Nittoseiko Co.,Ltd.

TSE:5957.T

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

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

2023202220212020201920182017201620152014201320122011201020092008
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 8,027.1449,098.9411,415.5519,287.05210,103.9589,104.647,122.42710,078.7837,798.3996,183.4275,369.2576,577.5235,301.0627,631.2056,834.9495,824.256
Kortetermijnbeleggingen 822.796793.012391.926-884.154-858.069-597.468-857.61-289.949-578.092-793.255-2.043-3.2-1.315-3.734-1.696-3.4
Liquide middelen en kortetermijnbeleggingen 8,849.949,098.9411,807.4779,287.05210,103.9589,104.647,122.42710,078.7837,798.3996,183.4275,369.2576,577.5235,301.0627,631.2056,834.9495,824.256
Nettovorderingen 000000008,185.66608,355.0958,123.8479,437.7346,866.4636,853.7018,685.274
Voorraad 11,023.74310,081.7217,926.3536,916.6516,409.9776,235.9195,374.9114,801.4734,386.364,310.7484,465.6933,893.1443,922.673,612.923,435.2014,268.789
Overige vlottende activa 535.242307.507187.99239.137160.972105.49671.873275.286214.369189.336187.044194.783183.0541,575.0821,308.9171,454.629
Totaal vlottende activa 33,822.9534,342.532,646.21727,704.52928,726.21227,302.07824,018.67725,250.64220,584.79419,115.21518,377.08918,789.29718,844.5219,685.6718,432.76820,232.948
Niet-vlottende activa:
Materiële vaste activa, netto 14,129.98514,085.95913,092.01312,933.22112,799.13611,805.08310,813.57210,345.9518,814.5878,895.7098,571.4747,921.0698,262.7148,687.0219,042.089,624.265
Goodwill 392.569467.671557.538647.40693.459172.7880000000000
Immateriële activa 607.185678.998723.824774.494140.94181.952109.243101.83780.49688.86747.01825.15244.66936.78832.00536.526
Goodwill en immateriële activa 999.7541,146.6691,281.3621,421.9234.4254.74109.243101.83780.49688.86747.01825.15244.66936.78832.00536.526
Langetermijnbeleggingen 1,161.8961,168.7561,113.2242,784.1853,069.5132,999.2115,041.4082,044.3642,093.8322,235.9031,380.1091,039.284961.499875.95800.717799.115
Belastingvorderingen 663.219678.324669.565828.006678.396599.352496.415699.726674.24722.672585.638686.061759.024862.4291,250.918926.86
Overige niet-vlottende activa 2,566.4331,985.9762,121.635550.433481.606402.418398.036485.1422,842.6884,892.3725,446.4923,582.3292,391.245489.867181.336187.037
Totaal niet-vlottende activa 19,521.28719,065.68418,277.79918,517.74517,263.05116,060.80416,858.67413,677.0214,505.84316,835.52316,030.73113,253.89512,419.15110,952.05511,307.05611,573.803
Totaal activa 53,344.23753,408.18850,924.01846,222.27745,989.26643,362.88640,877.35138,927.66235,090.63735,950.73834,407.8232,043.19231,263.67130,637.72529,739.82431,806.751
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 8,615.934,468.7054,421.0224,054.7684,290.494,128.4473,447.1573,996.181,726.5542,966.4995,626.4245,002.935,591.5975,351.8344,977.0846,372.995
Kortlopende schulden 1,626.5412,436.8362,610.542,847.3022,574.0322,431.522,727.8073,039.4572,324.3342,765.7583,293.7132,786.9512,999.5712,359.6022,872.3812,051.413
Belastingschulden 558.472758.998866.491407.441414.457506.354473.362497.179396.938510.218438.578601.341334.893284.785140.848585.221
Uitgestelde opbrengsten 60.62501,378.64826.62909.672506.3542,691.8514,664.8013,538.341664.186598.61742.09464.688437.743284.935734.491
Overige kortlopende verplichtingen 2,039.7146,936.7735,777.2424,308.8014,795.5144,896.9284,198.9653,076.6824,029.3883,109.4551,016.475904.352785.399825.025695.3711,027.36
Totaal kortlopende verplichtingen 12,901.28214,601.31213,675.29511,618.31212,074.49311,963.24910,847.29110,609.4988,477.2149,351.9310,375.199,295.5749,711.468,821.2468,685.68410,036.989
Langlopende verplichtingen:
Langetermijnschulden 588.583559.973758.233897.501884.836631.671275.24334.297648.7643.3181.35769.2481,101.9421,509.9611,372.082,048.825
Uitgestelde opbrengsten niet-vlottend 230.11402,837.4482,806.0762,616.8852,527.4122,382.372,390.49600000000
Uitgestelde belastingverplichtingen niet-vlottend 584.378395.051409.695437.701318.683331.495336.699269.97500000000
Overige niet-vlottende verplichtingen 2,637.0783,349.858541.209604.659493.456215.542227.653126.7822,148.5722,548.4761,989.5611,977.2951,555.6341,721.91,662.8821,872.784
Totaal niet-vlottende verplichtingen 4,040.1534,304.8824,546.5854,745.9374,313.863,706.123,221.9623,121.552,797.2723,191.7762,170.9112,746.5432,657.5763,231.8613,034.9623,921.609
Totaal passiva 16,941.43518,906.19418,221.8816,364.24916,388.35315,669.36914,069.25313,731.04811,274.48612,543.70612,546.10112,042.11712,369.03612,053.10711,720.64613,958.598
Eigen vermogen:
Preferente aandelen 0010.007577.059413.759614.13833.698704.49014413700000
Gewone aandelen 3,522.583,522.583,522.583,522.583,522.583,522.583,522.583,522.583,522.583,522.583,522.583,522.583,522.583,522.583,522.583,522.58
Ingehouden winsten 26,632.56825,534.33124,319.20422,565.06922,171.99820,723.63119,053.80117,811.49116,588.95715,972.13914,760.79613,691.23312,886.47412,321.37311,678.18911,593.134
Overige gereserveerde algehele resultaten 1,043.102272.625-10.007-577.059-413.759-614.138-33.698-704.495,567.591-144-13700000
Overige totale aandeelhoudersvermogen 1,205.7391,427.8541,419.6581,357.7321,348.1191,607.9691,730.5341,920.9031,814.1022,049.4042,050.4241,506.3752,158.3442,241.1112,350.5962,354.816
Totaal eigen vermogen van aandeelhouders 32,403.98930,757.3929,251.43526,868.32226,628.93825,240.04224,340.61322,550.48421,925.6421,398.82120,195.15818,720.18817,767.05517,376.13116,766.30316,651.557
Totaal eigen vermogen 36,402.79934,501.99432,702.13829,858.02829,600.91327,693.51726,808.09825,196.61423,816.15123,407.03221,861.71920,001.07518,894.63518,584.61818,019.17817,848.153
Totaal passiva en aandeelhoudersvermogen 53,344.23453,408.18850,924.01846,222.27745,989.26643,362.88640,877.35138,927.66235,090.63735,950.73834,407.8232,043.19231,263.67130,637.72529,739.82431,806.751