JFE Holdings, Inc.

TSE:5411.T

1680 (JPY) • At close April 28, 2025
Overzicht | Financiële gegevens

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

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Operationele Activiteiten:
Nettowinst 57,61614,96927,51634,49870,98875,48079,883-3,52032,55667,842113,40484,690110,624107,77985,44265,72550,133-70,348-50,440-256,073-18215,26827,5144,50761,30663,36280,1386,01851,58229,92057,11834,64141,7153,305-11,722-3,6757,40412,57917,34932,95954,04636,84215,51026,29328,30024,82422,96517,68820,431-16,655-2,53532,42339,27146,10881,74646,6139,853-67,26013,02561,782
Afschrijvingen & Amortisatie 00066,13064,50673,64069,82573,94866,09664,09565,46166,68663,72860,32961,54064,06759,72258,18954,37564,41157,19356,33753,63650,23662,86835,23547,9040000000000000000000000066,07961,29260,71558,58065,43263,60760,63158,70465,05564,129
Uitgestelde Inkomstenbelasting 000000000000000000000000000000000000000000000000000000000000
Aandelen Gebaseerde Vergoedingen 000000000000000000000000000000000000000000000000000000000000
Verandering in Werkkapitaal 000215,401-14,493122,857-91,503121,829-3,752-13,431-208,066-52,256-199,820-31,216401-82,570-57,58226,75983,67618,78725,05232325,815-73,4798,251-4,5599,4630000000000000000000000021,268-67,514-34,120-45,380-5,717-20,87761,228159,223186,149-103,211
Vorderingen 0009,215-47,81661,3728,36847,109-42,74232,736-17,767-15,543-116,74823,18485,774-95,140-68,561-12,970105,560-4,590-12,26713,90489,3100000000000000000000000000000000000000
Voorraden 000-15,865-16,56952,75914,45546,34818,926-35,367-154,486-72,129-149,758-123,589-85,973-16,093-21,51078,73845,43443,41512,3037,492-20,651-26,24246,183-70,917-31,5490000000000000000000000055,182-33,010-33,383-31,06471,52119,67077,07532,356131,366-109,660
Crediteuren 00011,54651,39310,014-116,51629,00921,675-9,339-34,35032,05270,03471,1681,55427,44600000000000000000000000000000000000000000000
Overig Werkkapitaal 000210,505-1,501-1,2882,190-637-1,611-1,461-1,46335,41666,68669,18986,374-66,477-36,072-51,97938,242-24,62812,749-7,16946,466-47,237-37,93266,35841,01200000000000000000000000-33,914-34,504-737-14,316-77,238-40,547-15,847126,86754,7836,449
Overige Niet-Contante Posten -57,616-14,969-27,516124,396-161,47045,510-169,317235,468-128,78954,597-141,941151,983-72,913-39,588-98,67184,041-23,47551,654-66,652324,934-74,315-13,565-64,065106,330-98,461-19,365-65,485-6,018-51,582-29,920-57,118-34,641-41,715-3,30511,7223,675-7,404-12,579-17,349-32,959-54,046-36,842-15,510-26,293-28,300-24,824-22,965-17,688-20,43116,65518,6438,48689,619-50,33241,424-85,986-43,180-35,893-6,9567,010
Kasstroom uit Operationele Activiteiten 000313,061-40,469317,487-111,112427,725-33,889173,103-171,142251,103-98,38197,30448,712131,26328,79866,25420,959152,0597,74858,36342,90087,59433,96474,67372,02000000000000000000000000103,45534,687155,4858,976182,8853,35788,532114,774257,27329,710
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa 000-99,185-80,132-78,021-72,492-98,139-59,809-72,285-58,964-83,774-69,598-78,376-81,580-77,394-61,268-78,957-90,504-109,435-78,789-84,702-79,916-98,51100-63,775000000000000000000000000000000000
Netto Overnames 0007,8531,1082071,16111,3033974,3331,6402,2932634411128,3247742482017401,5128372683840085000000000000000000000000000000000
Aankoop van Beleggingen 000-3,272-1,790-6,231-4,890-1,918-3,331-595-3,228-468-1,138-1,882-2,069-2,193-1,813-373-1,352-27,408-3,231-2,202-2,458-382-975-3,944-3,09300000000000000000000000-18,041-19,069-91,167-2,026-1,252-34,444-11,000-5,756-10,337-58,393
Verkoop/verval van Beleggingen 0002,4811,6304,2435,9274,2108,1298,3912093,89118,34410,28193311,50783,08518,71915,58722,790271975168941809694,846000000000000000000000002788563245596,319202481360
Overige Investeringsactiviteiten 000-2,515-5,2832,2641,6783,230-16,757-1,336212-188231502-5,547901-10,723593417-307706-2,7785,255182-86,057-64,66651200000000000000000000000-52,508-34,826-43,314-42,330-52,166-42,523-42,917-54,228-95,675-67,714
Kasstroom uit Investeringsactiviteiten 000-94,638-84,467-77,538-68,616-81,314-71,371-61,492-60,131-78,246-52,161-69,475-88,152-38,85510,055-59,770-75,651-113,620-79,775-88,648-76,335-97,433-86,852-67,641-61,42500000000000000000000000-70,271-53,810-133,849-44,352-52,859-70,648-53,715-59,503-105,976-126,107
Financieringsactiviteiten:
Schuldaflossingen 000-78,195-32,199-187,044210,750-349,582159,399-116,619307,157-173,393199,579-7,27318,384-118,596-26,43254,31574,36118,80498,57938,18383,4507,16480,9498,49827,15300000000000000000000000-30,19122,187-23,36858,814-134,19779,566-83,539-159,039-22,272229,106
Uitgifte van Gewone Aandelen 000111114,559002000000000000000000000000000000000000000000000000000
Terugkoop van Gewone Aandelen 000-22-20-22-12-20-19-11-10-22-21-13-9-25-32-5-3-22-31-9-11-32-51-1,528-1600000000000000000000000-223-461-56-39-78-50-79-80-8,280-46,604
Uitgekeerde Dividenden 0000-31,8280-17,4470-29,0800-46,1180-34,5900-5,76500000-11,532-18-28,849-84-25,978-100-28,84600000000000000000000000-49-10,710-56-10,719-25-120-69-16,107-116-33,219
Overige Financieringsactiviteiten 000-21,47219,154-8,730-12,971-5,651-6,280-11,011-13,212-11,439-8,535-21,354-12,976-12,175-13,32424,266-12,442-56,360-15,538-10,479-12,303-2,320-31,323-1,316-3,05700000000000000000000000-2,63323,817-1,129-2,111-1,907-1,319-1,780-2,794-1,670-1,680
Kasstroom uit Financieringsactiviteiten 000-99,688-44,882-81,237180,320-355,253124,022-126,761247,817-184,854156,433-28,640-366-130,796-39,78878,57661,916-37,57871,47827,71342,2874,72848,5033,417-4,76600000000000000000000000-33,09634,833-24,60945,945-136,20778,077-85,467-178,020-32,338147,603
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0006,230-2,480-22110,4026,937-13,0124,3589,5564,0652,684-9072384,803-552-1,220-279-4351,480-1,712-1,509-109548194-24500000000000000000000000458-924-3,028-3,530-1,103-1,311-2,371-6515,730-11,298
Netto Kasstroomverandering 000124,964-170,584158,46710,841-1,7564,065-10,79126,100-7,9348,578-1,720-39,567-33,586-1,48683,8396,945427930-4,2857,344-5,220-3,90210,7105,5830000000000000000000000074914,785-6,1127,279-7,0779,235-52,920-123,501124,81939,907
Kaspositie aan het Einde van de Periode 000243,079118,115288,699130,232119,391121,147117,082127,873101,773109,707101,129102,849142,416176,002177,48893,64986,70486,27785,34789,63282,28887,50891,41080,7000000000000000000000000049,04348,29433,50939,62132,34239,41930,18483,104206,60581,786