MODEC, Inc.

TSE:6269.T

3435 (JPY) • At close November 12, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 142,941.314492.625810.131641.09481.015464.11278.341366481.035256.39207.621388.047225.082148.737338.553496.443257.918242.164212.192137.048
Kortetermijnbeleggingen 57.80637.28814.171-368.498-347.907-334.814-308.339-240.811-224.175-168.681-369.488-163.402-113.763-141.878-153.582-120.956-146.267-137.332-282.224-78.151
Liquide middelen en kortetermijnbeleggingen 142,941.314529.913824.302641.09481.015464.11278.341366481.035256.39207.621388.047225.082148.737338.553496.443257.918242.164212.192137.048
Nettovorderingen 113,505.53697,033.804126,474.7371,209.5261,577.1891,252.6861,302.7641,315.1521,412.7011,789.799841.108656.525741.341949.318991.652567.536363.245341.057160.586253.696
Voorraad 00-125,376.437184.8742.51748.989.72220.17831.65649.62634.93776.7730.08510.7368.9516.35422.5321.15418.9481.609
Overige vlottende activa 30,524.99141.823138.138174.747172.181152.957165.745162.92984.20380.31968.40664.95465.44595.32633.45243.39827.17525.51521.72123.809
Totaal vlottende activa 286,971.8391,407.1472,060.742,210.2332,272.9031,918.7331,756.571,864.2592,009.5962,176.1331,152.0721,186.2951,061.9531,204.1161,372.6081,113.732670.869629.891413.447416.162
Niet-vlottende activa:
Materiële vaste activa, netto 7,054.92164.31451.36645.84446.35623.04560.875121.077153.425141.654167.747144.479155.465184.46716.30248.80535.14532.99860.07155.636
Goodwill 0006.3327.8069.27910.70612.0928.41131.8935.06138.48441.97544.87139.4769.29964.75960.80300
Immateriële activa 49.48370.21380.84593.29880.82974.63555.3451.35133.6433.35435.40440.12441.57338.79838.66443.47570.51866.21144.42246.486
Goodwill en immateriële activa 49.48370.21380.84599.62988.63483.91466.04663.44162.05165.24470.46578.60783.54883.66978.134112.774135.277127.01444.42246.486
Langetermijnbeleggingen 244,739.4471,090.381738.1531,023.4151,010.938982.366869.145744.773647.367481.618622.442322.558255.427293.486311.473249.708245.822230.806353.882115.988
Belastingvorderingen 4,635.56365.01654.94146.85336.01628.96215.67322.79438.70342.29433.55551.11444.62717.23917.74231.78111.98211.2511.39210.538
Overige niet-vlottende activa 6,978.793439.142439.49640.72463.9674.33680.38932.930.8939.7769.0739.1312.11216.13512.9928.1714.524.2443.2383.505
Totaal niet-vlottende activa 263,458.2081,729.0661,364.8011,256.4661,245.9031,192.6231,092.128984.986932.439740.586903.282605.888551.178594.997436.642451.239432.746406.313473.005232.152
Totaal activa 550,430.0473,136.2133,425.5423,466.7383,518.8243,111.3922,848.7342,849.2792,942.0512,916.7532,055.3731,792.231,613.1311,799.1131,809.251,564.971,103.6151,036.204886.452648.314
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 132,220.631921.7081,356.4721,467.3511,385.228885.176712.571827.111,205.4091,339.845836.562661.945600.808509.966603.323373.34145.526136.637159.93699.953
Kortlopende schulden 11,746.87719.084426.86798.34142.10755.768128.37666.96450.41468.592104.0139.78670.929285.106465.592397.071332.188311.897263.041188.256
Belastingschulden 9,889.32438.38940.56450.31447.165.41959.5883.04636.18871.32134.55649.96235.68626.2958.215.24216.48815.4812.92614.789
Uitgestelde opbrengsten 83,217.39265,891.09777.933678.945563.9197,219290.209310.117199.474275.072142.864249.65132.905111.44891.868214.48168.60764.41627.66832.731
Overige kortlopende verplichtingen -52,921.495-66,027.536-1,293.55-1,456.559-1,394.411-7,805.067-762.793-895.664-1,225.711-1,394.291-858.129-695.218-625.175-487.978-584.507-359.134-133.537-125.38-135.721-95.453
Totaal kortlopende verplichtingen 316,373.3591,764.4432,664.7582,305.7412,129.171,305.4721,140.5131,218.6831,471.1831,700.3821,096.427968.07815.961954.8021,187.8091,004.338574.799539.689477.785340.23
Langlopende verplichtingen:
Langetermijnschulden 72,316.255374.2930.05561.727119.976225.87280.186363.264417.058127.743149.50742.69468.29199.878144.7776.666114.719107.71254.84961.843
Uitgestelde opbrengsten niet-vlottend 2,526.5030158.87411.2095.9786.742-610-1,370-2,4761.6071.6771.9312.1835.6325.9966.1892.8212.6481.9882.028
Uitgestelde belastingverplichtingen niet-vlottend 2,310.9441.2830.0080.6011.82.96101,3702,4765.1484.5932.3733.8998.6998.1459.72428.33626.60613.10813.44
Overige niet-vlottende verplichtingen 10,947.238155.07347.088166.156110.66476.873111.851116.41799.451164.26136.53874.82744.04214.47931.90520.1085.1754.8593.0110
Totaal niet-vlottende verplichtingen 88,100.94530.649206.025239.693238.418312.385392.036479.681516.509298.759192.315121.824118.415128.688190.817112.686151.051141.82572.95677.311
Totaal passiva 404,474.2992,295.0922,870.7832,545.4342,367.5881,617.8571,532.551,698.3641,987.6921,999.1411,288.7421,089.894934.3761,083.491,378.6261,117.024725.85681.514550.741417.54
Eigen vermogen:
Preferente aandelen 0013,257.56518,211.6959,3941,7800000816000000000
Gewone aandelen 26,855.985282.292282.292292.072276.61272.966267.182257.543250.013252.121192.363234.752262.314247.67133.154136.45110.868104.096104.91669.772
Ingehouden winsten 73,628.215131.00485.957545.562660.717847.94660.771489.291317.55287.409290.932313.312299.247258.48206.85196.851119.17111.89188.34373.404
Overige gereserveerde algehele resultaten 13,258.04115,668.337-13,257.565-18,211.695-9,394-1,7801,0344,85060,9731,464-816000000000
Overige totale aandeelhoudersvermogen 26,225.1-15,269.993164.29248.84181.08262.544-751.189-4,544.756-60,697.656-1,193.515191.53481.20153.827151.8970.8776.038135.443127.17127.15274.014
Totaal eigen vermogen van aandeelhouders 139,967.341811.64532.541886.4751,118.4071,383.451,210.7641,052.078842.906810.015674.829629.264615.389658.04410.873409.338365.48343.156320.411217.19
Totaal eigen vermogen 145,955.184841.121554.759921.3041,151.2361,493.5351,316.1841,150.916954.359917.611766.631702.336678.755715.623430.624447.946377.764354.69335.711230.774
Totaal passiva en aandeelhoudersvermogen 550,429.4833,136.2133,425.5423,466.7383,518.8243,111.3922,848.7342,849.2792,942.0512,916.7532,055.3731,792.231,613.1311,799.1131,809.251,564.971,103.6151,036.204886.452648.314