Brother Industries, Ltd.

TSE:6448.T

3023 (JPY) • At close October 18, 2024
Overzicht | Financiële gegevens

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

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Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 166,146119,042167,915191,002168,422131,152121,384112,03269,671107,94971,35752,32059,53667,23949,82945,97083,54570,41257,00980,891
Kortetermijnbeleggingen 7,21810,86711,4198,39111,2777,9709,2729,7019,7372,9153,01710,0048815277298654043983,0092,004
Liquide middelen en kortetermijnbeleggingen 173,364129,909179,334199,393179,699139,122130,656121,73379,408110,86474,37462,32460,41767,76650,55846,83583,94970,81060,01882,895
Nettovorderingen 146,483123,260102,98293,10095,668101,655104,79896,357116,213122,436101,28488,96675,05379,03380,87573,41385,880103,83088,17176,882
Voorraad 207,971222,133169,583120,186117,858128,517116,967112,432126,871122,425103,40687,67976,48372,25564,73971,99074,61380,02772,70469,544
Overige vlottende activa 14,08136,44424,84616,07215,55515,63614,21214,70317,68216,00611,1889,58514,0949,96313,90514,90011,2668,2347,7963,345
Totaal vlottende activa 541,899511,746476,745428,751408,780384,930366,633345,225340,174371,731290,252248,554226,047229,017210,077207,138255,708262,901228,689232,666
Niet-vlottende activa:
Materiële vaste activa, netto 180,359153,498138,263128,577129,931115,997120,320120,767123,071112,143100,42288,58869,94568,15972,54870,70271,98172,59162,81672,455
Goodwill 52,95570,84079,36675,84591,43198,391101,00895,594107,4083,8364,3215,2536,3988,0589,14800000
Immateriële activa 97,24143,38042,32342,35142,97847,81252,90551,41857,20916,82415,59614,42913,51712,78615,01915,60718,27815,29710,87410,587
Goodwill en immateriële activa 97,241114,220121,689118,196134,409146,203153,913147,012164,61720,66019,91719,68219,91520,84424,16715,60718,27815,29710,87410,587
Langetermijnbeleggingen 42,49450,19953,18553,52543,81546,64130,90721,44513,72336,99834,61028,60828,19127,54928,09522,25425,18629,10725,87011,698
Belastingvorderingen 20,65920,81821,26114,84214,53314,82713,48916,6913,5654,6393,0311,8801,9012,8672,9062,1902,2341,9651,7617,555
Overige niet-vlottende activa 13,4571211123,01222,96422,65821,05521,73834,17924,90324,20928,19719,77618,87217,24818,2078,935
Totaal niet-vlottende activa 354,210338,736334,400315,141322,689323,669341,641328,879327,634195,495179,718172,937144,855143,628155,913130,529136,551136,208119,528111,230
Totaal activa 896,109850,486811,149743,896731,472708,604708,278674,107667,811567,230469,973421,494370,905372,645365,990337,667392,259399,109348,217343,896
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 49,08082,75571,24754,58951,04162,21668,18966,26838,04644,71242,77132,10735,97833,61533,71324,06735,54139,71940,21140,964
Kortlopende schulden 9,19636,82320,12119,16750,36119,56021,89420,50919,53910,7761,4666,52419,4669,13611,3649,90113,05418,27415,25133,635
Belastingschulden 7,5975,47214,0846,7793,4558,0716,0996,4613,12314,9232,6402,9982,5927,3464,3782,7075,19410,7513,3614,648
Uitgestelde opbrengsten 7,01025,44634,61926,31719,69918,55814,27715,22552,51862,35444,77141,00040,66246,62143,89349,05759,68164,20439,34739,719
Overige kortlopende verplichtingen 101,45756,25253,51951,41648,81749,51052,67950,35528,41435,54727,78927,42321,37223,54923,70417,04421,65539,37025,06828,912
Totaal kortlopende verplichtingen 166,743201,276179,506151,489169,918149,844157,039152,357138,517153,389116,797107,054117,478112,921112,674100,069129,931161,567119,877143,230
Langlopende verplichtingen:
Langetermijnschulden 60060020,70538,29056,65077,23294,552117,082138,9004,70512,90012,70050015,25015,57820,50020,54498222,07015,138
Uitgestelde opbrengsten niet-vlottend 3,1162,0491,6001,5061,18989032,79131,95717,77920,03414,82610,1038,0288,6397,1886,1436,7376,5406,1455,821
Uitgestelde belastingverplichtingen niet-vlottend 7,2197,0557,2076,3945,5646,4568,2577,84318,16012,9808,9564,2884,9355,9075,9014,3277,1177,4196,3682,634
Overige niet-vlottende verplichtingen 50,30542,82740,92046,51052,98132,5903,1453,16014,7348,8418,1868,5818,5409,46011,1187,2578,7078,9389,39227,152
Totaal niet-vlottende verplichtingen 61,24052,53170,43292,700116,384117,168138,745160,042189,57346,56044,86835,67222,00339,25639,78538,22743,10523,87943,97550,745
Totaal passiva 227,983253,807249,938244,189286,302267,012295,784312,399328,090199,949161,665142,726139,481152,177152,459138,296173,036185,446163,852193,975
Eigen vermogen:
Preferente aandelen 0601,581586,557544,048526,046496,33666,25575,21642,7290015,04400000000
Gewone aandelen 19,20919,20919,20919,20919,20919,20919,20919,20919,20919,20919,20919,209019,20919,20919,20919,20919,20919,20919,209
Ingehouden winsten 584,293568,055554,910509,662491,803462,244427,842407,843337,330314,892268,156255,639243,725230,351211,646197,082188,294167,812142,722121,979
Overige gereserveerde algehele resultaten 50,066-4,962-25,411-60,998-97,526-71,577-66,255-75,216-42,72924,2051,723-15,04400000000
Overige totale aandeelhoudersvermogen 14,480-587,264-574,119-528,871-511,012-481,453-51,537-81,991-33,657-7,5302,607-11,553-12,304-29,099-18,346-19,3058,79523,43119,1828,733
Totaal eigen vermogen van aandeelhouders 668,048596,619561,146483,050428,520424,759395,514345,061322,882350,776291,695263,295231,421220,461212,509196,986216,298210,452181,113149,921
Totaal eigen vermogen 668,121596,679561,211499,707445,170441,592412,494361,708339,721367,281308,308278,768231,424220,468213,531199,371219,223213,663184,365149,921
Totaal passiva en aandeelhoudersvermogen 896,104850,486811,149743,896731,472708,604708,278674,107667,811567,230469,973421,494370,905372,645365,990337,667392,259399,109348,217343,896