Okabe Co., Ltd.

TSE:5959.T

757 (JPY) • At close September 19, 2024
Overview | Financials

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

2023202220212020201920182017201620152014201320122011201020092008200720062005
Operationele Activiteiten:
Nettowinst -5,4725,7674,0723,5765,1474,1945,339.19511,899.6256,561.8477,159.4436,475.3184,644.1183,605.5923,454.4693,062.5444,445.66,306.8682,887.8642,519.321
Afschrijvingen & Amortisatie 2,8242,8902,0952,0121,8991,6741,422.5631,680.7721,827.3181,626.9591,299.9751,308.6011,499.7121,542.3721,619.5661,655.2671,569.2161,344.6151,180.715
Uitgestelde Inkomstenbelasting 0000000000000000000
Aandelen Gebaseerde Vergoedingen 0000000000000000000
Verandering in Werkkapitaal 1,766-5,135354281-853-349-956.051,388.883-4,414.329-498.54-131.098200.921-1,430.105715.4171,552.516-313.706824.212-334.815-2,285.664
Vorderingen 760-469-2941,5551,448-798-1,495.134903.109819.136442-2,419-1,1290000000
Voorraden 2,285-5,389-1,347104-895-1,493-720.513-132.205-438.255-1,236.442-80.746-196.142-397.984322.9621,524.839-79.23-719.681-106.841113.322
Crediteuren -7545651,164-791-8569491,418.17-780.576-4,147.8270000000000
Overig Werkkapitaal -525158831-587-5501,144-235.5371,521.088-3,976.074737.902-50.352397.063-1,032.121392.45527.677-234.4761,543.893-227.974-2,398.986
Overige Niet-Contante Posten 7,074-1,547-1,017-988-2,230-2,333-3,697.916-9,265.658-2,942.087-2,595.323-2,117.019-1,582.714-0.235-274.152-2,177.251310.961-4,223.648-307.38-1,522.615
Kasstroom uit Operationele Activiteiten 6,1921,9755,5044,8813,9633,1862,107.7925,703.6221,032.7495,692.5395,527.1764,570.9263,674.9645,438.1064,057.3756,098.1224,476.6483,590.284-108.243
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -1,782-2,834-1,008-1,875-1,930-5,598-2,907.899-2,890.893-4,841.678-4,326.918-3,212.943-1,706.073-693.204-1,683.095-4,189.021-2,892.176-2,205.434-2,889.922-515.982
Netto Overnames 1-6,87292-31-2,82151-766.38310,757.46-30-25.127-121.166-30054.645352.16834.6912,756.9267,959.853-180.56-5,043.326
Aankoop van Beleggingen -457-306-496-131-847-771-2,044.176-2,149.276-1,030.672-8,999.875-7,248.841-4,600.048-2,554.405-6,750.75-4,404.011-5,664.9-2,522.504-377.464-402.95
Verkoop/verval van Beleggingen 521,5095011245273,2962,389.231581.899427.7588,458.3047,045.0834,799.7143,003.6557,463.2016,135.6294,303.451,022.422994.1051,104.224
Overige Investeringsactiviteiten 121301215171-225,233116.08-2,502.17400.033251.7453.943121.47296.826-1,065.916194.572-160.645-214.425376.315-265.197
Kasstroom uit Investeringsactiviteiten -2,065-8,202-696-1,742-5,0932,211-3,213.1473,797.02-5,074.559-4,641.876-3,483.924-1,684.937107.517-1,684.392-2,228.14-1,657.3454,039.912-2,077.526-5,123.231
Financieringsactiviteiten:
Schuldaflossingen -6,683-68,836-11,296-12,434-6,495-6,761-4,723.153-11,991.394-12,811.385-12,416.356-16,178.087-21,482.584-16,507.203-18,475.999-25,548.012-18,266.652-34,401.928-28,039.17-17,089.506
Uitgifte van Gewone Aandelen 070,3729,85812,4630089.95113,651.94616,303.70400054.9241.4726.989.552107.9520.8862,952.763
Terugkoop van Gewone Aandelen -437-500-998-1,05900-89.951-1,000.051-1,558.448000-645.442-367.72324,067.63517,399.05833,073.9627,034.75321,811.686
Uitgekeerde Dividenden -1,141-1,052-976-1,041-1,347-1,398-1,346.886-1,224.923-1,205.122-1,153.784-891.145-682.151-648.479-545.603-866.103-802.23-685.809-475.415-280.726
Overige Financieringsactiviteiten -5,505-266925,9185,4815,364.784-147.32-144.64311,545.39115,598.15120,361.49315,044.73415,659.7-76.778-5.446-1.988208.60936.529
Kasstroom uit Financieringsactiviteiten -8,261-18-3,346-1,979-1,924-2,678-705.255-711.742584.106-2,024.749-1,471.081-1,803.242-2,701.466-3,728.153-2,416.278-1,665.718-1,907.815-1,250.3377,430.746
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 1778276954-104-38198.07-539.51120.594252.834586.424-31.757-217.033-2.228317.879-2,527.5580.56566.95375.752
Netto Kasstroomverandering -5,617-5,4191,5931,378-3,1582,680-1,612.548,249.389-3,337.704-671.5931,158.5951,050.987816.12313.464-283.328169.6266,704.1200.1982,865.103
Kaspositie aan het Einde van de Periode 12,53918,15623,57521,98220,60423,76221,082.05322,694.59314,445.20417,782.90818,454.50117,295.90616,244.91915,428.79615,415.33215,698.6615,529.0348,824.9348,624.736