Sumitomo Metal Mining Co., Ltd.

TSE:5713.T

3216 (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 -16,88824,42822,07527533,58026,64627,13311,28049,52465,065104,041162,06273,70661,72759,93958,79738,69822,3413,54311,56231,10818,46517,9002,67413,48935,34337,86513,72445,75513,98032,33614,289-36,10110,208-6,936-11,028-43,03927,42326,335-5,00740,66836,90518,54719,23520,99916,75323,27131,07628,36410,19643,55130,87719,55529,41130,93925,46413,75212,621-30,527-24,476
Afschrijvingen & Amortisatie 20,07015,70616,70715,39614,12713,58313,11814,32313,21713,56812,20212,30411,64711,41311,09111,29911,36211,54611,52212,21810,91310,81011,4149,89110,50911,42611,71511,95311,89511,21911,79800000000000000000008,4218,1158,8179,2728,6309,4288,4328,2568,7338,512
Uitgestelde Inkomstenbelasting 000000000000000000000000000000000000000000000000000000000000
Aandelen Gebaseerde Vergoedingen 000000000000000000000000000000000000000000000000000000000000
Verandering in Werkkapitaal 5,50846,910-53,462-30,99556,21542,847-13,70524,181-39,284-24,735-64,750-13,833-13,924-19,797-42,413-12,077-45,082-22,48116,55043,782-26,40114,4381,317-3,617-2,30520,818-15,596-9,886-3,307-28,824-6,9390000000000000000000-24,454-14,63719,561-10,772-6,813-55,030-20,202-10,92485,48440,951
Vorderingen -8,59527,811-13,861-17,119-2,18517,684-2,07830,049-22,812-6,368-7567,639-26,391-3,332-6,176-9,084-30,577-4,45913,6318,862-19,80513,57024,19323,376-10,7532,341-11,023000000000000000000000000000000000
Voorraden 23,2841,277-39,433-36,60318,28930,52031,645-5,723-68,530-19,413-40,046-51,792-8,989669-32,605-20,025-16,393-21,062-13,17347,186-23,0133,6597,499-11,741-3,2479,929-9,5145,544-16,411-2,149-4,6290000000000000000000-10,659-17,3474,166-2,052-3,015-15,325-13,504-11,26918,54845,249
Crediteuren 00-12918,61751,123-18,615-49,58715,37831,70814,303-22,70043,87023,492-21,187-1,51229,66900000000000000000000000000000000000000000000
Overig Werkkapitaal -9,18117,822-394,110-11,01213,2586,315-15,52320,350-13,257-1,24830,32021,456-17,134-9,8087,948-28,689-1,41929,723-3,404-3,38810,779-6,1828,12494210,889-6,082-15,43013,104-26,675-2,3100000000000000000000-13,7952,71015,395-8,720-3,798-39,705-6,69834566,936-4,298
Overige Niet-Contante Posten -21,92113,071-5,07786,9423,66919,251-31,510-4,240650-4,088-50,572-87,065-22,352-19,946-25,070-20,710-2,334-8969,444-8,849-12,2905,045-4,887-1,2033,170-10,743-8,69211,983-31,67012,723-17,335-14,28936,101-10,2086,93611,02843,039-27,423-26,3355,007-40,668-36,905-18,547-19,235-20,999-16,753-23,271-31,076-28,364-10,196-2,574-6,732-7,264-8,68917,584-9,42319,352-7,91321,055-14,563
Kasstroom uit Operationele Activiteiten -13,231100,115-19,7575,721107,591102,327-4,96445,54424,10749,81092173,46849,07733,3973,54737,3092,64410,51041,05958,7133,33048,75825,7447,74524,86356,84425,29227,77422,6739,09819,860000000000000000000024,94417,62340,66919,22250,340-29,56121,3342,04084,74510,424
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -32,428-34,809-32,970-38,110-32,836-40,979-16,153-56,851-20,540-32,131-21,388-17,434-13,439-11,898-13,799-7,913-8,152-10,783-13,622-11,925-10,503-12,054-11,991-7,833-10,616-14,945-17,790-27,2931,673-19,186-9,0290000000000000000000-22,081-9,340-10,016-13,143-13,400-27,141-5,541-6,405-14,056-9,574
Netto Overnames -2,574-10,012-3,158-10,215-10,026-12,996-10,150-11,091-6,318-7,679-3,723109,262-2,641-3,282-89349,723-6,88315-5,332-35,495-1,486-459-42,705-3718,1041,048-7,168738-496-5,0280000000000000000000-2,5172101,578-1487500-234180-142
Aankoop van Beleggingen 00-967-2-1,863-9-267-3-86-277-6,300-43,102-46-18-19-1-3,465-873-17,062-2,739-2,691-3,231-6115,410-16,792-5,490-4,81822,707-33,3256,233-6,7360000000000000000000-6,051-6,346-1,923-6,521119-8,754-12,421-3,115-5,422-9,762
Verkoop/verval van Beleggingen 008,4401,4351,5695,9653380664824,18742,1714,619571,4701,4204,47210,9996,8573,22910,1311,6141,0524,1629,8841,0877,83310,610-12,66912,70621315,14300000000000000000002661582530700288,00017,006
Overige Investeringsactiviteiten 51,061-21,707-2,219-36,323-29,690-38,775-29,495-32,775-20,426-22,315-11,412-4,40211,523-9,9441,1355925662691-42510,309-7632,103-76,579298-498111,0294,0247,89215,5780000000000000000000-857115969-47181-4109912-140
Kasstroom uit Investeringsactiviteiten 16,059-66,528-30,874-83,215-72,846-86,794-56,032-99,914-46,722-38,215-65248,943-4,271-23,524-11,352-3,3499,361-11,056-27,349-10,290-36,766-16,482-6,796-111,823-26,0605,498-9,969-13,394-14,184-5,3449,9280000000000000000000-30,708-15,399-10,044-19,584-12,146-35,714-17,966-9,617-10,386-2,612
Financieringsactiviteiten:
Schuldaflossingen 21,571074,444-46,25316,837-6,49370,28663,72145,869-21,59526,946-51,53413,203-15,269-2,480-11,750-5,906-15,685-2,747-10,62211,16317,530-4,5167,561-1,618-17,639-8,057-40,614-2,140-6,726-41,493000000000000000000015,8782-3,1041,169-5,930-463-5,7433,2111,2272,576
Uitgifte van Gewone Aandelen 0000000-3,7463,7460000000000000000000000000000000000000000000000000-5158
Terugkoop van Gewone Aandelen 00000000000-29000-25000-19000-2500000000000000000000000000-260000000-21-10,018
Uitgekeerde Dividenden -13,4630-17,3100-9,6170-31,5980-24,7290-51,6570-31,0490-27,2030-6,0460-10,7160-10,7170-6,0450-14,015-1-18,1370-9,3770-3,31000000000000000000000-6,745-1-7,30700000-7,339
Overige Financieringsactiviteiten -1,650-19,213-1,668-7935,6712,9876,0633,6966,0667,910-6,891-21,3943934,3091,435-2,341-903-9091,2706,2561,5674,42412816,6202,0682,4881,706-6,548-1,553-2,10223,7680000000000000000000-1,952-2,462-1,097-1,044-3,920-3,918-1,172-1,344-1,7582
Kasstroom uit Financieringsactiviteiten 6,458-19,21355,466-47,04612,891-3,50644,75167,41727,206-13,685-31,602-72,957-17,453-10,960-28,248-14,116-12,855-16,594-12,193-4,3852,01321,954-10,43324,156-13,565-15,150-24,488-47,162-13,070-8,828-21,035000000000000000000013,9004,909-4,228-7,202-9,758-4,431-6,9581,825-557-14,621
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 5,001-5,1666,3981,078-9089,9647,003-7,918-2,42012,53214,6219,9052,4947982,7404,097-2,063-1,027-1,5352491,417-1,483-1,274-7351,650758-1,085-5,2966,650-1,286-1,63200000000000000000001,443-3,588-1,322284-238-847-2,1814,012-5,228-4,258
Netto Kasstroomverandering 185,750011,233-123,46246,72821,991-9,2425,1293,3159,298-16,71259,91529,291-289-33,31323,941-2,913-18,167-1844,287-30,00652,7477,241-80,657-13,11247,950-10,250-40,6924,683-8,9747,12100000000000000000009,5793,54521,275-6,54028,198-70,553-5,740-1,74068,574-11,067
Kaspositie aan het Einde van de Periode 185,7500162,255151,022274,484227,756205,765215,007209,878206,563197,265213,977154,062124,771125,060158,373134,432137,345155,512155,530111,243141,24988,50281,261161,918175,030127,080135,045175,737171,054180,0280000000000000000000128,311118,732115,18793,912100,45272,254142,807148,547150,28781,713