Fuji Electric Co., Ltd.

TSE:6504.T

7845 (JPY) • At close September 18, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 65,54384,70092,96676,54664,07329,30433,37242,04531,00031,95334,02539,75064,32381,88337,34485,46722,09219,13521,41316,21527,24015,03838,10951,76049,44058,78343,59330,65047,76690,291
Kortetermijnbeleggingen 643-34,094-38,459-37,849-27,800-28,559-40,977-39,839-18,552-45,612-33,322-29,279-28,787-40,956-38,943-46,0101121121131233671,0872,3861,901113,287108,795109,276111,641104,88395,291
Liquide middelen en kortetermijnbeleggingen 66,18684,70092,96676,54664,07329,30433,37242,04531,00031,95334,02539,75064,32381,88337,34485,46722,20419,24721,52616,33827,60716,12540,49553,661162,727167,578152,869142,291152,649185,582
Nettovorderingen 419,791388,498357,340319,644294,504308,831304,847287,651275,469254,877240,035234,899219,808213,199245,176188,411301,642276,360256,444257,237266,710265,009286,993330,047295,802289,137313,348298,892264,543240,436
Voorraad 226,134198,690170,293183,189188,112176,970149,757142,411145,137137,612121,441107,721133,312109,45093,450150,574166,738149,716137,442135,076125,910152,427145,453159,270147,607189,583185,526198,260179,814151,624
Overige vlottende activa 50,96141,66561,38249,82849,00357,99148,25840,36342,32638,52733,83742,33635,75438,49239,70339,26940,68938,07826,63728,99831,45539,66139,04029,04831,94439,24140,13237,48351,74637,496
Totaal vlottende activa 763,072713,553681,981629,207595,692573,096536,234512,470493,932462,969429,338424,706453,197443,024415,673463,721531,273483,401442,049437,649451,682473,222511,981572,026638,080685,539691,875676,926648,752615,138
Niet-vlottende activa:
Materiële vaste activa, netto 311,456283,910233,672209,756201,890182,123174,598173,514176,474174,951172,617168,439158,439165,931176,193194,552183,268169,557150,350150,903153,810190,221204,765212,957220,273221,760207,511191,889167,818149,015
Goodwill 000000000000000000000000000000
Immateriële activa 25,46224,03222,50423,42624,60617,84319,33020,52820,36915,29513,8740000000000000000000
Goodwill en immateriële activa 25,46224,03222,50423,42624,60617,84319,33020,52820,36915,29513,87412,70611,18110,14610,60210,6210000005,0751,901113,28700000
Langetermijnbeleggingen 120,519142,554164,775174,131156,089161,907176,891167,424143,817241,005182,189148,743154,379170,289289,317224,231314,508365,265391,545288,475292,136246,548377,339170,104-40,214-21,240-26,944-44,264-43,894-43,080
Belastingvorderingen 11,47816,63613,28614,68217,75616,8252,2633,6112,6172,5184,5194,3814,3194,6344,7543,6215,7435,6864,7182,9938,1707,9246,6856,1425,65300000
Overige niet-vlottende activa 39,1878618877477888609,5369,1108,1637,7808,2316,58111,21411,77312,18211,8251,1599231,3922,3922,2623,206-9741,081154108,702108,890112,001107,350105,642
Totaal niet-vlottende activa 508,102467,993435,124422,742401,129379,558382,618374,187351,440441,549381,430340,850339,532362,773493,048444,850504,678541,431548,005444,763456,378447,899592,890392,185299,153309,222289,457259,626231,274211,577
Totaal activa 1,271,1741,181,5521,117,1121,051,952996,827952,659918,859886,663845,378904,522810,774765,563792,848805,797908,938908,9411,035,9511,024,832990,054882,412908,060921,1211,104,871964,211937,233994,761981,332936,552880,026826,715
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 207,408201,593171,749167,260179,914196,669183,976165,306160,416150,648142,087129,934136,466134,686131,746121,115186,686197,361181,082176,575181,596168,629170,837190,773173,902179,494226,940231,009240,338293,509
Kortlopende schulden 96,54285,13664,56840,120103,51068,28766,01878,284108,265115,08389,933112,426189,164137,458112,100184,902181,432152,527152,345151,343185,288304,232328,965311,192270,891281,115185,350182,716165,870131,116
Belastingschulden 19,67618,71014,87918,1836,62510,8928,29331,0516,3905,9054,5432,9181,9052,4163,6862,69100000000000000
Uitgestelde opbrengsten 55,007124,691114,794117,17893,65996,48796,968112,62585,92282,51775,94581,78084,90376,13364,42797,8434,6169,3669,6452,6786,51101,95210,0062,4713,09325,99833,11430,8997,286
Overige kortlopende verplichtingen 116,38535,40635,85831,85846,07764,45158,27456,18963,21656,50051,49256,32655,28156,62172,71169,742159,798149,001147,225137,416114,307115,698111,877116,844104,658132,001111,123154,626137,68670,072
Totaal kortlopende verplichtingen 475,342446,826386,969356,416423,160425,894405,236412,404417,819404,748359,457380,466465,814404,898380,984473,602532,532508,255490,297468,012487,702588,559613,631628,815551,922595,703549,411601,465574,793501,983
Langlopende verplichtingen:
Langetermijnschulden 35,10095,495142,254174,912112,80185,69697,488105,180111,947111,389143,818144,678100,323169,396237,690231,181174,793147,380122,701167,090177,722134,632131,156132,346176,806180,842190,45798,62373,49498,335
Uitgestelde opbrengsten niet-vlottend 28,71160,41057,68453,47250,20446,00942,70441,07250,92432,75434,45111,94711,22413,01211,5259,57701,032000000000000
Uitgestelde belastingverplichtingen niet-vlottend 8401,0851,5801,6781,1724754,3761,21879732,57617,9117,62626,81438,26360,04936,56147,71668,04175,69228,69427,9357,15872,85515934500000
Overige niet-vlottende verplichtingen 69,7065,6694,8964,2213,4902,5242,5102,9272,9123,4203,9155,1745,4565,29322,55611,90724,72715,57116,47514,78914,43615,1297,1327,42220,98127,65063,22325,18523,61522,227
Totaal niet-vlottende verplichtingen 134,357162,659206,414234,283167,667134,704147,078150,397166,580180,139200,095169,425143,817225,964331,820289,226247,236232,024214,868210,573220,093156,919211,143139,927198,132208,492253,680123,80897,109120,562
Totaal passiva 609,699609,485593,383590,699590,827560,598552,314562,801584,399584,887559,552549,891609,631630,862712,804762,828779,768740,279705,165678,585707,795745,478824,774768,742750,054804,195803,091725,273671,902622,545
Eigen vermogen:
Preferente aandelen 0451,091405,468358,023327,512310,277000000000000000000000000
Gewone aandelen 47,58647,58647,58647,58647,58647,58647,58647,58647,58647,58647,58647,58647,58647,58647,58647,58647,58647,58647,58647,58647,58647,58647,58647,58647,58647,58647,58647,58647,58647,585
Ingehouden winsten 423,135364,922319,285271,772241,305223,940195,517166,289132,111109,543102,63187,62063,43854,37842,01034,850116,478104,95988,17574,57571,17269,27568,18977,61667,96271,44280,23282,51980,94181,022
Overige gereserveerde algehele resultaten 93,23666,00067,43258,97338,10642,64548,82938,59611,17793,65937,37719,747000000000000000000
Overige totale aandeelhoudersvermogen 38,559-412,508-366,871-319,358-288,891-271,52638,70338,74439,52439,55139,58539,61952,55353,39189,27147,90683,298122,347139,31173,58073,01644,327132,27436,50538,39738,39750,42349,72949,04048,393
Totaal eigen vermogen van aandeelhouders 602,516517,091472,900416,996365,618352,922330,635291,215230,398290,339227,179194,572163,577155,355178,867130,342247,362274,892275,072195,741191,774161,188248,049161,707153,945157,425178,241179,834177,567177,000
Totaal eigen vermogen 661,472572,067523,729461,253406,000392,061366,545323,862260,979319,635251,222215,672183,217174,935196,134146,113256,183284,553284,889203,827200,265175,643280,097195,469187,179190,566178,241211,279208,124204,170
Totaal passiva en aandeelhoudersvermogen 1,271,1711,181,5521,117,1121,051,952996,827952,659918,859886,663845,378904,522810,774765,563792,848805,797908,938908,9411,035,9511,024,832990,054882,412908,060921,1211,104,871964,211937,233994,761981,332936,552880,026826,715