Alinco Incorporated

TSE:5933.T

962 (JPY) • At close September 19, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 6,622.7766,771.0285,230.9645,535.2385,127.4384,379.3475,000.4226,316.5165,396.6047,297.0694,656.5433,844.8543,705.2053,694.0882,680.6682,185.698
Kortetermijnbeleggingen 299.61-3,365.305-3,526.319-3,443.89-2,610.087-3,054.263-2,765.27-2,570.241-1,762.476-985.282-6.41-9.557-17.103-43.099-50.455-70.86
Liquide middelen en kortetermijnbeleggingen 6,922.3866,771.0285,230.9645,535.2385,127.4384,379.3475,000.4226,316.5165,396.6047,297.0694,656.5433,844.8543,705.2053,694.0882,680.6682,185.698
Nettovorderingen 15,327.43315,901.32615,214.81514,597.52415,452.75716,223.94714,448.37713,127.41612,685.68912,758.99211,449.7099,687.9319,249.8268,242.7717,852.878,088.961
Voorraad 20,533.66318,426.26314,797.25612,050.14511,781.36310,137.0599,502.4338,417.8418,217.4038,006.466,295.1265,498.7625,112.8554,136.1664,485.8875,158.4
Overige vlottende activa 1,111.299843.8981,192.9191,002.322995.198772.788637.404776.362928.451,121.377371.819485.199217.68845.39171.563388.573
Totaal vlottende activa 43,894.78141,942.51536,435.95433,185.22933,356.75631,513.14129,588.63628,638.13527,228.14629,183.89822,773.19719,516.74618,285.57416,118.41615,090.98815,821.632
Niet-vlottende activa:
Materiële vaste activa, netto 18,205.80316,071.38815,041.36414,533.86314,476.43815,192.49514,330.2212,116.73211,310.9659,869.3656,976.9816,242.626,108.6936,152.5026,292.4776,749.517
Goodwill 302.416598.231945.138980.156937.1591,208.357794.918000000000
Immateriële activa 180.276191.543197.457223.86202.324174.029196.461421.178197.56473.82546.28957.40768.27848.98866.795129.422
Goodwill en immateriële activa 482.692789.7741,142.5951,204.0161,139.4831,382.386991.379421.178197.56473.82546.28957.40768.27848.98866.795129.422
Langetermijnbeleggingen 1,609.2094,8285,0475,1154,1195,2195,194.0884,135.695,284.4364,366.2172,535.2782,336.4041,549.1151,457.3471,506.3461,356.986
Belastingvorderingen 36.71743.27470.152107.93157.333171.66113.57327.03920.2877.81535.80292.878110.545100.258182.682272.062
Overige niet-vlottende activa 4,086.5047.019497.4181,297.8321,102.405823.362977.1631,093.0841,035.9831,312.4961,137.9151,031.0841,351.8871,110.9491,302.0421,370.159
Totaal niet-vlottende activa 24,420.92521,739.45521,798.52922,258.64120,994.65922,788.90421,506.42317,793.72317,849.23515,629.71810,732.2659,760.3939,188.5188,870.0449,350.3429,878.146
Totaal activa 68,315.70663,681.97358,234.48655,443.87354,351.41754,302.04751,095.05646,431.85945,077.38144,813.61633,505.46229,277.13927,474.09224,988.4624,441.3325,699.778
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 7,989.7569,750.2339,697.3877,267.5638,219.7918,225.4398,132.3627,334.1297,422.1678,153.9086,830.5115,102.7815,518.3954,342.3764,180.5634,261.027
Kortlopende schulden 8,839.8449,358.3797,991.5725,531.8245,515.2924,989.7926,085.9534,430.4963,854.655,562.5072,677.9942,079.3242,695.042,455.8282,487.6423,383.592
Belastingschulden 288.1481,115.045246.712662.32689.277757.785673.732731.778527.513796.187823.136876.046824.321352.996213.078150.697
Uitgestelde opbrengsten 288.1481,842.469948.8121,376.711,418.0481,442.5791,343.5791,370.8451,163.4281,413.9391,404.7871,585.8151,294.461772.904584.192551.58
Overige kortlopende verplichtingen 2,742.9741,644.5521,368.1281,983.1831,604.8021,465.431,340.0131,340.2071,392.0621,152.1681,032.052869.927718.503751.573681.724691.613
Totaal kortlopende verplichtingen 19,860.72222,595.63320,005.89916,159.2816,757.93316,123.2416,901.90714,475.67713,832.30716,282.52211,945.3449,637.84710,226.3998,322.6817,934.1218,887.812
Langlopende verplichtingen:
Langetermijnschulden 16,446.29511,507.0929,398.70910,347.9559,277.63410,238.5266,128.3845,761.2596,172.4424,757.433,442.3673,607.0252,750.0153,204.9413,582.073,886.099
Uitgestelde opbrengsten niet-vlottend 0406.444395.491378.525372.978387.146520.48439.337450.51440.731000000
Uitgestelde belastingverplichtingen niet-vlottend 647.875330.619495.873440.073169.359800.333873.581614.572493.858320.755000000
Overige niet-vlottende verplichtingen 816.241398.801420.322439.037349.121393.383422.372315.78314.947315.165740.243756.206739.857701.25834.608827.439
Totaal niet-vlottende verplichtingen 17,910.41112,642.95610,710.39511,605.5910,169.09211,819.3887,944.8177,130.9487,431.7575,834.0814,182.614,363.2313,489.8723,906.1914,416.6784,713.538
Totaal passiva 37,771.13335,238.58930,716.29427,764.8726,927.02527,942.62824,846.72421,606.62521,264.06422,116.60316,127.95414,001.07813,716.27112,228.87212,350.79913,601.35
Eigen vermogen:
Preferente aandelen 0000000000000000
Gewone aandelen 6,361.5966,361.5966,361.5966,361.5966,361.5966,361.5966,361.5966,361.5966,361.5966,361.5965,571.5585,571.5585,571.5585,571.5585,571.5585,571.558
Ingehouden winsten 18,666.33517,473.41516,720.92617,043.16816,107.04114,704.9913,583.47412,641.1811,971.3719,878.9398,370.7926,541.4785,361.2994,493.9913,690.8153,586.906
Overige gereserveerde algehele resultaten 1,595.806824.927788.599720.37363.477598.622992.0661,164.095730.2441,7355773820000
Overige totale aandeelhoudersvermogen 3,908.7533,771.5613,626.3293,472.7833,920.3873,902.814,640.2964,640.34,640.2994,639.8322,803.542,744.5022,824.9642,694.0392,828.1582,939.964
Totaal eigen vermogen van aandeelhouders 30,532.4928,431.49927,497.4527,597.9226,452.50125,568.01825,577.43224,807.17123,703.5122,615.36717,322.8915,239.53813,757.82112,759.58812,090.53112,098.428
Totaal eigen vermogen 30,544.5728,443.38427,518.19227,679.00327,424.39226,359.41926,248.33224,825.23423,813.31722,697.01317,377.50815,276.06113,757.82112,759.58812,090.53112,098.428
Totaal passiva en aandeelhoudersvermogen 68,315.70363,681.97358,234.48655,443.87354,351.41754,302.04751,095.05646,431.85945,077.38144,813.61633,505.46229,277.13927,474.09224,988.4624,441.3325,699.778