Asahi Holdings, Inc.

TSE:5857.T

1819 (JPY) • At close November 13, 2024
Overzicht | Financiële gegevens

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Operationele Activiteiten:
Nettowinst 3,4073,1971,4152,9114,0563,1371,6724,1394,1336,1087,1015,6296,8116,8318,8045,4566,5655,3114,9924,3593,9583,2674,1842,7353,1413,3453,0684,1222,8183,402-6,1232,3752,9822,517213,5691,6622,8541,2101,6551,5221,3871,2921,4011,5051,7711,6641,2999492,7732,2982,1023,3662,6712,1641,672996
Afschrijvingen & Amortisatie 6816929289179088798468668008016996846526546686496136086487317207285775805835805775735345836025925715751,815-451,23460300000000000667603562513647601588570
Uitgestelde Inkomstenbelasting 000000000000000000000000000000000000000000000000000000000
Aandelen Gebaseerde Vergoedingen 000000000000000000000000000000000000000000000000000000000
Verandering in Werkkapitaal 9,301-71,66611,663-7,006-962-87823,1932,088-3,879-1,603-13,64712,7995,417-9,576-32,308-5,286-6,928-2,177-11,888-13,936-51,735-889-2,659-25,287331-1,773-6,825-14,565-4,2534273,957-5,036-4,483-883,5151,10828621700000000000-2,119-3,325578-75-223-3,034-1,4721,087
Vorderingen -22,243-48,312101,050-26,562-28,316-32,58561,129-97,800-1,42436,23224,178-47,6264,955-19,15448,542-8,594-1,129-8,821-3,498002,983-2,774-24,296-2,607180-8,384-11,210-3,1341,3071,921-1,687225-1,44800000000000000000000000
Voorraden 19,946-23,35415,878-14,6068,468-3,18524,0214,4931,416-7,419-11,4626,7885,456-847-8,779-7,669-7,986-1,762-8,617-703-2,940-2,949-1,130-2,793-1821,385-214-750-3,950-19899-347-2,901878-1,72066257384200000000000-3,587-2,362979-788268-3,771-1,549993
Crediteuren 25,84442,451-101,54734,16218,88634,892-61,95795,395-3,871-30,416-26,36353,637-4,99410,4250000000000000000000000000000000000000000000
Overig Werkkapitaal -14,2468,717-3,718-12,0375332071,839-1,086-745-4,104-2,1856,011-39-8,729-23,5292,3831,058-415-3,271-13,233-48,7952,060-1,529-22,494513-3,158-6,611-13,815-3036253,858-4,689-1,582-9665,235446-287-625000000000001,468-963-401713-4917377794
Overige Niet-Contante Posten -2,71368,276-7,151-15,0123,422-1313,634-4,1584,773-6,6592,020-10,183-3,667-1,121295-8,024-1,399-6,2001,804595-3,171-501-608-5,1452,316-3,548-3,085-1,6282,161-1,3067,653-1,4421,063-2,3961,665-1,8731,729-4,071-1,210-1,655-1,522-1,387-1,292-1,401-1,505-1,771-1,664-1,299-949-65-1,3591,914-2,976-32-875905-46
Kasstroom uit Operationele Activiteiten 10,67649920,380-18,1907,4243,00729,3452,9355,827-1,353-3,8278,9299,213-3,212-22,541-7,205-1,149-2,458-4,444-8,251-50,2282,6051,494-27,1176,371-1,396-6,265-11,4981,2603,1066,089-3,5111336087,0162,7594,911-397000000000001,256-1,7835,1568283,063-1,1441,6932,607
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -2,533-833-2,867-3,254-949-1,347-1,563-1,088-696-1,783-3,936-1,267-1,676-1,878-1,229-2,781-314-1,096-1,869-806-440-1,019-3,973-569-521-738-467-739-396-1,345-671-339-1,620-316-455-569-254-56300000000000-938-1,003-945-413-389-327-613-520
Netto Overnames 63-7,514-264-270-13,633261,120-861,37102-54-1202,7460142200000000000001200000000000000000000009-1,36400
Aankoop van Beleggingen -3-223-1-18-1-103-212-2,404-2-9800-1-95-201-89023-9800000000-22-7000000000000000000000-9000
Verkoop/verval van Beleggingen 11112832562,735-26-3151490-15095210-189-21000010300120000291000-89109000000000000000-16000
Overige Investeringsactiviteiten 5,8732,092-2,9091,271502532162651701,120225-1076758258-406-321835,959-82346-33-166-126-32132-40-46-355437-31-139105-265-149-22-54000000000005217-724-43-207-411-105-418
Kasstroom uit Investeringsactiviteiten 3,3441,259-13,265-2,233-1,114-12,095-1,559-2,422-613659-3,711-1,305-888-1,9161,695-3,139-428-9283,908-847-10-1,124-3,890-675-489-575-534-722-344-1,229-277-362-1,643-160-686-497-163-55400000000000-868-773-1,667-435-577-2,084-678-541
Financieringsactiviteiten:
Schuldaflossingen -11,11611,118-16,81317,04233913,713-19,003910-2,0667,7937,936-5,365-9,3639,91123,99617,196-9,793-6589,30813,03448,887-882-1,08223,813-36627010,3259,832190-525-3,7183,340-751-3,508-3,829-402400-43500000000000-8523,818-3,098500-2,8503,597-504-1,103
Uitgifte van Gewone Aandelen 3180000000000017200000000000001,6180000000000000000000000225022480000
Terugkoop van Gewone Aandelen -1-999000000-4,106000-1,78500000000000-744000000000-3380000000000000000000000
Uitgekeerde Dividenden -19-3,426-9-3,441-19-3,428-7-3,442-16-3,527-7-3,531-17-3,522-6-3,142-11-2,743-6-2,354-18-2,336-9-2,351-12-1,294-2-977-5-972-3-969-8-976-3-983-8-97300000000000-5-803-7-798-5-801-9-793
Overige Financieringsactiviteiten -37-39-81-82-85-86-86-90-95-83-84-231-1,690-81-84-111-111-111-102-111-103-152-2-35-3-19-36-43-880-2-13-3-9-12-170-44314200000000000-13-5-5-3-2-5-2-4
Kasstroom uit Financieringsactiviteiten -10,8556,654-16,90313,51923510,199-19,096-2,622-6,2834,1837,845-9,127-11,0706,30823,90613,943-9,915-3,5129,20010,56948,766-3,370-1,09321,427-1,030-1,04311,90520,065-695-1,499-3,7342,368-768-4,496-4,173-1,429395-1,26600000000000-8483,060-3,088-253-2,8542,791-515-1,900
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 0-774-419225124-1,964-1361,3651,643-48-1,177-640921-238-752-177-67-158-3232-19-144-284452106-219120-1645562221-66-230-31934155-6100000000000-1610-692913-15918
Netto Kasstroomverandering 4,8577,639-10,207-6,6796,668-8538,554-7455753,441-870-2,144-1,8239412,3093,422-11,557-7,0598,8431,293-1,491-2,034-3,518-6,3214,906-2,9104,8877,966574322,142-1,286-2,345-4,2771,8358685,301-2,28100000000000-474512333168-354-451508184
Kaspositie aan het Einde van de Periode 19,37714,5206,88117,08823,76717,09917,9529,39810,1439,5686,1276,9979,14110,96410,0237,7144,29215,84922,90814,06512,77214,26316,29719,81526,13621,23024,14019,25311,28711,23010,7988,6569,94212,28716,56414,72913,8618,560000000000002,2502,7242,2121,8791,7112,0652,5162,008