Showa Shinku Co., Ltd.

TSE:6384.T

1361 (JPY) • At close November 12, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 5,294.5624,805.2495,065.725,345.7153,686.6852,890.5712,718.2753,679.4374,117.2941,436.6391,343.189967.4721,263.819912.1082,281.7781,216.3092,043.683
Kortetermijnbeleggingen 61.216-49.919-57.63949.0841.47838.47536.07234.2690.211-4.265-4.406-5.353079.863478.45672.78444.935
Liquide middelen en kortetermijnbeleggingen 5,355.7784,805.2495,065.725,345.7153,686.6852,890.5712,718.2753,679.4374,117.2941,436.6391,343.189967.4721,263.819991.9712,760.2341,289.0892,488.618
Nettovorderingen 3,009.0063,334.0724,508.192,455.7473,732.3083,224.6244,922.7642,854.4952,585.9612,658.4261,756.6823,851.8983,511.6443,983.5963,419.4442,099.6054,444.199
Voorraad 2,094.7583,249.4833,662.4583,289.3183,757.9923,598.4822,503.0062,138.0881,896.4872,495.7752,358.7411,803.3571,564.3951,830.1652,658.3183,148.9962,417.249
Overige vlottende activa 97.698188.11153.267174.51425.182192.30192.968-10.93426.884145.989105.196157.06434.37950.67931.40529.99522.613
Totaal vlottende activa 10,557.2411,576.91413,389.63511,265.2911,602.1679,905.97810,237.0138,661.0868,626.6266,736.8295,563.8086,779.7916,374.2376,856.4118,869.4016,567.6859,372.679
Niet-vlottende activa:
Materiële vaste activa, netto 3,097.8413,345.2423,381.9823,482.1363,331.6522,748.3072,816.2962,835.4412,984.032,930.0423,005.3313,038.0453,121.8924,772.2354,900.795,120.8585,257.175
Goodwill 00000000000003.46110.38417.30824.231
Immateriële activa 71.07342.24954.17668.34892.293111.007119.05187.68991.05451.84735.76738.10366.24795.313122.707153.81438.429
Goodwill en immateriële activa 71.07342.24954.17668.34892.293111.007119.05187.68991.05451.84735.76738.10366.24798.774133.091171.12262.66
Langetermijnbeleggingen 361.043275.783299.898248.244169.53144.706215.422192.599146.68610510465031.077-356.69731.994-271.598
Belastingvorderingen 323.963202.503244.885212.381254.153204.488225.783-192.599-146.686-105-104-65079.863478.456152.59988.387
Overige niet-vlottende activa 79.11425.28327.63335.91921.3937.4389.153203.269158.19105.363104.17465.79966.87622.55525.372145.224514.381
Totaal niet-vlottende activa 3,933.0343,891.064,008.5744,047.0283,869.0213,215.9463,385.7053,126.3993,233.2743,087.2523,145.2723,141.9473,255.0155,004.5045,181.0125,621.7975,651.005
Totaal activa 14,490.27415,467.97717,398.21215,312.3215,471.1913,121.92613,622.72111,787.48511,859.9019,824.0818,709.089,921.7389,629.25211,860.91514,050.41312,189.48215,023.684
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,047.839846.7051,483.421,243.2431,577.161856.9061,182.8031,312.9891,763.2971,610.4811,474.4751,970.2081,732.5541,729.351,901.292,185.1334,717.493
Kortlopende schulden 10.52958.08760.058562.48462.61164.822131.676132.9691,216.71169.61766.379216.38365.3051,734.2752,283.557310.597131.16
Belastingschulden 11.70743.424321.959241.616302.74649.314390.122105.874150.30329.85926.2323.68515.18229.62913.96236.94314.879
Uitgestelde opbrengsten 11.707737.4911,998.3981,098.5231,629.733700.1481,305.631628.477803.802546.044351.069506.938393.27474.33358.014379.392903.717
Overige kortlopende verplichtingen -245.288401.59328.762540.977185.505681.473-258.597-99.916-1,267.688-1,493.038-1,412.826-1,892.264-1,693.381-1,623.212-1,777.778-2,164.332-4,973.08
Totaal kortlopende verplichtingen 1,884.3332,934.0055,376.0174,930.0865,334.9173,209.5693,934.4383,393.3824,429.7212,473.4441,979.8022,795.1552,545.4844,073.7224,680.3352,932.8635,811.662
Langlopende verplichtingen:
Langetermijnschulden 550559.891560.90322.06528.85514.105530.649533.56343.4651,035.2911,028.9771,006.4821,016.87112.1751,840.8281,140.3851,056.75
Uitgestelde opbrengsten niet-vlottend 18.579-124.204-125.846-101.802-61.9-39.577526.97518.737487.19510.999591.699575.882600.283594.158526.15800
Uitgestelde belastingverplichtingen niet-vlottend 155.372124.204125.846101.80261.939.5776.97449.03835.49321.7325.4195.6627.66820.09925.85400
Overige niet-vlottende verplichtingen 484.01454.85404.241352.513318.967546.5570.0020.0024.2534.2524.2534.2534.2536.2523.701511.582451.787
Totaal niet-vlottende verplichtingen 1,207.9611,014.741965.144374.573847.8171,060.6621,064.5951,101.34570.4011,572.2721,650.3481,592.2791,629.074732.6842,396.5411,651.9671,508.537
Totaal passiva 3,092.2943,948.7466,341.1615,304.6596,182.7344,270.2314,999.0334,494.7225,000.1224,045.7163,630.154,387.4344,174.5584,806.4067,076.8764,584.837,320.199
Eigen vermogen:
Preferente aandelen 00000000000500000
Gewone aandelen 2,177.1052,177.1052,177.1052,177.1052,177.1052,177.1052,177.1052,177.1052,177.1052,177.1052,177.1052,177.1052,177.1052,177.1052,177.1052,177.1052,177.105
Ingehouden winsten 6,225.1286,496.8266,090.7725,224.4394,577.1134,089.6463,756.2982,463.5771,999.918942.593302.518888.129849.8172,451.1292,332.1512,978.2712,940.462
Overige gereserveerde algehele resultaten 515.368368.392313.651130.87458.822109.479214.49176.241206.918183124-500000
Overige totale aandeelhoudersvermogen 2,480.3772,476.9082,475.5232,475.2432,475.4162,475.4652,475.7952,475.8382,475.8382,475.6672,475.3072,469.072,427.7722,426.2752,464.2812,449.2762,585.918
Totaal eigen vermogen van aandeelhouders 11,397.97811,519.23111,057.05110,007.6619,288.4568,851.6958,623.6887,292.7616,859.7795,778.3655,078.935,534.3045,454.6947,054.5096,973.5377,604.6527,703.485
Totaal eigen vermogen 11,397.97811,519.23111,057.05110,007.6619,288.4568,851.6958,623.6887,292.7616,859.7795,778.3655,078.935,534.3045,454.6947,054.5096,973.5377,604.6527,703.485
Totaal passiva en aandeelhoudersvermogen 14,490.27215,467.97717,398.21215,312.3215,471.1913,121.92613,622.72111,787.48311,859.9019,824.0818,709.089,921.7389,629.25211,860.91514,050.41312,189.48215,023.684