Mitsubishi Electric Corporation

TSE:6503.T

2685.5 (JPY) • At close November 5, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 284,949224,944217,885201,683233,512237,654282,339222,765241,430248,055162,79274,650118,265133,14032,86912,167157,977123,08095,69271,17544,839-11,825-77,970124,78624,833-44,548-105,9208,523
Afschrijvingen & Amortisatie 210,682213,843206,813213,320210,686176,247154,559141,584145,249156,205132,956127,942127,244105,280119,762148,018136,283130,130126,169105,356118,386208,884230,518235,031215,969230,600237,546234,480
Uitgestelde Inkomstenbelasting 000000017,96624,3550000000000000000000
Aandelen Gebaseerde Vergoedingen 0000000000000000000000000000
Verandering in Werkkapitaal -92,148-240,706-118,221125,143-46,400-189,676-190,363-26,907-22,448-35,068114,290-113,984-298,68740,394117,855-115,385-45,050-65,92950,312-37,10645,820112,64345,182-38,406102,86026,486-24,267-193,808
Vorderingen -13,968-82,851-7,31913,00523,956-13,949-32,348-21,5801,583-42,04414,812-490000000000000000
Voorraden 21,954-224,266-183,436-28,11518,504-82,718-95,357-7,57639,220-75,82918,14116,706-55,737-65,51256,358-37,726-16,531-15,954-9,379-41,22350,68696,71583,135-110,4562,44499,622-12,130-91,224
Crediteuren -67,23735,58750,0116,938-28,582-20,792-57,71720,853-21,7540000000000000000000
Overig Werkkapitaal -32,89730,82422,523133,315-60,278-72,217-95,006-19,331-61,66840,76196,149-130,690-242,950105,90661,497-77,659-28,519-49,97559,6914,117-4,86615,928-37,95372,050100,416-73,136-12,137-102,584
Overige Niet-Contante Posten 492,611-31,370-24,1061,973-1,96415,592-6,08528,5082,4469,12130,449-5,856128,35848,82759,755136,3399,65987,34932,66849,49934,466-71,237-84,30174,58749,136-41,801-59,44816,395
Kasstroom uit Operationele Activiteiten 415,479166,711282,371542,119395,834239,817240,450365,950366,677378,313440,48782,75275,180327,641330,241181,139258,869274,630304,841188,924243,511238,465113,429395,998392,798170,73747,91165,590
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -175,756-175,556-156,062-188,359-217,197-218,027-186,792-167,165-182,251-199,758-151,840-150,425-159,346-107,638-109,069-141,434-144,6230-134,413-125,657-96,253-133,223-221,092-296,996-190,289-261,178-326,116-331,959
Netto Overnames 27,9297,243-18,603-5,213-4,793-25,815-87812,786-50,587199,758151,840150,425159,346107,638109,069141,434144,62300000000000
Aankoop van Beleggingen -93,484-28,345-13,558-15,903-20,019-13,304-8,518-6,007-13,285-5,608-21,312-13,036-11,766-51,640-46,107-86,749-42,174-71,251-66,527-52,489-146,485-93,531-130,758-138,365-134,786-365,693-153,934-264,080
Verkoop/verval van Beleggingen 181,66320,66953,22713,44513,68711,82436,07210,7748,51110,72244,13429,08815,96118,89520,14513,69332,19100000000000
Overige Investeringsactiviteiten -34,47127,45620,12919,47824,32534,654-18,103980-17,831-203,277-153,043-169,753-160,369-112,885-108,529-141,883-122,367-84,34844,73177,011172,651133,069167,695175,242157,200286,517160,276307,464
Kasstroom uit Investeringsactiviteiten -94,119-148,533-114,867-176,552-203,997-210,668-178,219-148,632-255,443-198,163-130,221-153,701-156,174-145,630-134,491-214,939-132,350-155,599-156,209-101,135-70,087-93,685-184,155-260,119-167,875-340,354-319,774-288,575
Financieringsactiviteiten:
Schuldaflossingen -13,703-54,594-35,514-37,874-41,676-100,496-44,006-58,489-93,163-103,497-105,445-90,786-139,775-62,248-253,071-112,021-107,017-154,250-143,818-210,912-274,355-534,298-320,417-247,938-321,562-338,822-78,885-155,167
Uitgifte van Gewone Aandelen 022,968-66,868-42,116-27,61968,91004951101,990122513224,96463,6201621255060000000
Terugkoop van Gewone Aandelen -45,860-1,575-50,526-367-785-1,055-700-854-43-50-48-16-20-46-872-205-139-132-4,583-58-310-491000000
Uitgekeerde Dividenden -96,949-84,524-85,723-77,283-85,871-85,871-68,696-57,963-57,963-42,936-25,762-23,616-27,910-19,315-92,711-27,904-25,758-19,317-15,000-12,877-6,4400-12,883-13,956-11,8090-19,323-21,470
Overige Financieringsactiviteiten -22,688-1,843-2,688288-5036,445-14,889-6,68469,024-5,130-77,76773,263174,731-7,624181,43459-50,46284,80362,67549,59081,903304,814124,386184,81379,846283,357371,113433,082
Kasstroom uit Financieringsactiviteiten -240,118-119,568-241,319-157,352-156,454-112,067-128,291-123,495-82,144-49,623-209,021-41,1537,028-89,228-165,20784,893-119,756-88,734-100,601-174,207-199,196-229,975-208,914-77,081-253,525-55,465272,905256,445
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 38,27220,08133,58821,632-12,048-2,0572,790-5,524-23,43719,94117,92318,802-5,920-11,8341,959-26,788-15,0927,8299,9202,385-7,227-6,1008,1989,248-13,052-10,6864,7049,937
Netto Kasstroomverandering 119,514-81,309-40,227229,84723,335-84,975-63,27088,2995,653150,468119,168-93,300-79,88680,94932,50224,305-8,32938,12657,951-84,033-32,999-91,29560,51568,046-41,654-53,5915,74643,397
Kaspositie aan het Einde van de Periode 765,384645,870727,179767,406537,559514,224599,199662,469574,170568,517418,049298,881392,181472,067391,118358,616334,311342,640304,514246,563330,596363,595454,890394,375326,329367,983421,574415,828