Ryobi Limited

TSE:5851.T

1848 (JPY) • At close November 13, 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 2,6242,1493,0153,8573,9332,0773,082915-1333,096-3,734-652-9711,0283941,048-3,020771,0562,1221,2573,5823,9957,3653,3542,9042,7743,7251,8943,2672,9952,9943,5542,7963,4412,2322,7572,4742,0471,0325671,7061,9501,2135522091,1237291,5031,3422,2301,4251,5001,7572,3271,7211,683443-607-2,961-1,007-2,037
Afschrijvingen & Amortisatie 4,8104,7115,1244,5184,4194,4284,6694,6864,5634,4094,3714,3944,3164,1594,1284,0494,0104,2154,1243,8473,7823,6173,4305,4614,3244,0703,8943,7223,8103,6263,7523,8324,1183,9933,8513,7633,9723,5463,4353,3163,7603,4683,1422,7713,2542,8602,5662,2523,1102,8602,6402,3143,2312,9282,7472,4333,5503,1303,0242,7254,1054,064
Uitgestelde Inkomstenbelasting 00000000000000000000000000000000000000000000000000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000000000000000000000000000000000000000000000000
Verandering in Werkkapitaal 3,5146762,2312,782-2,780-5,8354,117-1,298-2,402-9,051-662-3,6103,144-1066,743-2,363-1,203-5,9738,508-5,9621,9323,006-2,2821,300144-1,301-1,064327-5,324-311-1,2552,580-3,7145,400-4,3572,006-3,0351,371-1,2073,028-4,1763,151-3,9912,989-1,444-2,411-2,9821,571-3,1032,516-3,025903-3,6772,654-740448-2,2361,6951,7501,928-10,3177,070
Vorderingen 3,4073,795-950-2,757-4,2513,595-1,406-3,670104-7,066-4,564-5352,203376-1,256-4,9205,6901,3055,248-1,6186,6775,90300-5,078-2,705683-1,134-5,430-3,5183,9601,068-2,4283,095-2,878-307-1,032-183-1,23084-920-1,577-1,096-711163-3191,054-213-2,325-1,046000000000000
Voorraden -1,007-158715-851-634-1,9981,554320-2,645-767-2,109-2,829-2,898-1,3784722,6571171361,5871,037-434-529-704-4,3643,022-2,527-1,152-1,056941-1,199-857-1,6571,404211978-1,074589-3,097-984-836677-1,650-231-813694-426838-1,291-1,460-840-673-697-319-4991,101-1,268529301,1211,0945,809188
Crediteuren -675-2,0702,8885,564951-5,7663,6721,464268-1,3305,8121,6962,5961,830000000000000000000000000000000000000000000000000
Overig Werkkapitaal 1,789-891-4228261,154-1,666297588-129-8,2841,447-7816,0421,2726,271-5,020-1,320-6,1096,921-6,9992,3663,535-1,5785,664-2,8781,226881,383-6,265888-3984,237-5,1185,189-5,3353,080-3,6244,468-2233,864-4,8534,801-3,7603,802-2,138-1,985-3,8202,862-1,6433,356-2,3521,600-3,3583,153-1,8411,716-2,7651,665629834-16,1266,882
Overige Niet-Contante Posten -7847,969705-721-909-839713-610-2502814,074-414-96-3411,053-962285-6861,169-930-160-624-379-2,385-422-1,282-294-1,317828-1,461-933-1,742-538-1,304-807-1,650-700-1,158133-2,680-665-2691,023-235189-6521,237-2,287978-2,333873-3,3041,031-1,2091,015-698685-8883,165-778484-3,652
Kasstroom uit Operationele Activiteiten 10,1647,65011,07510,4364,663-16912,5813,6931,778-1,2654,049-2826,3934,74012,3181,77272-2,36714,857-9236,8119,5814,76411,7417,4004,3915,3106,4571,2085,1214,5597,6643,42010,8852,1286,3512,9946,2334,4084,696-5148,0562,1246,7382,55161,9442,2652,4884,3852,7181,3382,0856,1305,3493,9043,6824,3807,332914-6,7355,445
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -3,658-3,391-5,463-3,162-3,145-4,552-3,809-5,109-3,718-4,243-2,576-2,237-4,056-2,982-3,251-4,457-6,522-6,061-4,886-8,831-6,792-4,077-4,000-5,661-4,700-5,290-3,890-4,476-3,769-3,141-5,511-3,582-4,206-2,842-4,354-2,918-4,262-3,338-3,738-2,924-4,246-4,000-5,998-6,575-6,084-5,317-6,644-5,787-2,367-6,824-4,990-3,780-2,015-2,107-1,924-1,600-1,356-1,327-1,698-3,788-3,140-4,585
Netto Overnames 017215477493811144319090321-70252,630227149-1,2211-1,0586,961255345163923370154143120275-29133-7312011-29161000000-6000022000440
Aankoop van Beleggingen -1,294-28-2,402-100-1,753-117-1,8501-1,851-15-1,847-3-1,849-20-1,847-9-1,891-19-1,858-30-1,882-18-49-38-1,836-186-1,973-68-1,925-2,088-1,973-69-1,727-380-1,992-68-2,090-208-1,956-440-1,926-196-1,955-68-1,916-1,521-697-4-655-6-697-4-654-2,503-695-4-1,835-8-45-4-667-22
Verkoop/verval van Beleggingen 1,849152,490-471,853152,5906501,847171,84001,879281,855101,879151,867111,9241530341,891541,9163131,8912,3431,9151241,8963412,0611242,0561841,9151241,8921841,9151241,8921,408006500003,1470001,8000006500
Overige Investeringsactiviteiten -110-87-578-57-654-18990-73719747-565-869-208-1591,123-553-328-225-228-159-66-217-484-382-83-104-283-303-27-83-130-322-170-207-91-74-118-132-57-17-154-19-248-175-120582-57-27467682-1361868067172121-87-4591,363-24-1,054
Kasstroom uit Investeringsactiviteiten -3,213-3,474-5,738-3,319-3,625-4,750-2,971-5,184-3,511-4,194-2,958-2,326-4,017-2,861-3,409-3,333-7,062-3,763-5,100-9,051-6,760-5,367-4,235-7,2071,934-5,250-4,048-4,063-3,467-2,890-5,282-3,503-4,345-3,048-4,491-2,933-4,343-3,475-3,913-3,288-4,164-4,239-5,937-6,756-6,312-5,389-6,759-5,848-2,646-6,763-5,005-3,920604-4,530-1,948-1,532-1,248-1,422-2,202-2,429-3,137-5,661
Financieringsactiviteiten:
Schuldaflossingen -4,124-3,436-3,216-2,384-822-162-927-1,608968-149537-1,313-2,931-1,337-3,653-1,7405,90610,566-2,2522,000-2,660538-1,123-2,441-1,2561,1371,521-1,519-1,758-2,325-1,879-2,094-1,331-1,89377-1,082-1,782-50160-1,3257881,852-2,175-8123,4337981,15810,7001,7955,1802,380205-4,724-635305-6,271-1,685-609-1,3446,1875,6767,475
Uitgifte van Gewone Aandelen 00000000000000000000000000000000000000000000000000000000000000
Terugkoop van Gewone Aandelen 0000000000000000000000000-10000000-1000000000000000000-2-3000000-268-660
Uitgekeerde Dividenden -57-1,396-3-1,128-31-779-29-619-12-313-4-321-30-2-1-40-1,092-6-1,127-39-1,093-40-1,090-4-806-36-772-3-809-40-766-1-645-41-607-2-644-35-613-2-483-49-434-2-483-59-907000-970000000000-1,001
Overige Financieringsactiviteiten -64-182-79-150216-55-38-40-36-53-38-302,649855-48-35-38-105-46-482,487-22-6-23-6,549-4-61,7993,041-3-3-211,093-4-4-17-4-4-5-21-6-17-26430382,054-39-92-54-57-56-94-104-97-88-117-108-105-94-96-116-106
Kasstroom uit Financieringsactiviteiten -4,245-5,014-3,298-3,662-637-996-994-2,267920-515495-1,664-285-482-3,703-1,7765,8289,369-2,304825-212-577-1,169-3,554-7,8093261,479-4921,280-3,137-1,922-2,881-239-2,54332-1,706-1,788-1,14920-1,9597801,352-2,250-8163,4692,3691,0609,7011,7415,1232,324-859-4,830-735217-6,388-1,793-714-1,4386,0915,2925,708
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 583433-210112300120-33221375576384-23130691188149-18-216136-42-27412654-1945412246-95237-29-331-305-136-15843-17372277-42-14538079289338283-14-206209218-122-6470-49-40-83131-7633123-549-47
Netto Kasstroomverandering 2,6392451,8283,567703-5,7968,283-3,737-437-5,3981,968-4,2952,2222,0885,394-3,187-1,1813,0237,588-9,190-4373,763-5857851,577-4102,7881,806-742-935-2,977974-1,3015,136-2,2881,694-2,7651,886474-697-3,1105,247-5,774-496-7-3,029-3,9616,3281,8022,623-26-3,371-2,1918253,535-4,0036422,1683,7254,700-5,1275,443
Kaspositie aan het Einde van de Periode 29,28526,64626,40124,57321,00620,30326,09917,81621,55321,99027,38825,42029,71527,49325,40520,01123,19824,37921,35613,76822,95823,39522,13122,71621,93120,35420,76417,97616,17016,91217,84720,82419,85021,15116,01518,30316,60919,37417,48817,01417,71120,82115,57421,34821,84421,85124,88028,84122,51320,71118,08818,11421,48523,67622,85119,31623,31922,67720,50916,78412,08417,211