Advanex Inc.

TSE:5998.T

788 (JPY) • At close November 5, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 3,981.5343,847.7673,175.0623,899.4892,777.0323,727.5974,346.9053,906.983,465.4343,485.4332,808.3092,424.7242,677.4522,497.9713,443.3814,017.2213,879.576
Kortetermijnbeleggingen 1,244.176-630.099-617.922-593.166-595.26-569.044-359.16-366.553-370.268-379.394-404.915-404.11900000
Liquide middelen en kortetermijnbeleggingen 5,225.713,847.7673,175.0623,899.4892,777.0323,727.5974,346.9053,906.983,465.4343,485.4332,808.3092,424.7242,677.4522,497.9713,443.3814,017.2213,879.576
Nettovorderingen 4,774.0724,661.8434,360.5894,720.1324,170.2464,516.7774,839.4534,462.0174,098.3424,478.0885,794.3524,945.5855,430.696,419.8286,907.7336,292.3219,600.718
Voorraad 4,298.8963,947.1393,991.662,885.4572,928.0973,190.6862,685.5012,388.6422,029.6292,159.4972,816.6872,527.0292,303.193,508.1912,988.8963,391.2314,110.266
Overige vlottende activa 677.947559.979793.245638.581690.86516.819331.416199.986364.337181.8351.446395.069421.017664.911640.159779.185944.263
Totaal vlottende activa 14,976.62513,016.72812,320.55612,143.65910,566.23511,951.87912,203.27510,957.6259,957.74210,304.81811,770.79410,292.40710,832.34913,090.90113,980.16914,479.95818,534.823
Niet-vlottende activa:
Materiële vaste activa, netto 12,499.44112,524.64411,956.35210,859.24610,866.66310,029.7957,010.1186,390.1075,806.345,148.3767,232.5516,932.2826,387.1696,620.0067,380.7168,187.7199,060.54
Goodwill 0006.17.0738.328106.06196.6981.21391.365000046.45563.8151,446.331
Immateriële activa 183.957149.198107.42656.21181.23985.343119.069153.744184.374146.9191.84204.882193.113221.325258.212157.105160.588
Goodwill en immateriële activa 183.957149.198107.42662.31188.31293.671225.129350.434265.587238.265191.84204.882193.113221.325304.667220.921,606.919
Langetermijnbeleggingen 464.804742777639603629580.939716.999777.527684.68830.41823.419783.353527.404474.697256.026280.895
Belastingvorderingen 47.64737.93746.42126.31.4081.2390.230.1695.5511.33410.6995.0325.055.2726.1541.6981.698
Overige niet-vlottende activa 285.472-0.0120.5620.3-0.2360.021306.101332.621211.519177.284204.277211.626215.733294.015267.932647.105429.543
Totaal niet-vlottende activa 13,481.32113,453.76712,887.76111,587.15711,559.14710,753.7268,122.5177,790.337,066.5246,249.9398,469.7778,177.2417,584.4187,668.0228,434.1669,313.46811,379.595
Totaal activa 28,457.94626,470.49825,208.31923,730.81822,125.38522,705.60920,325.79418,747.95817,024.26816,554.7620,240.57218,469.65118,416.76720,758.92322,414.33523,793.42629,914.418
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 3,499.7491,727.6513,660.3993,287.4632,901.5383,062.3372,574.8292,635.232,421.1232,514.5983,779.6973,463.9183,892.3794,597.174,220.6753,537.8416,081.173
Kortlopende schulden 7,449.4437,506.4484,783.1874,943.0665,524.2694,953.2224,735.7673,364.382,183.4831,714.3283,517.4355,768.4776,420.4376,436.5615,629.8335,888.4356,374.396
Belastingschulden 109.73138.868160.618193.134101.056114.48118.363186.74778.892135.626201.464185.232140.535279.63101.80390.79689.453
Uitgestelde opbrengsten 99.674349.499515.382421.846362.596400.348423.577398.258208.728383.695384.833321.672277.93393.098156.266137.648293.138
Overige kortlopende verplichtingen 1,922.9812,717.5441,399.4881,318.3091,078.5481,546.7551,093.3761,047.4471,039.2631,007.1921,210.644883.083870.3141,091.1621,206.2141,821.1091,437.722
Totaal kortlopende verplichtingen 12,971.84712,301.14210,358.4569,970.6849,866.9519,962.6628,827.5497,445.3155,852.5975,619.8138,892.60910,437.1511,461.0612,517.99111,212.98811,385.03314,186.429
Langlopende verplichtingen:
Langetermijnschulden 4,544.5075,339.7196,411.1255,896.4675,667.9375,125.8273,441.7373,265.5822,913.4322,263.0183,539.9541,711.5881,940.6722,927.2314,617.7374,350.6812,727.512
Uitgestelde opbrengsten niet-vlottend 1,021.5511,183.281,213.3581,259.4531,347.2821,356.7771,478.1911,419.7111,367.5781,297.9232,472.7941,687.6041,536.5011,595.2481,442.9591,701.1511,656.636
Uitgestelde belastingverplichtingen niet-vlottend 364.396317.793251.339254.45237.35180.706233.582211.925190.416158.395357.814345.901308.356335.795319.476328.04831.923
Overige niet-vlottende verplichtingen 1,265.938106.80751.70326.3977.5140.002111.292107.211122.06182.857236.314214.943202.684222.373508.739781.252973.823
Totaal niet-vlottende verplichtingen 7,196.3926,947.5997,927.5257,436.7677,260.0836,663.3125,264.8025,004.4294,593.4863,902.1936,606.8763,960.0363,988.2135,080.6476,888.9117,161.1246,189.894
Totaal passiva 20,168.23919,248.74118,285.98117,407.45117,127.03416,625.97414,092.35112,449.74410,446.0839,522.00615,499.48514,397.18615,449.27317,598.63818,101.89918,546.15720,376.323
Eigen vermogen:
Preferente aandelen 00031.695756.454389.503445.781462.703261.587083186200000
Gewone aandelen 1001,0001,0001,0001,0001,0001,0001,0001,0001,0001,0001,0003,451.613,451.613,451.613,451.613,451.61
Ingehouden winsten 5,302.9825,083.4075,064.3485,201.2734,610.765,315.9795,553.825,626.4665,702.2355,241.6164,323.1143,682.13-1,541.812-1,768.202-1,615.313-1,158.5432,436.885
Overige gereserveerde algehele resultaten 1,816.494966.907685.754-31.695-756.454-389.503-445.781-462.703-261.587558-831-86200000
Overige totale aandeelhoudersvermogen 1,070.227171.443172.236122.094-612.409-236.344-320.377-328.252-124.05233.138-582.027-609.665861.86793.9671,166.6891,225.7231,764.756
Totaal eigen vermogen van aandeelhouders 8,289.7037,221.7576,922.3386,323.3674,998.3516,079.6356,233.4436,298.2146,578.1857,032.7544,741.0874,072.4652,771.6582,477.3753,002.9863,518.797,653.251
Totaal eigen vermogen 8,289.7037,221.7576,922.3386,323.3674,998.3516,079.6356,233.4436,298.2146,578.1857,032.7544,741.0874,072.4652,967.4943,160.2854,312.4365,247.2699,538.095
Totaal passiva en aandeelhoudersvermogen 28,457.94226,470.49825,208.31923,730.81822,125.38522,705.60920,325.79418,747.95817,024.26816,554.7620,240.57218,469.65118,416.76720,758.92322,414.33523,793.42629,914.418