Hitachi, Ltd.

TSE:6501.T

3659 (JPY) • At close September 19, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 589,896703,870670,864518,510127,246321,022490,918338,029294,753343,418364,030237,721412,808303,126-84,391-787,337-57,931.998-32,754.04937,311.67751,579.00615,614.47127,841.68-483,525.816106,155.92616,954.377-333,446.4653,505.72588,174.853141,618.449113,702.1568,290.4879,935.684127,489.667230,993.91
Afschrijvingen & Amortisatie 451,525526,310540,252491,663433,158368,044364,432415,183507,790481,021455,385418,019479,666497,769557,762656,923685,611.736622,091.29589,806.977426,036.153544,492.73479,679.113529,113.874514,107.79541,820.787538,387.871554,938.128542,598.903556,074.377520,481.095496,460.299496,370.734503,487.853449,698.057
Uitgestelde Inkomstenbelasting 00-99,387208,259-63,525358,3180000000000000000000000000000
Aandelen Gebaseerde Vergoedingen 001,4041,03172468462540100000000000000000000000000
Verandering in Werkkapitaal -26,562-174,294-226,44713,428-142,281-250,951-49,206-134,798-27,340-413,510-283,005-108,014-282,594113,646129,358-65,575-14,458.072-98,733.428-28,130.886-45,895.66432,625.41944,357.931504,525.563-174,154.566-86,929.71596,895.081-78,124.924-145,437.318-204,175.612-29,125.37691,652.473110,991.156-166,141.823-245,174.404
Vorderingen 40,206-60,673-33,29289,722185,9351,79347,216-196,824-53,092-201,423-400,55071,7770000000000000000000000
Voorraden -88,320-244,346-330,187-47,937-143,072-149,500-181,207-22,73144,342-116,328-70,7007,860-162,594-171,275205,848-57,206-107,189.153-212,076.576-107,109.23-95,437.245-65,921.7098,022.179261,034.828-130,662.963-26,304.973125,784.803-54,146.489162,185.721-102,580.466-66,968.49358,009.972124,612.38-160,308.789-259,199.69
Crediteuren 7,32743,964156,475-31,811-115,086-16,10797,923111,589-1,6020000000000000000000000000
Overig Werkkapitaal 14,22586,761-19,4433,454-70,058-87,137132,001-112,067-71,682-297,182-212,305-115,874-120,000284,921-76,490-8,36992,731.081113,343.14878,978.34449,541.58198,547.12836,335.752243,490.735-43,491.602-60,624.742-28,889.722-23,978.435-307,623.039-101,595.14537,843.11733,642.501-13,621.224-5,833.03414,025.285
Overige Niet-Contante Posten 885,590-228,841-156,743-439,763205,598-187,092-78,97611,16837,02340,896-97,00435,782-162,725-72,987195,570754,936176,288.765124,418.25891,807.911134,898.9383,817.03593,788.71-67,518.17398,433.846-19,934.23780,904.489-56,103.445527.058-20,595.34714,567.00832,277.92221,120.93745,215.981-4,797.381
Kasstroom uit Operationele Activiteiten 956,612827,045729,943793,128560,920610,025727,168629,582812,226451,825439,406583,508447,155841,554798,299558,947789,510.431615,022.07690,795.679566,618.432596,549.655645,667.433482,595.447544,542.996451,911.212382,740.975424,215.484485,863.496472,921.867619,624.877688,681.175708,418.51510,051.677430,720.181
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -385,145-410,585-439,861-372,945-421,276-472,249-443,575-710,093-1,025,352-931,172-940,369-773,713-712,894-571,113-599,199-861,604-599,062.727-621,737.829-970,927.51-369,738.901-284,979.06-323,364.596-874,147.689-1,012,668.641-577,579.11-609,566.386-696,120.453-748,739.791-716,317.532-650,391.85-593,848.105-661,203.626-780,988.811-746,006.902
Netto Overnames 238,843-102,367-33,057-34,712-15,843-28,275-57,111-327,230-609,392-513,38135,259-88,886712,894-221,525-333,761-507,7790000120,243.647142,747.59659,543.58671,640.564133,990.95526,009.88432,601.07348,988.21661,861.01293,061.23532,124.02260,273.343047,889.153
Aankoop van Beleggingen -70,622-106,069-933,200-861,035-237,172-72,422-243,124-177,303-196,608-152,8420-91,119-151,413-122,555-129,579-56,637-279,190.352-169,543.4400-109,010.848-270,158.674-129,454.135-127,607.828-55,692.56-13,618.554-167,267.974-213,017.776-8,203.867-15,491.486-182,330.247-152,187.894-109,419.219-106,233.776
Verkoop/verval van Beleggingen 265,693616,317168,892682,40857,624306,971178,188248,956137,852121,61600575,453311,742172,327344,055471,432.852413,078.0421,059.32298,654.231731,589.487167,168.053308,350.713253,320.98368,023.016167,241.989195,187.60534,698.59433,629.428238,212.9167,674.4714,525.09524,155.93726,357.377
Overige Investeringsactiviteiten 13,483153,767188,360127,44490,841103,10391,294627,715962,701863,234413,747311,375-619,624343,105359,617531,957-228,936.089-408,011.768468,573.453-257,037.165-723,938.632-334,807.998362,976.636438,290.47-4,829.429-13,504.466-7,997.5149,106.798-43,064.946-501.1193,324.236-21,787.0683,361.635-27,711.932
Kasstroom uit Investeringsactiviteiten -132,819151,063-1,048,866-458,840-525,826-162,872-474,328-337,955-730,799-612,545-491,363-553,457-195,584-260,346-530,595-550,008-635,756.316-786,214.995-501,294.735-528,121.836-266,095.406-618,415.619-272,730.889-377,024.452-436,087.127-443,437.533-643,597.263-868,963.958-672,095.905-335,110.303-733,055.623-770,380.15-862,890.459-805,706.079
Financieringsactiviteiten:
Schuldaflossingen -746,547-288,795-305,943-230,488-279,446-133,581-256,944-397,394-537,188-206,077-365,566-81,886-544,841-535,469-459,488-450,243-176,388.476-165,301.909-203,860.6430-0000-164,611.588000000000
Uitgifte van Gewone Aandelen 6216445158313921149282728160774696252,4201,46442,576.52924,035.345470.81010,013.1361,887.57242,398.22313,569.0339,042.334689.8897,484.3195,295.5883,459.3331,131.838359.1275.6442,784.44346,619.258
Terugkoop van Gewone Aandelen -100,458-200,212-251-159-166-231-292-153-295-421-4,431-162-126-3,226-261,228-841-5,683.518-19,086.892-4,237.2880-29,962.053-1,533.65200-7,912.043000000000
Uitgekeerde Dividenden -144,343-129,005-111,149-96,611-91,699-77,194-67,568-57,935-57,907-55,443-48,194-46,564-27,018-42,041-24,986-48,232-19,842.457-28,276.877-36,487.76-51,579.006-33,120.102-23,004.778-41,733.674-44,722.182-39,868.474-29,658.33-48,838.059-47,035.699-46,095.879-45,679.58-45,574.867-46,939.244-45,641.168-47,381.195
Overige Financieringsactiviteiten -32,345-525,118619,631141,837374,009-109,6313,301245,918568,89682,993451,143-51,995403,373-4,136-9,062782,240-25,725.397309,867.442-17,537.665-48,040.321-315,196.847-184,274.17-578,423.406-131,067.776329,325.929140,965.343154,672.86493,712.062231,561.10556,211.71663,478.546-11,772.137207,198.944180,042.898
Kasstroom uit Financieringsactiviteiten -1,023,631-1,142,966202,739-184,8382,837-320,426-321,454-209,536-26,467233,20632,968-180,445-167,838-584,176-502,344284,388-185,063.319121,237.109-261,652.546-99,619.327-368,265.866-206,925.028-577,758.857-162,220.924125,976.159111,996.902113,319.12451,971.951188,924.55911,663.97418,262.779-58,435.741204,342.219179,280.961
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 71,92229,31469,12554,105-33,193-17,0981,336-16,164-57,34868,56049,57458,449-18,966-31,8364,298-46,361-25,525.9759,425.62621,657.2515,361.643-24,912.637-21,235.1815,816.26519,284.706-21,783.806-13,912.945-5,258.12213,923.35517,028.914-7,369.904-10,578.048-11,496.497-4,012.702-10,286.15
Netto Kasstroomverandering -127,916-135,544-47,059203,5554,738109,629-67,27865,927-2,388141,04630,585-91,94564,767-22,774-230,342246,966-56,735.468-40,412.37-50,494.351-55,761.087-62,724.253-201,026.367-351,945.12424,582.325120,016.43837,387.4-111,320.777-317,205.1556,779.436288,808.645-36,689.717-131,893.878-152,509.265-205,991.087
Kaspositie aan het Einde van de Periode 705,367833,283968,8271,015,886812,331807,593697,964765,242699,315701,703558,217527,632619,577554,810577,584807,926559,377.812617,849.758658,192.1710,310.465751,801.853826,992.2721,028,721.7751,405,110.0131,358,919.0051,217,994.0331,209,445.7151,307,632.9461,625,972.1461,617,983.3221,332,474.9021,415,091.2991,494,346.3141,654,235.842