YASKAWA Electric Corporation

TSE:6506.T

4465 (JPY) • At close November 5, 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 40,27942,27455,15150,95340,30739,32042,21429,79231,71224,47223,10419,49320,34312,03216,43010,79412,00413,35612,14717,976
Kortetermijnbeleggingen 4,4094,4712,0781,9611,656-5,17665-56-98-15-178-167-168-194-225-267202653152
Liquide middelen en kortetermijnbeleggingen 40,27946,74557,22952,91441,96339,32042,27929,79231,71224,47223,10419,49320,34312,03216,43010,79412,02413,38212,20018,128
Nettovorderingen 167,903171,219149,646127,577117,886145,138139,344138,593125,504130,991117,377107,48697,634100,45187,52992,510117,977106,17592,18196,817
Voorraad 207,910182,226131,767101,494101,975111,488100,05179,88677,59385,46878,36464,32463,79858,06446,19954,70557,90258,13658,17752,681
Overige vlottende activa 40,00430,70823,72021,43819,38410,18423,32112,02413,84716,15918,22317,20217,79717,60111,87811,06416,65810,0676,6347,879
Totaal vlottende activa 456,096430,898362,362303,423281,208306,130304,995260,295248,656257,090237,068208,505199,572188,148162,036169,073204,561187,760169,192175,505
Niet-vlottende activa:
Materiële vaste activa, netto 132,563115,822106,02999,00491,26580,14267,95661,15961,00160,79650,58640,86637,48435,72936,39039,87141,07939,79539,65637,459
Goodwill 7,2727,5587,3416,6046,4026,7972,9314,0535,0376,423000001,4011,5461,7661,7791,658
Immateriële activa 19,49619,11518,06817,91718,49722,25319,10820,57420,42622,35115,04313,6076,7345,8495,2025,4235,2425,9126,6427,669
Goodwill en immateriële activa 26,76826,67325,40924,52124,89929,05022,03924,62725,46328,77415,04313,6076,7345,8495,2026,8246,7887,6788,4219,327
Langetermijnbeleggingen 56,72864,40552,72446,00336,65834,04137,90031,67324,68530,47624,43720,51018,76316,96716,65315,67019,31422,98523,78717,854
Belastingvorderingen 15,33515,32912,51014,47316,0936,5915,8406,5769,4067,4528,10410,91412,38314,50016,14613,23513,79011,79011,05111,488
Overige niet-vlottende activa 14,845433302,5193,1804,3203,6155,2658,1134,1363,4015,2224,4383,6743,1723,1152,805
Totaal niet-vlottende activa 246,239222,233196,675184,004168,918149,824136,254127,215124,875131,113103,43594,01079,50076,44679,61380,03884,64585,42086,03078,933
Totaal activa 702,335653,132559,038487,428450,127455,957441,249387,511373,533388,204340,506302,518279,072264,594241,649249,111289,206273,180255,222254,438
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 66,53767,71676,92261,06454,73071,82384,79569,97462,67268,58867,99958,71853,07363,23551,08254,25274,37069,31865,08265,478
Kortlopende schulden 29,89858,14822,99431,76637,86728,99122,59324,64727,85324,18524,39524,26234,04233,69731,83027,60926,25623,11130,27439,067
Belastingschulden 3,4226,3715,8662,1151,0337986,3613,5456424,4902,5351,6603703,257008,3375,6004,7976,292
Uitgestelde opbrengsten 3,42212,83712,14316,5776,45428,0156,36126,72322,68927,99625,79721,71618,05921,00415,84016,53327,71224,83621,74821,715
Overige kortlopende verplichtingen 89,28976,10963,21945,14139,49424,80347,92420,29419,56427,13416,28315,76811,9378,8226,5009,55411,86720,01311,86912,577
Totaal kortlopende verplichtingen 189,146214,810175,278154,548138,545153,632161,673141,638132,778147,903134,474120,464117,111126,758105,252107,948140,205137,278128,973138,837
Langlopende verplichtingen:
Langetermijnschulden 54,15641,41545,05044,77743,71116,8588,97711,14519,46627,34130,35729,89924,0297,74210,4055,2857,57313,63932,28238,740
Uitgestelde opbrengsten niet-vlottend 11,84533,59534,32533,71232,081-592675-1,183-1,2780025,96830,83430,95531,61532,30034,43035,61335,77432,423
Uitgestelde belastingverplichtingen niet-vlottend 2,6733,0662,3381,1837035926471,1831,278002,440955500368318215365912
Overige niet-vlottende verplichtingen 36,4925,1713,9473,6483,92035,71430,65134,03137,38837,77135,8056,2821,6366107208393293725,3846,060
Totaal niet-vlottende verplichtingen 105,16683,24785,66083,32080,41552,57240,95045,17656,85465,11266,16264,58957,45439,80743,10838,74242,54749,66073,49977,235
Totaal passiva 294,312298,057260,938237,868218,960206,204202,623186,814189,632213,015200,636185,053174,565166,565148,360146,690182,752186,938202,472216,072
Eigen vermogen:
Preferente aandelen 0308,744269,451240,730231,193240,77200000000000000
Gewone aandelen 30,56230,56230,56230,56230,56230,56230,56230,56230,56227,84223,06223,06223,06223,06223,06223,06223,06219,95315,85815,541
Ingehouden winsten 305,116271,299232,547204,150194,558193,333164,360132,607117,268103,09281,43167,59963,36357,28151,53460,98356,98838,73620,3677,291
Overige gereserveerde algehele resultaten 56,91338,75521,7835,536-2,8315,96414,5627,8885,99217,46511,370000000000
Overige totale aandeelhoudersvermogen 6,748-301,861-263,109-234,712-225,120-223,89526,38127,45627,45922,98818,21321,55713,68412,87813,86313,02320,81222,09912,43511,465
Totaal eigen vermogen van aandeelhouders 399,339347,499291,234246,266228,362246,736235,865198,513181,281171,387134,076112,218100,10993,22188,45997,068100,86280,78848,66034,297
Totaal eigen vermogen 408,018355,075298,100249,560231,167249,751238,626200,697183,901175,189139,870117,465104,50798,02993,289102,421106,45486,24252,75038,366
Totaal passiva en aandeelhoudersvermogen 702,330653,132559,038487,428450,127452,940441,249387,511373,533388,204340,506302,518279,072264,594241,649249,111289,206273,180255,222254,438