Brother Industries, Ltd.

TSE:6448.T

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

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

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Operationele Activiteiten:
Nettowinst 16,520-14,96817,71218,34722,652-3,17721,92212,91125,2979,65425,19924,84226,734-20,06730,36823,1829,46111,38419,29418,33918,02910,24223,62715,90322,50215,94622,13518,60412,98412,39011,80515,94921,113-1,17624,2549,65816,6105,91610,9317,73429,3887,4375,3495,0991,3365,605-2,6194,5401,00613,3307,12812,5975,51210,4412,2857,9958366,421
Afschrijvingen & Amortisatie 13,34112,54012,18411,65111,16211,12110,99610,4659,9939,9229,7509,5469,4829,4009,5349,6399,6799,86310,02210,06210,2508,4938,4008,3598,4228,5978,5788,5678,3998,4588,3168,4048,63315,3867,91710,2047,615000000000007,3806,6856,7645,7666,5015,3035,0594,8736,4656,099
Uitgestelde Inkomstenbelasting 0000000000000000000000000000000000000000000000000000000000
Aandelen Gebaseerde Vergoedingen 0000000000000000000000000000000000000000000000000000000000
Verandering in Werkkapitaal -6,40913,81915,984-2,959-3,2179,602-18,213-25,131-24,299-6,290-8,102-16,535-2,9355,325-2,6642077,10712,4852,853-9,632-4,1349,360-7,459-13,619-3,1953,175-4,876-6,774-2,52815,9211,538-1,974-2,2921,725-9,319-5,367-1,557000000000002,464-2,504-7,977-1,944-1,5361,953-1,5255,5384,211-15,863
Vorderingen 2,590-3,1361,174-4,1489,4613,270-3,308-6,796-9,2913,973789-5,361-2,3559,089-4,946-7,08710,4284,359-889-5,8093,9975,416-1,553-5,5393,8093,659-4,174-8,4251849,269-8,442-4,1894000000000000000000000000000
Voorraden -7,05812,48413,9754,9183,0403,793-4,003-25,815-18,227-9,310-9,041-10,823-8,7905,133-1,377-2,1122,3095,8616,690-3,690-2,8083,158105-8,525-6,9171,7622,072-5,162-2,8011,8198,448-1,7211,0632,0731,551-8,205-3,514000000000001,530-3,943-5,658-3,7282,6221,775-1,2925,98711,209-9,582
Crediteuren 3,5383,160474-3,555-15,1494,960-10,5177,8813,8503,967676-5198,326-5,99200000000000000000000000000000000000000000000
Overig Werkkapitaal -5,4791,311361-174-569-2,421-385-401-631-953150-3515,855192-1,2872,3194,7986,624-3,837-5,942-1,3266,202-7,564-5,0943,7221,413-6,948-1,61227314,102-6,910-253-3,355-348-10,8702,8381,957000000000009341,439-2,3191,784-4,158178-233-449-6,998-6,281
Overige Niet-Contante Posten 26,79938,0061,2897,610-8,21211,073-17,267-2,106-18,7555,819-6,064-6,687-12,08134,458-3,902-4,601-7,861806-10,133-38-11,702-303-6,662339-11,1292,397-11,9884,945-6,344725-3,110-5,675-1,0466,346-8,101-5,325-19,629-5,916-10,931-7,734-29,388-7,437-5,349-5,099-1,336-5,6052,619-4,5406,039-6,9006,107-6,4535,625-3,624123-4,175269-7,170
Kasstroom uit Operationele Activiteiten 22,63936,82547,16934,64922,38528,619-2,562-3,861-7,76419,10520,78311,16621,20029,11633,33628,42718,38634,53822,03618,73112,44327,79217,90610,98216,60030,11513,84925,34212,51137,49418,54916,70426,40822,28114,7519,1703,0390000000000016,88910,61112,0229,96616,10214,0735,94214,23111,781-10,513
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -11,468-13,006-14,298-10,624-9,557-13,992-10,455-8,560-9,475-10,857-9,387-7,515-8,083-8,328-6,141-5,846-7,199-6,833-5,809-6,658-6,784-6,553-6,014-6,062-6,838-7,952-8,266-7,510-8,143-7,191-6,990-5,967-8,803-9,602-12,289-9,551-7,54000000000000-6,270-4,905-5,227-4,500-6,704-3,546-3,384-4,653-6,843-6,550
Netto Overnames 210506100-2,104-1,798-4,0145,745-3,606-2,157-3,179-1,866-2,062-1,110-2,373-1,339-479-994-2,817-293-2,747-1,737-2,464-1,560-1,808-1,575532-2,069-2,512-6172,292-2,134-1,922-1,387-35-356-336-185,73500000000000-230205654-2877-1,45800-429-976
Aankoop van Beleggingen -1,093-901-1,162-227-2,992-1,582-945-815-968-2,973-2,245-3,231-2,092-1,403-2,142-2,408-1,584-1,782-2,896-1,843-1,850-2,503263-1,355-2,209-1,493-2,789-3,793-3,149-2,717-3,183-1,434-1,2171,850-2,060663-1,09000000000000-528-1,034-239-178-56-710-1,045-223-739-1,566
Verkoop/verval van Beleggingen 1,7614,2792,2113,7529213,9581,8541,3875061,7821,1251,8911,0921,2982,9442,1062,8992,4882,2692,4091,3592,314-6695,8991,6501,5851,3921,8411,519-8967,1793,2392,849-4876,537-5941,6110000000000013300-30-31220038700113222
Overige Investeringsactiviteiten -299-297-4171,7581,7893,9491,5013,1622,3092,640-2,197-2,4381,4802,1941,7318681,1162,4265902,948-3952,1331,3961,7591,572-2031,9482,350239-1332,0001,7131,4311,646-1,7614,421-38300000000000-1,0571,6427059507929432242953,9271,969
Kasstroom uit Investeringsactiviteiten -10,889-9,420-13,566-7,445-11,637-11,681-2,300-8,432-9,785-12,587-10,386-9,095-8,713-8,612-4,947-5,759-5,762-6,518-6,139-5,891-9,407-7,073-6,584-1,567-7,400-7,531-9,784-9,624-10,151-8,645-3,128-4,371-7,127-6,628-9,929-5,397-193,13700000000000-8,072-3,792-4,137-4,042-4,891-4,384-4,205-4,581-3,971-6,901
Financieringsactiviteiten:
Schuldaflossingen 0-3-3-19,997-15,616-5,943-2,737-19,997-1,24300-19,997-200-30,012-20,0000-340-85-700-83-20,235-133-1,384-5-418-20,083-629-8,068-468-5,740-5,333-164,791-175,024-18,497-18,50000000000000-3,000-2,091-7-8-40-12-32-12-382
Uitgifte van Gewone Aandelen 00-2,116000-2,737000000000000000000000000000000000000000000000000000
Terugkoop van Gewone Aandelen 0-1-1-100-1-1,583-5,419-3,00510-1000000000000000000000000000000000000000000000
Uitgekeerde Dividenden -12,8110-8,7110-8,7100-8,7090-8,8010-7,8080-8,5890-7,0250-7,8050-7,8040-7,8030-7,8030-7,8000-6,2410-6,2390-4,6800-4,6790-4,6800-3,899000000000000-3,2250-2,6870-2,1500-3,2250-3,763
Overige Financieringsactiviteiten -2,348-44-2,375-1,965-1,2345,46015,734-671-3,607-18,011-1,589-2,585-12,296-2,366-2,5608,36627,553-2,486-22,454-1,830-375-446-254-527-3,2893,447-544-550-1,9061,623-516-622140,191179,99523,127176,39500000000000-8812,114-4,0052,840-19,021-4,140-2,481-1,107-10,5309,618
Kasstroom uit Financieringsactiviteiten -15,159-2,093-10,827-22,373-26,291-7,177-8,724-5,846-14,891-6,612-25,819-21,586-11,174-42,308-29,391-2,56022127,468-10,297-22,454-9,633-458-28,484-387-9,711-3,294-3,212-20,627-7,418-9,974-3,525-6,256-10,634-24,6002914,630153,99600000000000-3,881-3,202-4,012145-19,025-6,290-2,493-4,364-10,5425,473
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 07,491-4,8051,3405,7011,548-8,4361,51010,9097,8062,264-9301,4907,4144222,8411,757-3,7093,489-3,793-3,593211-3,3112,035-782-7,1182,3751,7772,143-2,8026,3076,385-10,739-5,624-1,513-3,0823,51100000000000913-469658-3,6621,1571,130-3,2742,7552,200-10,342
Netto Kasstroomverandering 7,93632,80417,9706,172-9,84211,311-22,023-16,628-21,5337,713-13,158-20,4452,803-14,391-58022,94714,60451,7799,089-13,407-10,19120,472-20,47311,064-1,29512,1713,228-3,132-2,91516,07318,20212,463-2,093-14,9874,0154,905-32,590000000000005,8483,2854,5292,407-6,6565,543-4,0318,048-532-22,283
Kaspositie aan het Einde van de Periode 174,082166,146133,342115,372109,200119,042107,731129,754146,382167,915160,202173,360193,805191,002205,393205,973183,026168,422116,643107,554120,961131,152110,680131,153120,089121,384109,213105,985109,117112,03295,95977,75765,29466,69081,67777,66272,7570000000000065,10059,25255,96751,43849,03155,68750,14454,17546,12746,659