Maruwa Co., Ltd.

TSE:5344.T

48500 (JPY) • At close December 27, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 55,25049,79544,62134,088.96729,334.34922,627.40321,994.56818,027.04715,379.53314,224.59313,361.61911,312.20710,649.4668,922.749,305.2467,504.8536,263.1356,5937,899
Kortetermijnbeleggingen -7-1,048-1,060-1,063.49-1,106.866-1,186.561-1,002.008-1,020.702-1,023.526-1,003.155-1,021.57-899.6540000000
Liquide middelen en kortetermijnbeleggingen 55,25049,79544,62134,088.96729,334.34922,627.40321,994.56818,027.04715,379.53314,224.59313,361.61911,312.20710,649.4668,922.749,305.2467,504.8536,263.1356,5937,899
Nettovorderingen 15,93312,85515,15011,093.85210,829.45311,740.39510,836.4459,237.4688,612.3868,919.0799,230.1028,537.5136,370.6686,528.6345,301.9834,295.5126,646.80700
Voorraad 9,7838,9397,9866,383.1497,212.1819,776.5947,668.5046,871.7197,287.4357,132.0966,025.335,493.3435,591.0873,670.7072,728.2313,068.5734,137.2023,5592,869
Overige vlottende activa 2,5193,0452,3922,149.5491,757.3141,430.6881,171.2861,076.8941,118.8671,130.641,164.592911.327935.15532.496407.322421.731649.9518,4697,820
Totaal vlottende activa 83,48574,63470,14953,714.56749,133.29745,575.0842,143.56435,213.12832,398.22131,406.40829,781.64326,254.3923,546.37119,654.57717,742.78215,290.66917,697.09518,62118,588
Niet-vlottende activa:
Materiële vaste activa, netto 36,73331,04623,52422,332.37819,043.70616,347.5614,092.31213,126.23613,798.31214,991.95116,744.26816,524.62216,507.11313,259.26912,116.19812,639.51613,928.6512,72612,087
Goodwill 0000195.975249.423020.741135.905426.091716.2761,006.4610000000
Immateriële activa 318284298260.512254.673283.871274.885278.983433.269450.484410.114367.8330000000
Goodwill en immateriële activa 318284298260.512450.648533.294274.885299.724569.174876.5751,126.391,374.294221.425220.871232.522185.657225.41200
Langetermijnbeleggingen 1,3751,5821,2901,3121,3461,5271,406.3081,330.0861,257.1221,435.4911,285.5841,142.633317.573336.989426.952454.739445.200
Belastingvorderingen 487484637440.423707.858644.164156.172177.88296.556272.254217.60172.81685.4615.61711.7216.024102.572149152
Overige niet-vlottende activa 117-1-10.0650.1190.421487.378446.805430.389462.529413.993241.222130.103162.096158.587162.5451.2542,3762,217
Totaal niet-vlottende activa 39,03033,39525,74824,345.37821,548.33119,052.43916,417.05515,380.73316,151.55318,038.819,787.83619,355.58717,261.67413,994.84212,945.97913,458.43615,153.08815,25114,456
Totaal activa 122,515108,03195,89978,059.94770,681.63164,627.52258,560.62150,593.86148,549.77649,445.20949,569.47945,609.97740,808.04533,649.41930,688.76128,749.10532,850.18333,87233,044
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 5,3122,9753,4444,3361,898.7142,827.2882,428.7843,202.0693,068.2823,989.4353,639.2023,085.9912,230.4832,105.6091,726.941,351.5891,707.9952,2892,590
Kortlopende schulden 400-1429663669000022.8307.6651,176.817897.422654.581,461.456673.277356.73394.675902.344688679
Belastingschulden 2,8512,6844,7311,986.715827.8641,590.5512,061.6841,024.873589.934393.528896.412607.325739.147597.604264.55130.48110.184256210
Uitgestelde opbrengsten 03,7225,6682,735.7711,499.813001,510.7591,117.534857.0971,342.1281,002.8731,075.411965.132588.945275.474467.076614544
Overige kortlopende verplichtingen 4,2586,4435,8122,923.4045,674.2354,442.2754,144.9192,513.8812,352.1642,154.5652,172.2872,113.1551,605.8621,596.781,242.6371,034.2531,547.4811,6501,502
Totaal kortlopende verplichtingen 12,82112,91014,9539,612.1199,300.8138,860.1148,635.3876,763.6236,318.0457,714.3457,605.3236,461.0516,036.9484,973.273,590.8582,810.9974,268.0044,8834,981
Langlopende verplichtingen:
Langetermijnschulden 04007331,599.9681,200000115.409253.3931,159.494-87.582111.345116.029120.713125.397130.081135188
Uitgestelde opbrengsten niet-vlottend 0000000013.527026.256876.543000000300
Uitgestelde belastingverplichtingen niet-vlottend 127141153160.873351.419452.364495.245187.31176.9730175.277103.60617.462200.974157.908191.072247.94723462
Overige niet-vlottende verplichtingen 366367381342.809375.83360.543400.433325.662325.38477.572587.271238.832235.464253.55258.859337.658429.781713956
Totaal niet-vlottende verplichtingen 4939081,2672,103.651,927.249812.907895.678512.973531.289730.9651,948.2982,007.942364.271570.553537.48654.127807.8091,0821,506
Totaal passiva 13,31213,81816,22011,715.76911,228.0629,673.0219,531.0657,276.5966,849.3348,445.319,553.6218,468.9936,401.2195,543.8234,128.3383,465.1245,075.8135,9656,487
Eigen vermogen:
Preferente aandelen 093,83779,730886.9381,472.843747.364584.6791,259.314500.338004630000000
Gewone aandelen 8,6468,6468,6468,646.728,646.728,646.728,646.728,646.728,646.728,646.728,646.728,646.728,646.726,709.856,709.856,709.856,709.856,7106,710
Ingehouden winsten 87,57373,38159,27446,796.21140,526.72335,249.65829,048.23824,022.96321,654.33919,824.32519,372.45117,181.11315,510.13113,750.46512,051.33211,252.05312,324.97211,52110,522
Overige gereserveerde algehele resultaten 0376-51-886.938-1,472.843-747.364-584.679-1,259.314-500.33862695-4630000000
Overige totale aandeelhoudersvermogen 12,98412,18611,81010,015.0628,807.28310,310.75910,749.9199,388.26811,899.72111,899.87111,900.24210,849.2210,249.3069,068.0737,799.0627,322.0778,739.3729,6769,325
Totaal eigen vermogen van aandeelhouders 109,20394,21379,67966,344.17859,453.56954,954.50149,029.55643,317.26541,700.44240,998.60640,014.737,140.05334,406.15828,105.18426,560.24425,283.98127,774.19427,90726,557
Totaal eigen vermogen 109,20394,21379,67966,344.17859,453.56954,954.50149,029.55643,317.26541,700.44240,999.89940,015.85837,140.98434,406.82628,105.59626,560.42325,283.98127,774.3727,90726,557
Totaal passiva en aandeelhoudersvermogen 122,515108,03195,89978,059.94770,681.63164,627.52258,560.62150,593.86148,549.77649,445.20949,569.47945,609.97740,808.04533,649.41930,688.76128,749.10532,850.18333,87233,044