Dijet Industrial Co., Ltd.

TSE:6138.T

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

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,389.9661,240.6251,202.3041,577.3081,258.2871,686.4742,026.4441,323.041,150.0021,287.2471,412.9671,614.5251,453.5262,004.1812,116.7292,102.6321,197.757
Kortetermijnbeleggingen 0-42.885-32.056-33.532-38.722-32.467026.76129.788-339.941-329.112-631.7050000-14.313
Liquide middelen en kortetermijnbeleggingen 1,389.9661,240.6251,202.3041,577.3081,258.2871,686.4742,026.4441,323.041,150.0021,287.2471,412.9671,614.5251,453.5262,004.1812,116.7292,102.6321,197.757
Nettovorderingen 2,027.5451,949.9221,839.8991,479.9562,091.6762,279.1262,602.1872,324.2352,466.9072,706.2242,568.8792,606.172,922.0882,436.5362,317.3571,734.5493,360.079
Voorraad 5,125.1915,207.3644,655.5614,280.1214,466.6064,364.0064,082.2064,404.7164,741.9754,373.9263,828.7013,774.7883,484.0222,898.432,826.5123,644.0153,788.796
Overige vlottende activa 226.29175.521321.77977.792151.195154.7876.971106.289150.838170.74982.62380.356114.08253.06783.952267.74786.822
Totaal vlottende activa 8,768.9928,573.4328,019.5437,415.1777,967.7648,484.3868,787.8088,158.288,509.7228,538.1467,893.178,075.8397,973.7187,392.2147,344.557,748.9438,433.454
Niet-vlottende activa:
Materiële vaste activa, netto 5,443.0715,762.586,130.3096,618.7977,274.0636,526.8025,138.415,391.7955,334.6154,843.8494,415.1924,139.1783,994.383,853.6874,775.8995,291.5514,753.972
Goodwill 00000000000000000
Immateriële activa 221.616248.678264.644205.233105.73378.72451.68366.61967.14863.47750.09656.08728.99329.64619.96420.17620.384
Goodwill en immateriële activa 221.616248.678264.644205.233105.73378.72451.68366.61967.14863.47750.09656.08728.99329.64619.96420.17620.384
Langetermijnbeleggingen 1,990.3891,6981,6201,8811,5021,9232,256.0241,558.6211,475.6552,3152,0281,73400001,213.274
Belastingvorderingen 9.22104.90945.02427.892222.611150.99537.038-1,558.621-1,475.655-2,315-2,028-1,7340000262.656
Overige niet-vlottende activa 34.114-0.3420.180.096-0.117-0.0111.41,952.5241,854.4682,315.2112,028.0871,734.9971,727.1692,013.1181,694.3581,375.493629.543
Totaal niet-vlottende activa 7,698.417,813.8258,060.1578,733.0189,104.298,679.517,484.5557,410.9387,256.2317,222.5376,493.3755,930.2625,750.5425,896.4516,490.2216,687.226,879.829
Totaal activa 16,467.40216,387.26116,079.70316,148.19917,072.05717,163.89616,272.36315,569.21915,765.95315,760.68314,386.54514,006.10113,724.2613,288.66513,834.77114,436.16315,313.283
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 888.021419.606450.158411.474430.253626.96550.102468.112562.664848.6851,269.5911,190.41,461.7971,108.243756.192690.1521,366.053
Kortlopende schulden 2,374.3042,292.422,386.6352,705.0682,180.0761,793.4861,711.142,081.252,055.0291,794.561,398.2681,686.9821,870.072,733.2133,694.3723,534.8721,439.092
Belastingschulden 1.22677.22542.0212.6529.29727.546157.66245.24888.32942.0533.60754.23952.7737.52831.3272188.125
Uitgestelde opbrengsten 1.226270.817236.289187.815206.525206.637371.888231.212309.154256.505226.672237.373284.487172.911179.899156.356409.791
Overige kortlopende verplichtingen 716.0981,276.6251,184.39847.6081,645.7692,087.6651,450.585899.6871,429.0871,478.16725.045475.797387.343239.031362.134309.626338.868
Totaal kortlopende verplichtingen 3,979.6494,259.4684,257.4724,151.9654,462.6234,714.7484,083.7153,680.2614,355.9344,377.913,619.5763,590.5524,003.6974,253.3984,992.5974,691.0063,553.804
Langlopende verplichtingen:
Langetermijnschulden 2,772.3923,798.1633,813.0953,749.63,900.9233,412.0112,965.1453,184.782,900.3192,648.0732,489.7062,671.1332,221.2612,088.4262,470.7312,480.5572,808.352
Uitgestelde opbrengsten niet-vlottend 1,108.195-175.225-165.798-161.922-52.34301,243.0851,360.4431,459.3811,489.1811,423.351,277.1911,280.521,157.6541,044.23800
Uitgestelde belastingverplichtingen niet-vlottend 207.185175.225165.798161.92252.3430166.19174.33869.82304.956265.641135.013124.134221.38287.73500
Overige niet-vlottende verplichtingen 595.319832.253830.2771,295.3091,492.7671,538.825374.151374.151374.662375.909357.176386.478387.89391.34391.9411,351.7581,292.955
Totaal niet-vlottende verplichtingen 4,683.0914,630.4164,643.3725,044.9095,393.694,950.8364,748.5724,993.7124,804.1824,818.1194,535.8734,469.8154,013.8053,858.8023,994.6453,832.3154,101.307
Totaal passiva 8,662.748,889.8848,900.8449,196.8749,856.3139,665.5848,832.2878,673.9739,160.1169,196.0298,155.4498,060.3678,017.5028,112.28,987.2428,523.3217,655.111
Eigen vermogen:
Preferente aandelen 00000000000000000
Gewone aandelen 3,099.1943,099.1943,099.1943,099.1943,099.1943,0993,099.1943,099.1943,099.1943,099.1943,099.1943,099.1943,099.1943,099.1943,099.1943,099.1943,099.194
Ingehouden winsten 1,861.242,066.5061,748.7991,690.9122,378.9812,324.5792,006.5231,712.1471,515.4051,082.6191,128.333928.827754.866-1,230.089-1,390.305-129.0851,337.003
Overige gereserveerde algehele resultaten 1,187.485674.908674.014504.19180.22416.791676.148424.804331.84772332223500000
Overige totale aandeelhoudersvermogen 1,656.741,656.7691,656.8521,657.0281,657.3491,657.9411,658.211,659.1011,659.3911,659.8411,681.5691,682.7131,852.6983,307.363,138.642,942.7333,221.975
Totaal eigen vermogen van aandeelhouders 7,804.6597,497.3777,178.8596,951.3257,215.7447,498.3117,440.0756,895.2466,605.8376,564.6546,231.0965,945.7345,706.7585,176.4654,847.5295,912.8427,658.172
Totaal eigen vermogen 7,804.6597,497.3777,178.8596,951.3257,215.7447,498.3117,440.0756,895.2466,605.8376,564.6546,231.0965,945.7345,706.7585,176.4654,847.5295,912.8427,658.172
Totaal passiva en aandeelhoudersvermogen 16,467.39916,387.26116,079.70316,148.19917,072.05717,163.89516,272.36215,569.21915,765.95315,760.68314,386.54514,006.10113,724.2613,288.66513,834.77114,436.16315,313.283