Rorze Corporation

TSE:6323.T

1844 (JPY) • At close September 19, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 37,95128,29223,631.7216,825.09612,838.07811,538.1318,652.3516,360.1694,494.0813,850.2833,342.0652,889.7912,433.0021,917.5292,302.1042,482.929
Kortetermijnbeleggingen 0-1,085-375.589-347.213-302.94-566.30300-83.578-100.569-357.496-123-48.348-93.946-155.649-233.958
Liquide middelen en kortetermijnbeleggingen 37,95128,29223,631.7216,825.09612,838.07811,538.1318,652.3516,360.1694,494.0813,850.2833,342.0652,889.7912,433.0021,917.5292,302.1042,482.929
Nettovorderingen 26,44626,72218,915.23511,341.9811,410.0158,640.2868,306.2067,788.9876,385.2334,214.1454,256.9333,007.0433,006.9383,105.5072,075.6452,679.064
Voorraad 53,28442,83322,424.02311,115.17911,638.23914,068.3857,420.5174,833.1464,524.534,095.2133,778.3743,540.0633,621.6824,051.7433,263.9133,582.092
Overige vlottende activa 2,4592,1391,484.62660.942409.617452.302439.934410.125161.417181.224169.15471.72338.686127.9224.36561.452
Totaal vlottende activa 120,14099,98666,455.59839,943.19736,295.94934,699.10424,819.00819,392.42715,565.26112,340.86511,546.5269,508.629,100.3089,202.6997,666.0278,805.537
Niet-vlottende activa:
Materiële vaste activa, netto 22,62122,10217,481.05516,657.70316,411.24111,636.9177,908.8826,545.6896,002.6076,027.7925,810.9475,216.5855,028.6495,323.0755,605.8025,918.621
Goodwill 2,31900000000000.8280000.247
Immateriële activa 2,902643614.525543.893569.622240.527245.912237.307241.175244.607201.27620400190.325182.46
Goodwill en immateriële activa 5,221643614.525543.893569.622240.527245.912237.307241.175244.607201.276204.828206.325239.529190.325182.707
Langetermijnbeleggingen 4,9362,4541,6941,157641910412.605307.645340.673341.275593371.404322.044377.12521.616441.859
Belastingvorderingen 1,9591,2901,771.445955.688859.9736.4975.6411.26267.13733.331-5938.375268.744304.897374.055197.574
Overige niet-vlottende activa 1,2594273.889273.701-0.5460.262510.764496.523274.236235.855707.394211.077136.715124.31114.873103.446
Totaal niet-vlottende activa 35,99626,49321,834.91419,587.98518,481.2912,794.2039,083.8047,588.4266,925.8286,882.866,719.6176,012.2695,962.4776,368.9316,806.6716,844.207
Totaal activa 156,136126,48288,290.51459,531.18454,777.24147,493.3133,902.81226,980.85422,491.08919,223.72518,266.14315,520.88915,062.78515,571.6314,472.69815,649.744
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 6,3927,3506,850.52,618.7743,054.4192,567.612,719.6762,697.0241,323.7521,165.5891,369.931757.223883.3161,084.679559.245690.392
Kortlopende schulden 16,33914,93611,924.71911,470.0579,883.9888,900.5114,426.3713,420.9863,001.3412,963.8112,979.5732,984.0773,291.5183,257.6943,746.6274,247.602
Belastingschulden 4,5674,3594,443.9611,325.4581,325.771,176.448616.754623.058863.948143.599276.607102.37281.035157.95381.18999.52
Uitgestelde opbrengsten 4,5676,7396,532.9113,090.3122,551.7432,421.8871,795.5031,655.2681,810.956731.666674.51434.574390.013524.66178.624312.241
Overige kortlopende verplichtingen 9,1324,0193,183.7461,675.8162,228.451,244.825823.791,659.476797.277790.386625.948695.987693.513721.864674.093321.714
Totaal kortlopende verplichtingen 36,43033,04428,491.87618,854.95917,718.615,134.8339,765.349,432.7546,933.3265,651.4525,649.9624,871.8615,258.365,588.8975,158.5895,571.949
Langlopende verplichtingen:
Langetermijnschulden 18,16717,8878,961.4515,299.1667,809.0677,943.2622,659.52568.2441,344.7641,425.5451,808.9161,996.8081,860.7011,994.7711,698.0541,585.16
Uitgestelde opbrengsten niet-vlottend 7645-399.741-320.04-427.305432.85483.168623.521565.475581.848495.186422.882370.389362.365357.377349.843
Uitgestelde belastingverplichtingen niet-vlottend 997105399.741320.04427.30536.54143.18124.72184.43414.44117.80483.2675.35158.26256.127181.682
Overige niet-vlottende verplichtingen 9829614.947771.316678.4644.3524.3490.3010.30.30.3010.3020.3021.0290.5410.299
Totaal niet-vlottende verplichtingen 20,15318,6469,576.3986,070.4828,487.5318,417.0043,290.2171,316.7862,094.9732,022.1332,422.2072,503.2522,306.7432,416.4272,112.0992,116.984
Totaal passiva 56,58351,69038,068.27424,925.44126,206.13123,551.83713,055.55710,749.549,028.2997,673.5858,072.1697,375.1137,565.1038,005.3247,270.6887,688.933
Eigen vermogen:
Preferente aandelen 063,6180688.554304.1316.24400009500000
Gewone aandelen 982982982.775982.775982.775982.775982.775982.775982.775982.775982.775982.775982.775982.775982.775982.775
Ingehouden winsten 78,46561,22141,506.82929,200.85723,249.11418,210.42914,188.54411,876.9149,081.1257,005.8076,225.9655,872.7796,064.7845,966.8965,353.0196,104.282
Overige gereserveerde algehele resultaten 7,6204,6871,528.582-688.554-304.131-6.244416.308172.434374.867502-9500000
Overige totale aandeelhoudersvermogen 5,232-62,2031,415.949728.221,112.9411,410.9461,431.5551,144.5981,119.2241,118.5541,007.773-61.005-668.472-435.83-113.177-184.09
Totaal eigen vermogen van aandeelhouders 92,29968,30545,434.13530,911.85225,344.8320,604.1517,019.18214,176.72111,557.9919,609.1368,216.5136,794.5496,379.0876,513.8416,222.6176,902.967
Totaal eigen vermogen 99,55074,79250,222.2434,605.74328,571.1123,941.47320,847.25316,231.31413,462.7911,550.1410,193.9748,145.7767,497.6827,566.3067,202.017,960.811
Totaal passiva en aandeelhoudersvermogen 156,136126,48288,290.51459,531.18454,777.24147,493.3133,902.8126,980.85422,491.08919,223.72518,266.14315,520.88915,062.78515,571.6314,472.69815,649.744