Nabtesco Corporation

TSE:6268.T

2415.5 (JPY) • At close November 5, 2024
Overzicht | Financiële gegevens

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

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Operationele Activiteiten:
Nettowinst 1,4551,5642,9521,2614,0573,1217,145-61616,251-336-3,9122,458-4,468-11,21281,1158,6934,3034,9415,5756,2664,9334,0494,7038,3725,801-1,1679,9596,7916,7466,4226,6108,0776,8695,4965,6805,8296,6376,4886,7247,0506,7648,1216,6254,3194,4575,8983,6555,0524,3925,9055,4376,7196,7865,2726,6595,1004,9233,3512,2751,2871,098946-1,369
Afschrijvingen & Amortisatie 4,2763,8743,9354,0723,9733,7403,6843,7533,6323,6353,4633,4333,1973,3093,3273,4063,6103,3953,3193,4553,2113,2013,2262,5472,5662,4522,4462,7342,2832,0321,9252,2242,4902,0632,0532,4073,0932,0731,9651,7511,6942,7752,2002,1511,9742,2942,3682,1782,0492,2371,9991,7441,2871,4221,3701,3051,2221,4811,3641,3431,2251,6661,518
Uitgestelde Inkomstenbelasting 0000000000000000000000000001,247-2,273000-3,053-4110-908-6,794-907-3,357-782-7,489-1,509-3,343-1,011-3,328-835-3,416-741-4,594-515-3,326-828-7,170-805-1,233-740-1,556-1,686-3580000
Aandelen Gebaseerde Vergoedingen 0000000000000000000000000009985000613707133343423343535232929301929293019242524172727280000
Verandering in Werkkapitaal 1,267124770-6,314-6,2917384,370-4,387-1,4268934,367-5,466-3,2512,1839,570-3,259-2,4673,2931,660-692,028359932-3,641-2,442-1,0311,366-3,354-5,042-1,7803,000-2,57831,568-338316-3,2904,640-3,612-920-2,4577,791-4,4681,595-995-706-3,007-1,074-894-1,504-2,435-882-4315,158-1,5657554403,569-693594-7352,224-151
Vorderingen 957-1,7899,8442074,9584,0016,857-12,090-4683,97710,653-12,1706503,2589,807-13,1992,3983,5522,007-4,0694,610-485,479-9,5302,3251,6784,031-6,975-3,581-2,6993,574-6,5073,1633,526-649001,493-3,192-459-617-1,106-4,9142,668-1,674-1,2261,901792,165816-1,411000000000000
Voorraden -1,643392-5,4758,019626-3,625-4,8234,579-1,344-2,837-5,5334,459-2,998-1,689-3,6185,626182899-2,0945,464-54153-2,9614,966-4,497-2,460-2,463584-2,805-414-3,1001,497-1,262103-1,436-454-3,5442,650-424263-4,0943,253-1,372-472-7093,836-1,605-489-1,1162,659-1,378355-1,862601-1,38085-1,40274001,319-7141,828-559
Crediteuren 1,080-615-3,677-4,476-4,9581412,2383,020294-183-8292,201-1,0426023,279000000000000000000000000000000000000000000000000
Overig Werkkapitaal 8732,136-840-10,064-6,9172219810492-649,900-9,925-2533,87213,188-8,885-2,6492,3943,754-5,5332,5693063,893-8,6072,0551,4293,829-3,938-2,237-1,3666,100-4,0751,2651,4651,0987702541,990-3,188-1,1831,6374,538-3,0962,067-286-4,542-1,402-585222-4,163-1,057-1,2371,4314,557-1856701,8422,8290-725-21396408
Overige Niet-Contante Posten -1,14311,4171224,062-5,2801,724-12,8854,600-15,1863,303-10,3176,1627,64217,058-78,717427-1,059-281-1,3531,882-1,028-11,286-62-2,3554,312-4,958-34-5264-4,679-1,1591,006-3,7601,356-1,2631,7391,571-1,845-2,2312,704-1,129-1,1161,0891,2771,989-1,466-9906932,946-2,199618-1,386505-95318-551501-8322,300-1,247127-226
Kasstroom uit Operationele Activiteiten 5,8557,2195,8363,081-3,5419,3232,3143,3503,2717,495-6,3996,5873,12011,33815,2959,2674,38711,3489,20111,5349,1447,60810,1477,2163,5704,5668,8137,4831,7946,9386,8566,5647,3215,0938,7516,4521,41813,899-914,8911,25016,084-678,1663,4148,669-1,8364,4441,6759,098-4947,390-89011,5775,1606,7554,5057,2431,7845,5243414,963-228
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -5,009-5,070-13,107-4,513-8,009-3,771-9,306-2,585-2,949-3,591-2,243-1,935-2,726-2,251-2,387-2,670-2,144-3,575-10,308-3,209-2,193-4,975-4,386-5,274-6,303-5,577-4,336-3,877-2,541-1,856-3,919-4,183-3,865-4,425-2,921-2,465-2,512-1,550-1,582-2,164-1,310-1,657-1,967-1,971-2,025-2,305-2,779-5,087-3,769-2,736-3,730-1,426-1,738-2,045-1,167-894-543-758-976-1,332-2,985-2,962-2,432
Netto Overnames 40181901,2144,562-5,282-1328,4712721-7467903,1560000000000000-3-35-8,165-1421-875-21-508-1,722-263-979-294-156-4122-40-480-353-383-63-8201240000000-200-400-9
Aankoop van Beleggingen -346-82-630-1,694-6,337-9,302-5,73213-28,471-270-465-1400-5750000000000000000-3-3-3-931-35-101-10-75-39-130-23-9-117-32-41-67-2-3-3-9-17,627-3-3-4-152-2-4-2-531-264-26
Verkoop/verval van Beleggingen 000637-414-15258247,1964002961092,11813838077,8620-52,1535000000000000199253435322,0829083111379925773452480001300000004620307
Overige Investeringsactiviteiten 166-99-305780-2771,122-493-1,502-26,4282,6911,8376614,327-22-10,3883,347-3942,5292,505-5,399-27827480561-315231-810324-43-17099-288202477624367-161-3598219176-105363-1960337578-231-59-3714020-452612516299241-182-142113327-20
Kasstroom uit Investeringsactiviteiten -6,102-5,249-14,042-4,700-13,823-7,541-20,23143,109-28,977-604-297-3671,739-1,89367,668677-2,538-1,046-7,803-8,608-2,471-4,701-4,306-4,713-6,618-5,346-5,146-3,553-2,587-2,061-11,985-4,289-3,643-4,773-2,284-2,043-2,348-1,859-2,390-2,313-1,318-2,267-1,526-1,782-2,489-1,901-2,577-5,385-3,830-2,776-3,456-1,415-19,817-2,042-1,045-736-596-519-720-1,476-3,440-2,899-2,480
Financieringsactiviteiten:
Schuldaflossingen -356-2,060-7,533-412-2,209-58-60-57-57-58-60-10,054-55-56-57-53-52-152-53-56-59-58-59-58-56-63-72-74-21-48-55-10,076-49-1,784-410-41-59-84-10,048-37-51-12-55-3-34-1000-17100000-1190-2,189000-3,000
Uitgifte van Gewone Aandelen -15616-8421-2323-1-127800000000000000000715000706100-3,494633-15600-724464312-1,4140-39694302411630027000391511111019
Terugkoop van Gewone Aandelen 0-1616-1-1-123-1-1278-1-37-12,237-8,694-1000-10358-1-120-1-2-2-98300-1-1-8,183-1,818-8,183-1-100-1-2,380-1-1-1-2-100-163-10-4-8-10-9-32-43-9-5-4-9
Uitgekeerde Dividenden -4,817-298-4,524-9-4,804-282-4,408-8-4,683-318-4,371-10-4,561-242-3,987-17-5,081-283-4,310-17-4,463-335-4,256-13-4,459-295-4,417-186-4,039-202-3,020-141-2,842-195-2,648-193-2,855-112-2,430-172-2,369-117-2,194-184-1,864-134-2,170-202-1,954-117-2,039-183-1,8470-1,1440-6350-5080-5080-1,144
Overige Financieringsactiviteiten -1,546-427180738963955-3,0753471,301-1,384-4,141142101-16,005-23,176-1,221-2,786-1,563-1,926-4,7683,2611,478-4,03314,9091,6791,250-81931-4476,2379,351-343,539-63412934-11372-1,42431120-2-325976-5,067-1,175-33019,742-168156-72-297239-1,8854,376-4100-99-549
Kasstroom uit Financieringsactiviteiten -6,7206042,380-526-6,050591-7,497281-3,440-1,733-8,564-9,922-4,515-16,303-27,220-1,291-7,919-1,998-6,289-4,841-1,2611,085-8,34814,838-2,836892-4,498-69-3,346-6973,162-866-2,2201,560-3,282-1,882-14,539460-2,670-9,848-3,830-862-4,12192-3,284-494-1,593-5,176-2,827-36-1,7429,558-1,745152-1,224-268-509-1,9061,637-2-413-102-4,693
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 02,2961,296-1,0687761,888426-7598912,1971,8211,1381641091,16835176-9-435587-354-63971-458181-38-505227189288-297968-51-812-967-554265796794-22-346908-340965260573-249579138-411-141191-83-142-37821106-19113146-533-289
Netto Kasstroomverandering -9,8874,869-4,529-3,213-22,6384,261-24,98845,981-28,2557,355-13,439-2,564508-6,74956,9119,004-5,9948,295-5,326-1,3285,0583,353-2,43616,883-5,70374-1,3364,087-3,9514,470-2,2652,3781,4061,0692,2171,972-15,20513,296-4,355-7,294-4,24413,863-6,1886,885-1,7086,879-5,932-6,366-4,4046,425-6,10415,395-22,2639,6032,7485,3723,4224,9232,5114,058-3,3661,429-7,689
Kaspositie aan het Einde van de Periode 68,28878,17573,30677,83581,048103,68699,425124,41378,432106,68799,332112,771115,335114,827121,57664,66555,66161,65553,36058,68660,01454,95651,60354,03937,15642,85942,78544,12140,03443,98539,51541,77939,40137,99536,92637,22235,25050,45537,15941,51448,80853,05239,18945,37738,49240,20033,32139,25345,61950,02343,59849,70234,30756,57046,96744,21938,84735,42530,50227,99123,93327,29925,870