Amada Co., Ltd.

TSE:6113.T

1453.5 (JPY) • At close September 19, 2024
Overzicht | Financiële gegevens

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

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Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 89,42098,556106,79175,86847,16756,29575,96475,50379,43480,20370,21157,71257,83566,82066,61058,53766,07377,78474,11853,195
Kortetermijnbeleggingen 36,99124,93723,38825,67915,73619,93932,02644,78165,53247,16950,13131,05938,68836,51339,65334,89035,16930,36433,71931,182
Liquide middelen en kortetermijnbeleggingen 126,411123,493130,179101,54762,90376,234107,990120,284144,966127,372120,34288,77196,523103,333106,26393,427101,242108,148107,83784,377
Nettovorderingen 145,685130,319123,468115,534126,058140,965142,851135,531145,344155,255147,752124,920113,928104,291102,872108,342149,728147,416137,644136,247
Voorraad 146,587134,536101,88581,765100,495100,39175,52570,69177,91690,10884,56683,62369,97252,39356,27075,52971,08759,66050,09947,370
Overige vlottende activa 10,62610,3688,6008,1639,8829,57411,8545,4034,1214,5513,7793,7274,6313,5023,0366,3024,6834,4752,3491,505
Totaal vlottende activa 429,309398,716364,132307,009299,338327,164338,220331,909372,347377,286356,439301,041285,054263,519268,441283,600326,740319,699297,929269,499
Niet-vlottende activa:
Materiële vaste activa, netto 183,700176,668164,429160,270154,907130,595136,812132,008124,734129,509126,292118,436109,554105,990106,655103,769115,832110,329100,307100,221
Goodwill 6,7816,4266,2516,0675,9287,4698841,1531,6012,2303,2133,3763,4813,7363,6382,8713,3513,73500
Immateriële activa 12,61011,81011,90013,53215,00911,2149,8517,8364,9273,3823,4933,6302,9113,2244,0424,3383,9133,2515,9274,236
Goodwill en immateriële activa 19,39118,23618,15119,59920,93718,68310,7358,9896,5285,6126,7067,0066,3926,9607,6807,2097,2646,9865,9274,236
Langetermijnbeleggingen 25,45842,81562,38064,29269,91476,39330,2426,356-16,3451,675-8119,7398,38014,47619,51824,13937,04061,35158,94551,598
Belastingvorderingen 12,38811,1245,3436,12413,49614,2135,8745,9657,4885,5965,9928,2979,89614,38115,73613,69912,5528,7777,02210,830
Overige niet-vlottende activa 10,8073432335,28348,20070,50953,85357,37440,92750,56047,46650,14847,53144,10738,33141,11838,840
Totaal niet-vlottende activa 251,744248,846250,307250,288259,256239,887218,946201,518192,914196,245196,283194,405184,782189,273199,737196,347216,795225,774213,319205,725
Totaal activa 681,053647,562614,439557,298558,595567,051557,170533,433565,266573,535552,729495,449469,836452,792468,178479,947543,535545,473511,248475,224
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 42,81462,97258,82842,00951,74565,91719,16216,72218,35920,26120,23017,24714,27712,3029,14217,08129,01327,49925,72823,271
Kortlopende schulden 10,5164,6574,82211,22016,8795,3668,21913,92326,06633,19430,25218,64810,0537,07011,7975,2895,9719,6307,2888,423
Belastingschulden 8,06910,5959,1202,0342,9097,9188,1603,6209,5836,4857,4212,8061,4631,5267769487,83810,2918,2354,484
Uitgestelde opbrengsten 8,06915,82715,3686,8037,70710,74912,2307,40613,94110,38210,9645,66019,10619,10020,16824,37930,55412,1529,8286,098
Overige kortlopende verplichtingen 66,94737,55732,63725,08623,47223,96562,85058,69259,55761,85056,54746,94133,28815,40712,97916,54023,42946,77137,05135,058
Totaal kortlopende verplichtingen 128,346121,013111,65585,11899,803105,997102,46196,743117,923125,687117,99388,49676,72453,87954,08663,28988,96796,05279,89572,850
Langlopende verplichtingen:
Langetermijnschulden 06672,2443,6904,3534,5565,4163,5298,0456,3553,5983,9411,6232,1942,9801,308311828310474
Uitgestelde opbrengsten niet-vlottend 013,36512,74413,20513,1325,7683,3945,35211,9977,7686,6849,47510,68611,84512,72612,84014,52915,92617,30317,697
Uitgestelde belastingverplichtingen niet-vlottend 9959335031,1162,6511,2708146729059519379621,0311,3884093133703592471
Overige niet-vlottende verplichtingen 17,3143,0643,2593,3574,1084,0646,2227,1677,0166,2956,5157,4737,8038,3279,3109,56113,77013,34015,44913,924
Totaal niet-vlottende verplichtingen 18,30918,02918,75021,36824,24415,65815,84616,72027,96321,36917,73421,85121,14323,75425,42524,02228,98030,45333,30932,096
Totaal passiva 146,655139,042130,405106,486124,047121,655118,307113,463145,886147,056135,727110,34797,86777,63379,51187,311117,947126,505113,204104,946
Eigen vermogen:
Preferente aandelen 0474,855455,624438,875435,076439,99400000000000000
Gewone aandelen 54,76854,76854,76854,76854,76854,76854,76854,76854,76854,76854,76854,76854,76854,76854,76854,76854,76854,76854,76854,768
Ingehouden winsten 311,076288,300269,067252,315248,515243,714242,449226,500217,253208,449210,617202,865203,980203,485203,865211,424215,450197,110179,716161,405
Overige gereserveerde algehele resultaten 52,03829,27224,1648,202-3,9851,5542,950-15,791-6,8267,344-5,353-29,36200000000
Overige totale aandeelhoudersvermogen 111,779-343,068-323,835-307,083-303,283-298,482135,505151,356151,060152,862154,427154,016111,580115,269128,215123,907152,144162,444160,207151,635
Totaal eigen vermogen van aandeelhouders 529,661504,127479,788447,077431,091441,548435,672416,833416,255423,423414,459382,287370,328373,522386,848390,099422,362414,322394,691367,808
Totaal eigen vermogen 534,396508,520484,034450,812434,548445,396438,863419,970419,380426,479417,002385,102371,969375,159388,667392,636425,588418,968398,044370,278
Totaal passiva en aandeelhoudersvermogen 681,051647,562614,439557,298558,595567,051557,170533,433565,266573,535552,729495,449469,836452,792468,178479,947543,535545,473511,248475,224