71819,64910,68417,26715,46416,683-6,84619,15710,92711,5956,63218,371-32419,0779,98220,13711,40415,5088,79816,21012,48112,00711,3287,2244,5794,5983,7514,6703,9269,5523,8506,1887,7829,0015,9635,683543-1,807-45,780-4,666
Afschrijvingen & Amortisatie 9,93010,3569,96710,0149,47710,3009,4929,7789,6249,9829,4989,3549,1068,9598,7738,5878,3819,7517,7477,5656,8896,3926,1565,9065,5105,4915,3495,1754,9055,2544,9754,7754,5975,3284,2003,6313,6883,5363,4733,2113,1173,1992,9502,7752,6273,6393,1103,0313,0024,3023,8283,7303,5884,3984,1834,1144,0615,0644,7064,6554,56416,3958,434
Uitgestelde Inkomstenbelasting 000000000000000000000000000000000000000000000000000000000000000
Aandelen Gebaseerde Vergoedingen 000000000000000000000000000000000000000000000000000000000000000
Verandering in Werkkapitaal -7649,0481,8772,534-3,615-4,884-2,508-6,542-17,426-195-4,087-7,146-15,043-2,6291,498-7,708-8,5648,7571,615-573-7,375-2,367-3,117-2,773-6,5031,414-152-6,398-1,999-3,827-11,703-5,185311,0952,0462,279-3,828-2,069-4,988-3,196-1,516221-5,033444658-344-4,827-1,000-711-4,105-4,1622,680-9,3592,033-2,921-1,873-3,9734,774-7863,739-1,93313,5837,797
Vorderingen 770-1,7641,829-3,152-1,511-2,4427,918665769-1,250-8522,686-2,177812-693-21,5638,7384,1832,770603-4,840-469-1,2591,793-1,276-933-114-3,3312,502-7,679-2,450-4,939-2,647-4,3262,9561,203-1,000-2,169-3,1262,263-1,547-215366-342-4,4104,049-3742,038000000000000000
Voorraden 4,3379,2722,2742,4584,5034,045-10,643-7,366-16,8761,430-293-8,769-10,910-5,7611237,716-6,937-2,0391,346-1,566-4,301-740-5,598-2,322-7,394-1,787-1,660-2,474-2,1741,453-3,271-1,299-3,231645-1,093-953-548-3,4511,390-2,541-706-1,082-310-4862,9412,04561-1,7201,173-2,267-3,100-7283,753-5,603-5,991-9415,631-2,9677484,153-6,3038,451910
Crediteuren -2,7643,313-2,1923,285-6,6551,208217795-2,077854-2,982-565-2,33600000000000000000000000000000000000000000000000000
Overig Werkkapitaal -3,107-1,773-34-5748-7,695-2,340-636758-375-2,942-1,063-4,1333,1321,375-15,424-1,62710,796269993-3,074-1,6272,481-4518913,2011,508-3,924175-5,280-8,432-3,8863,2624503,1393,232-3,2801,382-6,378-655-8101,303-4,723930-2,283-2,389-4,888720-1,884-1,838-1,0623,408-13,1127,6363,070-932-9,6047,741-1,534-4144,3705,1326,887
Overige Niet-Contante Posten 10,90511,383-12,641-5,121-24,99210,778-11,967742-31,466-8,135-7,537979-8,508778-7,9856,998-5,692504-11,9612,037-9,9182,322-10,4471,003-17,7071,881-2,021-41-7,99520,335-6,3934,818-2,7468,708-22,48117,790-9,7476,295-16,9727,549-18,8785,063-2,3701,706-7,039-2,356-2,5572,097-4,6193,605-1,389725-4,2633,263-2,1571,686-4,237612-30545-2,03728,356-2,534
Kasstroom uit Operationele Activiteiten 30,40235,21729,08936,87616,99725,91316,96731,208-4,78327,57222,57418,8962,86822,41322,36021,306-2,68225,47111,31219,4123,59217,0927,80917,85494919,47020,44314,20011,59414,9166,03615,33513,47721,7632,13623,3769,19017,7441,65018,968-1,76917,28111,75717,4068,25312,2672,9508,7072,2707,5532,94711,061-48213,5445,29311,7094,85216,4139,5739,482-1,21312,5549,031
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -11,253-8,344-11,933-7,619-7,561-6,298-5,425-6,164-6,439-5,808-6,796-7,485-7,754-7,159-7,990-7,814-6,610-12,676-12,843-14,101-13,940-15,150-14,777-14,173-9,406-10,404-9,520-8,000-10,973-8,914-7,933-8,739-10,971-13,409-13,097-8,764-8,790-8,450-10,118-7,838-11,575-10,767-7,639-10,314-10,037-8,690-4,736-2,825-4,208-3,718-3,451-2,639-3,090-2,482-2,349-1,275-1,950-1,127-1,953-1,711-2,839-7,127-4,447
Netto Overnames 1,915-400339111-583-558-22,390101,35617,418-749-3,295-813-543-676-422-998-710-374001,115-15,833-653-570271-483-264-341000-234204-237-30,451-7,168224-470-100-264119-200-285-133-444540-134-33-144-353118-80-2-286-55-42500070-1,299
Aankoop van Beleggingen -3,583-7,392-4,469-51,308-533-3,350-700-965-519-1,255-857-294-195-10,064-10,670-78-115-308-83-814-424-253-1232,000-3,122-555-3-48-231-1,913-3,918-4,258-7,623-9,924-36-161-41-37-541-5-1,400-5,229-9,951-10,670-400-4,182-196-1,193-3,415-1,327-4,961-3,603-25-5,258-2-11,406-5,048-9,288-2,198-558-1,101-295-293
Verkoop/verval van Beleggingen 8,326-2887513494,234-637,418-7043,4626,533-1,31513,2136,6036,1481,246997062,579-54001,17415,2501,9812,0008,584-8001,0033,909000489-1,457-4,9737,0016,93310,2016,2009,4992,7881,5005001,7981,3095142,0016,1004,0001,0002,8001,2701,5002,3614,0001,1064182,518000221,000
Overige Investeringsactiviteiten 3401971,102-581,2501,4094191,260866289-601-3,06189494781957774-2,8681,6177501,323-7731,601671661154-261,176129-2071,569-1,9601,2021,649513-1,4321,309-896-1,226-4631,606-590686-1,8501,0051,193-180-94551,103-313410-676713-4501,804-171-1,0791051,3121,074-2381,162
Kasstroom uit Investeringsactiviteiten -4,254-16,229-14,210-58,525-3,193-8,860-20,678-6,563-1,27417,177-8,7093,031-1,265-10,671-17,271-7,638-6,943-13,983-11,737-14,165-13,041-13,887-13,882-10,174-10,437-1,950-10,832-6,133-7,507-11,034-10,282-14,957-17,137-22,937-17,830-33,807-7,7571,042-6,1551,093-8,845-14,967-16,604-21,321-8,256-11,609-2,5711,939-3,201-3,086-5,960-4,531-2,273-4,7461,197-10,057-6,806-9,401-4,046-957-2,866-7,568-3,877
Financieringsactiviteiten:
Schuldaflossingen -22,610-137-61-1,145-10,015-569-334-218-5,850-3-2,225-10,000-8,000-3,606-30,000-12,469-44,562-4,962-30,0000-29,852-4,962-1000-19,8920000000-8,000-12-29,859000000000000000-810-149-2,661000-164-1,0680-3,163-2,511-1,140
Uitgifte van Gewone Aandelen 000000000-1,426010,49400-53600-2,8730000000000000005000000000000000020130001201411
Terugkoop van Gewone Aandelen -7,766-2,001-2,944-5,057-10-100-10-4940-1-600-5,001-5,0000-730-20-5,000-5,000-2-9200-1-2,659-7,3410-1-2-1-3-1-1-16-10-12-28-18-13-5-3-3-3-3-5-5-17-165-19-8-9-11-7-7-5-7-16
Uitgekeerde Dividenden -16,760-51-16,126-184-16,712-38-16,869-71-10,928-26-9,753-51-7,078-13-5,084-84-7,047-14-7,287-38-7,257-14-7,285-41-6,264-14-6,350-35-4,422-7-4,479-32-4,538-7-4,562-25-3,891-6-3,911-29-3,233-8-2,822-41-2,357-9-2,387-49-2,349-3-2,399-9-2,398-4-2,400-6-1,201-1-1,199-6-2-5-2,948
Overige Financieringsactiviteiten -3631-959-61-1,07029,271423-4753,88712,973-20,325356-6,57810,00024,06543,45097414,311-4,84829,5009,99115,254-29,48619,685-389-579-101-2313,3566,9153007,942-5129,813-5,4599,317-431-490-10,482-135-35-14329,825-225-437115-10,092-273-4193214112-51-121-307-205-110-493926,261-24-43
Kasstroom uit Financieringsactiviteiten -48,348-3,176-20,029-6,447-27,79828,664-16,781-764-12,891-1,455-6,780-30,870-14,722-6,592-25,62623,98136,403-11,8762,024-4,88622,1705,0157,967-29,5278,421-5,403-6,931-1,056-4,6533,348-223-7,0733,404-6625,249-5,4855,423-438-4,402-10,527-3,378-55-2,99329,766-2,595-451-2,275-10,144-2,625-47-2,390200-2,451-2,878-2,540-321-1,415-285-2,3213793,092-2,543-4,136
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 4,6753,435-9904335,1641,161-3,8134923,5233,4691,397-6585392,8601,121149258-2,2371,198-646-92029-1,2141,025-167-1,806494750880-1,0203,493-364-3,256-2,747-163-1,034305-9211,1741,201137-6911,689933282,352726-933648341-1,494-349898-601175-1,756-126293-547783392-2,096-1,199
Netto Kasstroomverandering 59,11119,212-6,140-27,663-6,35344,400-24,30524,373-15,42546,7648,483-9,602-12,5808,010-19,41737,79927,036-2,4702,797-28711,8028,248680-20,822-1,23410,3093,1747,7613176,210-975-7,061-3,512-3,9889,393-16,9527,16217,427-7,73210,735-13,8561,567-6,15025,945-2,2702,560-1,169-434-2,9074,760-6,8966,382-4,3105,3204,125-425-3,4967,0192,6599,689-596348-181
Kaspositie aan het Einde van de Periode 163,195180,684161,472167,612195,275201,628157,228181,533157,160172,585125,821117,338126,940139,520131,510150,927113,12886,09288,56285,76586,05274,25066,00265,32286,14487,37877,06973,89566,13465,81759,60760,58267,64371,15575,14365,75082,70275,54058,11365,84555,11068,96667,39973,54947,60449,87447,31448,48348,91751,82447,06453,96047,57851,88846,56842,44342,86846,36439,34536,68626,99727,59327,245