Harmonic Drive Systems Inc.

TSE:6324.T

2975 (JPY) • At close September 19, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 18,941.71220,783.5719,901.2921,142.10619,554.40918,805.56929,423.94112,039.90412,876.38812,117.1079,057.01811,957.910,094.4556,988.0644,599.8636,667.0525,879.2014,744.4494,654.2973,386.074
Kortetermijnbeleggingen 1,413.78728.8427.61621.87416.2616.50640.92956.85630.68830.67830.66530.64730.62630.60130.57630.53730.41842.355530.23160.634
Liquide middelen en kortetermijnbeleggingen 20,355.49920,812.4119,928.90621,163.9819,570.66918,822.07529,464.8712,096.7612,907.07612,147.7859,087.68311,988.54710,125.0817,018.6654,630.4396,697.5895,909.6194,786.8045,184.5283,446.708
Nettovorderingen 11,729.25117,55415,5629,7657,22417,37216,710.97111,329.2248,856.9878,994.6467,173.1365,440.3916,229.947,370.6955,194.5762,802.6426,014.0095,682.6334,674.5275,214.528
Voorraad 12,629.78512,501.6979,404.1645,846.555,755.6947,370.9866,488.0983,728.2791,907.6181,898.6031,491.6761,275.8281,304.4571,607.2041,368.5811,192.781,248.2191,199.807963.861866.135
Overige vlottende activa 2,743.4591,287.866954.7761,315.673,416.1151,308.515729.661582.487251.009174.757177.201192.297200.659173.2237.073464.32790.145686.18431.841378.299
Totaal vlottende activa 47,457.99452,175.4845,872.71338,117.70935,988.45844,885.64653,393.627,736.7523,922.6923,215.79117,929.69618,897.06317,860.13716,169.76411,430.66911,157.33813,261.99212,355.42411,254.7579,905.67
Niet-vlottende activa:
Materiële vaste activa, netto 48,147.32348,926.84743,967.60341,991.89545,500.45640,852.93621,306.37314,644.5999,807.3267,145.9875,833.6375,690.8145,465.7154,817.4053,582.1933,877.9153,689.6053,180.7863,016.0283,130.626
Goodwill 015,258.13915,336.07215,532.77510,779.56711,891.97313,153.26333,338.073000001.9933.9875.987.974000
Immateriële activa 12,897.39125,074.76525,099.78825,470.56325,012.31727,646.91230,428.983231.296181.969177.041178.984152.049172.683172.29299.489108.904101.631105.40291.528100.84
Goodwill en immateriële activa 12,897.39140,332.90440,435.8641,003.33835,791.88439,538.88543,582.24633,569.369181.969177.041178.984152.049172.683174.285103.476114.884109.605105.40291.528100.84
Langetermijnbeleggingen 9,023.44412,46212,55918,4459,72612,48914,292.22210,387.40713,593.10917,683.32713,946.7611,755.71610,903.63912,414.4299,709.4137,993.6936,441.9436,843.3666,034.7133,065.685
Belastingvorderingen 137.493439.351454.91470.14420.973229.82171.611244.51629.62628.89425.97331.87724.21424.65128.91233.76417.43925.24921.03714.84
Overige niet-vlottende activa 1,478.646-0.34-0.170.086-0.285-0.5941,242.3931,151.8021,215.1771,189.924710.894426.4711,117.431667.8181,676.1611,282.087895.901616.0131,103.676130.804
Totaal niet-vlottende activa 71,684.297102,160.76297,417.203101,910.45991,439.02893,110.04780,594.84559,997.69324,827.20726,225.17320,696.24818,056.92717,683.68218,098.58815,100.15513,302.34311,154.49310,770.81610,266.9826,442.795
Totaal activa 119,142.291154,336.246143,289.918140,028.17127,427.49137,995.696133,988.44887,734.44548,749.949,440.96938,625.94836,953.99535,543.81934,268.35226,530.82424,459.68124,416.48523,126.2421,521.73916,348.465
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 3,036.5393,596.4343,856.8472,412.7981,472.7583,513.1223,162.0552,673.0782,308.1742,159.8421,742.1851,498.1141,477.9352,059.5461,571.8331,414.2742,019.8331,801.891,588.4721,534.054
Kortlopende schulden 3,930.135,762.5022,741.51,413.3211,265.545431.181458.00515,263.564305.971332.471122.1311,844.5791,843.736832.961815.669815.95356.003395.04937.71937.719
Belastingschulden 101.5811,046.4122,604.3837.683128.7912,414.8363,253.5671,599.892756.2731,541.9061,134.314525.20890.1132,100.899103.6122.703644.7171,224.787768.235682.105
Uitgestelde opbrengsten 172.5583,201.6644,599.0891,854.9671,007.9974,716.7865,645.2453,043.9041,853.6892,551.9251,957.8321,205.192799.5512,842.432487.089358.5561,270.8591,883.7981,195.5661,065.98
Overige kortlopende verplichtingen 4,580.6373,906.9182,929.9542,273.0071,381.3397,283.4524,364.7112,303.5291,477.0582,1321,257.1221,094.4941,055.3131,366.966640.944544.324781.402789.568595.202759.249
Totaal kortlopende verplichtingen 11,719.86416,467.51814,127.397,954.0935,127.63915,944.54113,630.01623,284.0755,944.8927,176.2385,079.275,642.3795,176.5357,101.9053,515.5353,133.1074,128.0974,870.3053,416.9593,397.002
Langlopende verplichtingen:
Langetermijnschulden 15,201.49721,603.44318,165.9828,089.5938,994.9371,880.8021,710.745571.592801.056561.569237.0843,291.4685,110.771,835.7752,506.4623,181.252161.709129.9852,704.5043,179.024
Uitgestelde opbrengsten niet-vlottend 4,681.84842.8531,629.2651,696.2291,565.0661,396.5991,399.9721,268.066571.934513.29442.786480.192431.711487.068474.37418.479485.317492.777429.411362.152
Uitgestelde belastingverplichtingen niet-vlottend 5,837.14810,003.1169,938.30212,075.6729,278.39410,228.512,427.6012,651.6362,540.9243,508.992,345.9131,553.3841,291.0791,880.494964.951281.5621,039.177796.005745.27387.211
Overige niet-vlottende verplichtingen 2,300.2731,463.66572.678152.768163.723144.2851,495.3142,558.7850.0070.0070.0080.0060.0035.54711.0916.63322.1780.0050.0040.002
Totaal niet-vlottende verplichtingen 28,020.75833,913.07230,306.22722,014.26220,002.1213,650.18617,033.6327,050.0793,913.9214,583.8563,025.7915,325.056,833.5634,208.8843,956.8733,897.9261,708.3811,418.7723,879.1923,628.389
Totaal passiva 39,740.62250,380.5944,433.61729,968.35525,129.75929,594.72730,663.64830,334.1549,858.81311,760.0948,105.06110,967.42912,010.09811,310.7897,472.4087,031.0335,836.4786,289.0777,296.1517,025.391
Eigen vermogen:
Preferente aandelen 00000000000000000000
Gewone aandelen 7,100.0367,100.0367,100.0367,100.0367,100.0367,100.0367,100.0361,610.5421,610.5421,610.5421,610.5421,610.5421,610.5421,610.5421,610.5421,610.5421,610.5421,610.542666.8666.8
Ingehouden winsten 37,478.75364,852.65559,361.32954,642.69856,729.71360,353.84851,928.67645,884.06827,892.36824,356.26720,503.24718,242.28216,953.15715,617.44413,225.38312,838.71312,103.49410,054.2258,063.196,525.119
Overige gereserveerde algehele resultaten 17,353.32314,207.9059,671.66511,104.9864,061.0617,190.27311,072.4024,661.2264,720.4657,3794,3102,20900000000
Overige totale aandeelhoudersvermogen 17,469.55317,795.0622,723.27130,041.27330,142.96930,167.52630,188.9782,844.7022,898.6522,897.6922,899.4542,899.3214,156.384,902.553,634.1412,488.6694,323.2364,629.6435,116.4952,115.123
Totaal eigen vermogen van aandeelhouders 79,401.665103,955.65698,856.301102,888.99398,033.779104,811.683100,290.09255,000.53837,122.02736,243.50129,323.24324,961.14522,720.07922,130.53618,470.06616,937.92418,037.27216,294.4113,846.4859,307.042
Totaal eigen vermogen 79,401.665103,955.65698,856.301110,059.815102,297.731108,400.969103,324.857,400.29138,891.08737,680.87530,520.88725,986.56623,533.72122,957.56319,058.41617,428.64818,580.00716,837.16314,225.5889,323.074
Totaal passiva en aandeelhoudersvermogen 119,142.287154,336.246143,289.918140,028.17127,427.49137,995.696133,988.44887,734.44548,749.949,440.96938,625.94836,953.99535,543.81934,268.35226,530.82424,459.68124,416.48523,126.2421,521.73916,348.465