UCHIYAMA HOLDINGS Co.,Ltd.

TSE:6059.T

306 (JPY) • At close November 8, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 10,093.79,446.03712,047.5110,869.89110,678.7379,159.6669,315.0239,249.9299,771.9711,925.17211,442.3618,806.5516,594.5323,739.272
Kortetermijnbeleggingen 864.537100-3,897.824-3,902.031-4,102.203-4,147.042-2,465.1085.003-247.26-272.064-292.745-308.003-283.254-314.252
Liquide middelen en kortetermijnbeleggingen 10,958.2379,546.03712,047.5110,869.89110,678.7379,159.6669,315.0239,254.9329,771.9711,925.17211,442.3618,806.5516,594.5323,739.272
Nettovorderingen 2,600.6182,464.2632,246.2962,195.4112,205.5972,088.8682,102.581,938.7221,803.3931,636.5921,484.9341,404.631,140.4121,044.174
Voorraad 234.586288.084430.661,082.2061,089.5433,309.5581,057.5381,117.9851,013.828792.5381,267.48677.24875.72466.428
Overige vlottende activa 1,203.3451,229.852937.7991,427.4951,101.35991.438918.238860.2111,509.7251,847.225691.47549.162578.824416.77
Totaal vlottende activa 14,996.78613,528.23615,662.26515,575.00315,075.22715,549.5313,393.37913,171.8514,098.91616,201.52714,886.25110,837.5918,389.4925,266.644
Niet-vlottende activa:
Materiële vaste activa, netto 10,771.78313,511.55411,870.67911,397.02610,949.568,828.05811,528.99412,361.6511,955.45312,306.0411,928.22911,290.4719,806.0969,769.029
Goodwill 0.2090.9590.5550.9160.2580.0030.4230000000
Immateriële activa 3336425456627745.855.20261.18241.39441.89341.00245.319
Goodwill en immateriële activa 33.20936.95942.55554.91656.25862.00377.42345.855.20261.18241.39441.89341.00245.319
Langetermijnbeleggingen 1,310.715,2225,1884,8605,0305,1703,030.949488.608738.185389.769382.959382.184344.846370.446
Belastingvorderingen 9.4486.0676.6164.528637.742462.735410.472383.178148.661178.35697.86380.78320.0941.036
Overige niet-vlottende activa 4,001.224-2,237.127-2,199.671-2,141.312-2,126.5-0.2951,651.9573,904.7893,915.9923,556.3033,306.0252,890.0612,764.0992,172.949
Totaal niet-vlottende activa 16,126.37416,539.45314,908.17914,175.15814,547.0614,522.50116,699.79517,184.02516,813.49316,491.6515,756.4714,685.39212,976.13312,398.779
Totaal activa 31,123.1630,067.69130,570.44729,750.16629,622.2930,072.03430,093.17630,355.87530,912.40932,693.17730,642.72125,522.98321,365.62517,665.423
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 694.935627573.849529.977587.223632.235621.037347.593343.831331.926325.012319.466297.227255.825
Kortlopende schulden 5,336.0545,347.5636,296.964,751.8813,413.8063,090.7233,051.7813,070.5953,227.5224,114.4173,995.5173,230.5473,662.7792,029.376
Belastingschulden 575.82361.469279.479262.558199.758445.158269.938162.427107.819140.465695.732760.418701.406834.635
Uitgestelde opbrengsten 142.295550.578759.645722.645622.79805.857674.481646.097731.569621.4021,097.4711,138.488984.5361,102.449
Overige kortlopende verplichtingen 3,090.1861,811.1311,760.091,520.0141,674.4152,228.0342,122.9582,192.3722,129.6052,012.4011,862.3861,749.5421,641.871,535.089
Totaal kortlopende verplichtingen 9,263.478,336.2729,390.5447,524.5176,298.2346,756.8496,470.2576,256.6576,432.5277,080.1467,280.3866,438.0436,586.4124,922.739
Langlopende verplichtingen:
Langetermijnschulden 8,301.6548,159.7656,967.3137,399.8086,107.6095,852.1316,549.2977,516.7977,033.4738,318.0997,330.6476,850.2635,285.2814,734.574
Uitgestelde opbrengsten niet-vlottend 0464.414473.01302.084224.534212.532221.321214.653199.34199.909182.753155.9081,138.9190
Uitgestelde belastingverplichtingen niet-vlottend 386.229453.728480.133440.673371.561377.97602.83540.276523.622277.80386.10816.95118.2780
Overige niet-vlottende verplichtingen 804.595391.13374.246408.617542.147642.653852.4541,032.5951,437.6921,431.2051,453.8111,521.429289.5271,640.064
Totaal niet-vlottende verplichtingen 9,492.4789,469.0378,294.7028,551.1827,245.8517,085.2868,225.9029,304.3219,194.12710,227.0169,053.3198,544.5516,732.0056,374.638
Totaal passiva 18,755.94817,805.30917,685.24616,075.69913,544.08513,842.13514,696.15915,560.97815,626.65417,307.16216,333.70514,982.59413,318.41711,297.377
Eigen vermogen:
Preferente aandelen 040.612.39332.70254.37494.0618.0424.84212.53600000
Gewone aandelen 2,222.9352,222.9352,222.9352,222.9352,222.9352,222.9352,222.9352,222.9352,222.9352,222.9352,222.9351,360.519725.6725.6
Ingehouden winsten 8,599.4728,579.7729,174.3849,983.9612,409.36912,600.74811,691.84911,076.52911,213.02810,446.1169,394.1937,361.9926,149.4664,473.685
Overige gereserveerde algehele resultaten 32.105-40.6-12.393-32.702-54.374-94.06-18.042-4.842-12.5363316400
Overige totale aandeelhoudersvermogen 1,512.6971,459.6751,487.8821,467.5721,445.9011,406.2161,482.2331,495.4331,848.8462,676.2592,675.8881,813.8781,172.1421,168.761
Totaal eigen vermogen van aandeelhouders 12,367.20912,262.38212,885.20113,674.46716,078.20516,229.89915,397.01714,794.89715,284.80915,378.3114,309.01610,540.3898,047.2086,368.046
Totaal eigen vermogen 12,367.20912,262.38212,885.20113,674.46716,078.20516,229.89915,397.01714,794.89715,285.75515,386.01514,309.01610,540.3898,047.2086,368.046
Totaal passiva en aandeelhoudersvermogen 31,123.15730,067.69130,570.44729,750.16629,622.2930,072.03430,093.17630,355.87530,912.40932,693.17730,642.72125,522.98321,365.62517,665.423