Freund Corporation

TSE:6312.T

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

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

2023202220212020201920182017201620152014201320122011201020092008
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 4,736.8493,917.1284,145.2074,498.4824,314.1235,534.4316,568.056,982.8224,042.2964,870.5664,600.5683,617.3683,035.0832,132.5623,073.3662,985.598
Kortetermijnbeleggingen 00-0.429212.5-1.53-1.244-1.55-2.257-2.8120000000
Liquide middelen en kortetermijnbeleggingen 4,736.8493,917.1284,145.2074,710.9824,314.1235,534.4316,568.056,982.8224,042.2964,870.5664,600.5683,617.3683,035.0832,132.5623,073.3662,985.598
Nettovorderingen 7,008.5075,529.2235,286.5784,811.4925,153.7334,310.4224,624.2584,683.1036,027.3755,644.1434,742.7655,164.675,282.3734,388.4793,860.5623,572.063
Voorraad 5,815.5935,586.3035,090.1033,473.4613,051.6242,475.3763,185.9172,765.5352,432.5161,771.8861,675.2042,102.4811,874.4821,416.2181,381.152,256.622
Overige vlottende activa 976.305837.365482.523562.302673.848390.955406.308507.193551.404495.565312.572200.384362.775324.427167.86869.725
Totaal vlottende activa 18,537.25415,870.01915,004.41113,558.23713,193.32812,711.18414,784.53314,938.65313,053.59112,782.1611,331.10911,084.90310,554.7138,261.6868,482.9468,884.008
Niet-vlottende activa:
Materiële vaste activa, netto 4,455.8294,441.4534,562.9624,734.6264,209.883,769.073,370.4313,234.9323,135.1223,403.7363,052.1252,910.1882,861.8692,947.0032,531.3582,544.012
Goodwill 00643.241658.9010092.104077.1590000000
Immateriële activa 1,150.721967.456791.589632.88296.08116.34910.35155.836105.6146.911178.329.74926.57335.20366.37195.269
Goodwill en immateriële activa 1,150.721967.4561,434.831,291.78396.08116.349102.45555.836182.759146.911178.329.74926.57335.20366.37195.269
Langetermijnbeleggingen 976.233926.66862.366391.048589.908631.712646.768617.373324.945348.501315.502309.056288.707291.904292.038296.361
Belastingvorderingen 503.485366.398235.394187.885208.497160.55620.63215.07329.42137.768157.619140.053129.592182.868228.603239.146
Overige niet-vlottende activa 165.738186.886173.937411.653207.629159.22200.726239.673480.816458.372515.874497.151480.658478.045448.433436.726
Totaal niet-vlottende activa 7,252.0066,888.8537,269.4897,016.9955,311.9954,736.9074,341.0124,162.8874,153.0624,495.2884,219.423,886.1973,787.3993,935.0233,566.8033,611.514
Totaal activa 25,789.2622,758.87522,273.90420,575.23518,505.32717,448.09619,125.54819,101.5417,206.65317,277.44815,550.52914,971.114,342.11212,196.70912,049.74912,495.522
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 3,881.2551,896.8361,767.4521,754.4541,754.3241,587.7691,931.8722,019.6561,680.8711,833.3332,068.8552,478.1822,810.1772,070.9541,894.0162,670.332
Kortlopende schulden 602.4896.09227.1855.79332.8293.9546.26150.21364.64264.75365.01720.39316.3470010.013
Belastingschulden 330.261130.135256.087245.29961.729151.746404.829570.27177.628420.465235.262521.946471.82310.348233.895224.122
Uitgestelde opbrengsten 3,932.0983,716.3963,685.0912,040.6961,414.5971,420.0982,518.8363,238.5832,115.2382,342.1871,823.2832,397.3482,212.184001,643.425
Overige kortlopende verplichtingen 1,504.9541,305.9221,556.0511,966.4861,822.17926.9381,107.9421,284.0211,454.8251,186.963445.57119.851166.1051,430.5211,633.513110.476
Totaal kortlopende verplichtingen 9,920.7077,815.2467,035.7745,817.4295,023.923,938.7595,564.9116,592.4735,315.5765,427.2364,402.7255,015.7745,204.8133,501.4753,527.5294,434.246
Langlopende verplichtingen:
Langetermijnschulden 12.045408.206376.253394.372.6015.2419.1969.01154.193113.498179.84959.80959.275007.509
Uitgestelde opbrengsten niet-vlottend -18.1120-52.623-104.2310-27.4960-29.395-44.2620000000
Uitgestelde belastingverplichtingen niet-vlottend 18.112052.623104.231027.496029.39544.2620000000
Overige niet-vlottende verplichtingen 833.082418.235507.101504.451234.858253.445309.226314.698307.701556.475575.064580.255588.466623.241582.527572.289
Totaal niet-vlottende verplichtingen 845.127826.441883.354898.821237.459258.686318.422323.709361.894669.973754.913640.064647.741623.241582.527579.798
Totaal passiva 10,765.8348,641.6877,919.1286,716.255,261.3794,197.4455,883.3336,916.1825,677.476,097.2095,157.6385,655.8385,852.5544,124.7164,110.0565,014.044
Eigen vermogen:
Preferente aandelen 005.655292.77272.102219.277301.0290101.304021000000
Gewone aandelen 1,035.61,035.61,035.61,035.61,035.61,035.61,035.61,035.61,035.61,035.61,035.61,035.61,035.61,035.61,035.61,035.6
Ingehouden winsten 12,287.56411,899.99912,808.68112,600.00411,964.29911,918.17711,419.49210,286.7119,515.6798,816.0018,335.5937,720.1987,084.1776,604.8536,217.1985,782.552
Overige gereserveerde algehele resultaten 1,112.109665.438-5.655-292.77-272.102-219.277-301.029-225.105-101.30457-21000000
Overige totale aandeelhoudersvermogen 588.151516.151510.495223.381244.049296.874787.1231,088.152977.9041,079.372867.907441.958236.316312.179561.674546.285
Totaal eigen vermogen van aandeelhouders 15,023.42414,117.18814,354.77613,858.98513,243.94813,250.65113,242.21512,185.35811,529.18310,987.97310,239.19,197.7568,356.0937,952.6327,814.4727,364.437
Totaal eigen vermogen 15,023.42414,117.18814,354.77613,858.98513,243.94813,250.65113,242.21512,185.35811,529.18311,180.23910,392.8919,315.2628,489.5588,071.9937,939.6937,481.478
Totaal passiva en aandeelhoudersvermogen 25,789.25822,758.87522,273.90420,575.23518,505.32717,448.09619,125.54819,101.5417,206.65317,277.44815,550.52914,971.114,342.11212,196.70912,049.74912,495.522