Komatsu Ltd.

TSE:6301.T

4258 (JPY) • At close May 9, 2025
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 439,256393,426346,177237,248118,616163,684274,651208,965119,366143,137161,448169,604137,135176,748157,82741,20378,797208,793164,638114,29059,01026,9633,009-80,6216,91313,395-12,37819,241
Afschrijvingen & Amortisatie 163,004156,835149,688136,346133,126131,596131,464133,910104,295112,467102,23987,27389,32290,10689,46791,31998,354072,70972,64069,02069,86370,22961,58165,10663,69055,37649,410
Uitgestelde Inkomstenbelasting -29,6290-4,281-7,655-5,288-3,591-5,942-652-1,5861,416000000000000000000
Aandelen Gebaseerde Vergoedingen 000000000000500000000000000000
Verandering in Werkkapitaal -79,617-160,851-330,475-96,16850,397-23,132-234,282-206,363-29,1856,90477,54767,684-24,556-212,608-125,79652,528-108,1140-63,723-54,157-37,1447,7899,82041,72911,2683,22515,25316,870
Vorderingen -157,811-94,059-125,709-85,436-39,20944,568-74,121-181,426-69,120-23,87746,5319,491-21,656000000000000000
Voorraden 21,076-66,792-214,520-116,55856,156-9,915-99,507-94,1547,47453,86747,17849,50442,040-137,354-97,790117,707-22,3070-73,448-52,228-42,418-17,11221,29820,611-3,89913,683-2,803-9,970
Crediteuren 15,147-59,15614,59265,03030,483-38,340-37,68328,83036,351-13,446000000000000000000
Overig Werkkapitaal 41,97159,156-4,83840,7962,967-19,445-22,971-112,209-36,659-46,96330,36918,180-66,596-75,254-28,006-65,179-85,80709,725-1,9295,27424,901-11,47821,11815,167-10,45818,05626,840
Overige Niet-Contante Posten 24,15345,36841,08423,54451,99023,03330,71511,88261,65057,1262,420-5,13712,14451,36228,904-2,8899,738-47,808-11,5003,33430,48312,675-34,80137,632-13,311-46,086-23,905-18,075
Kasstroom uit Operationele Activiteiten 517,167434,778206,474300,970354,129295,181202,548148,394256,126319,634343,654319,424214,045105,608150,402182,16178,775160,985162,124136,107121,369117,29048,25760,32169,97634,22434,34667,446
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -205,855-202,947-183,533-162,956-181,548-184,707-192,050-154,927-150,614-166,479-200,080-186,030-142,992-126,090-100,820-92,401-145,6700-122,860-112,915-72,873-59,350-69,182-54,118-60,046-57,728-114,874-123,026
Netto Overnames -11,179-25,177-2,816-815-1,770-21,646-7,860-300,321-1,615-15,988-3,081-5,639-5,051-8,6499761,768-223010,74716,146-148-10,4405,30054,118-8,99457,728114,874123,026
Aankoop van Beleggingen -918-415-1,941-686-772-630-342-730-361-2,524-1,391-73-11-1,897-2,615-6,110-13,1660-12,711-5,681-4,690-4,308-4,549-4,848-42,222-98,218-25,062-27,362
Verkoop/verval van Beleggingen 0019,170242228441,96063,0046115,3532,6825,2814,5653,8584,05812,5647,27707,5784,1122,59314,0569,4537,86654,621137,27850,92970,584
Overige Investeringsactiviteiten 7,28324,120-39820,64621,01115,20911,08815,22918,68030,99620,07719,02212,0928,2399,89211,2126,414-128,18217,62616,54637,38719,11122,960-19,95121,499-20,180-89,870-131,507
Kasstroom uit Investeringsactiviteiten -210,669-204,419-169,518-143,569-163,057-190,930-187,204-377,745-133,299-148,642-181,793-167,439-131,397-124,539-88,509-72,967-145,368-128,182-99,620-81,792-37,731-40,931-36,018-16,933-35,14218,880-64,003-88,285
Financieringsactiviteiten:
Schuldaflossingen -32,98427,82857,595-38,740-136,788112,756105,292313,674-49,946-113,591-49,987-97,360-22,402146,924-34,305-87,718138,08819,389-19,047-70,098-48,036-72,97325,291-34,905-62,416-54,85215,38059,470
Uitgifte van Gewone Aandelen 002,01230,440000492376400380175132069151752700000000
Terugkoop van Gewone Aandelen -101,24900000-20000-29,574-310-30,68000-32,685000-8720000000
Uitgekeerde Dividenden -166,565-139,090-113,505-72,815-53,878-107,687-93,457-61,335-54,711-54,696-55,324-50,539-42,877-39,701-25,178-25,180-43,8030-22,859-13,889-8,927-5,955-5,724-5,730-5,770-5,803-7,751-7,872
Overige Financieringsactiviteiten -20,626-10,775-12,71517,687-9,001-8,526-15,475-8,439-3,298-4,856-9,098-7,419-6,573-57,7622,943-3,597-4,3813080000000000
Kasstroom uit Financieringsactiviteiten -321,424-122,037-66,613-93,868-199,667-3,457-3,660243,949-107,718-173,079-143,983-155,349-71,81418,781-56,365-116,36357,219-17,422-41,389-83,460-57,835-78,97118,846-40,455-75,863-61,5656,61442,395
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 04,8814,27210,0242,782-1,657-7,6029,898-1,4672,441-2,845616-293-995-3,733-965-2,073-5,5701,0871,632301-2,134-3258813131,6361,082-121
Netto Kasstroomverandering 0113,203-25,38573,557-5,81399,1374,08224,49613,64235415,033-2,74810,541-1,1451,795-8,134-11,4479,81122,202-27,51326,104-4,74630,7605,632-40,716-6,825-21,96121,435
Kaspositie aan het Einde van de Periode 385,569403,178289,975315,360241,803247,616148,479144,397119,901106,259105,90590,87293,62083,07984,22482,42990,563102,01092,19969,99797,51071,40676,15245,39239,76080,47687,301109,262