Makita Corporation

TSE:6586.T

4668 (JPY) • At close September 19, 2024
Overview | Financials

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991
Operationele Activiteiten:
Nettowinst 43,69111,57165,33762,68448,05156,19155,27145,12841,97345,68138,74331,18432,78930,27122,56633,28645,909.86236,914.75640,653.60222,184.2277,709.7596,721.524132.912,134.9124,176.9423,191.6168,730.7078,095.2626,940.0866,549.1068,177.219,796.71510,430.369
Afschrijvingen & Amortisatie 28,92525,88921,00216,49114,34911,2719,9178,9439,2848,6198,6227,5427,2377,5578,3088,8878,845.3498,759.5875,957.515,392.7417,982.3829,737.7469,747.4719,174.999,590.0129,003.2158,105.1847,884.8347,636.2367,931.5038,998.0098,946.8247,958.969
Uitgestelde Inkomstenbelasting 0000000-378812000000000000000000000000
Aandelen Gebaseerde Vergoedingen 000000000000000000000000000000000
Verandering in Werkkapitaal 155,15639,700-199,249-34,122-5,665-29,564-33,6708,267-23,607-24,980-6,723-2,255-32,588-21,73122,445-23,427-27,650.813-9,811.134-8,661.606-13,828.96410,150.6476,467.5287,262.988-7,503.6574,790.588-4,442.063-14,852.858,107.64-10,592.199-5,235.828-8,659.43-4,904.1-18,176.745
Vorderingen 4,94012,488-14,153-21,4814,396-2,085-11,187-4,824-3,526-1,270-6,268-720000000000000000000000
Voorraden 151,37848,571-175,557-35,990-9,148-30,455-26,932448-17,437-20,785-1,4802,519-25,110-28,00820,738-17,314-22,433.942-7,966.892-8,697.858-9,222.9916,208.095,444.710,103.138-9,291.137232.42983.363-13,149.29710,496.608-9,242.738-6,946.545-4,370.755-3,296.198-12,450.007
Crediteuren 4,661-27,1551,29521,868-1,4992,5812,4959,171-2,821000000000000000000000000
Overig Werkkapitaal -5,8235,796-10,8341,481586395-6,7387,819-6,170-4,195-5,243-4,774-7,4786,2771,707-6,113-5,216.871-1,844.24136.252-4,605.9733,942.5571,022.828-2,840.1491,787.484,558.159-4,525.426-1,703.553-2,388.969-1,349.4611,710.716-4,288.675-1,607.902-5,726.738
Overige Niet-Contante Posten -93,815-32,7309,25019,484575-14,7431,7761,0136,5386,5741,0441,8931,1843,5203,8073,4322,085.951-3,552.518-12,731.9923,130.6633,168.7874,207.9873,038.9822,344.128459.9264,704.0612,249.2222,067.139-1,702.8914,294.0711,610.8184,088.66413,605.984
Kasstroom uit Operationele Activiteiten 237,08644,430-103,66064,53757,31023,15533,29463,35134,18835,89441,68638,3648,62219,61757,12622,17829,190.34832,310.69125,217.51516,878.66729,011.57427,134.78420,182.3526,150.37319,017.46812,456.834,232.26426,154.8752,281.23213,538.8510,126.60817,928.10413,818.578
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -17,851-39,088-59,937-49,855-44,409-23,867-14,149-13,222-11,769-12,124-11,417-11,481-13,481-9,742-10,837-17,046-14,992.522-12,960.235-11,451.389-6,669.455-4,505.004-5,689.73-5,953.96-8,373.31-8,148.479-10,206.026-10,673.822-10,187.157-11,534.68-8,795.501-14,682.043-23,544.275-32,965.28
Netto Overnames 1,69139,08859,93749,85544,40923,8674963831,42100070912,833299135-2,028.118-648.012-1,211.276320.7335,166.597487.937533.6331,202.078000000000
Aankoop van Beleggingen -12,983-4,749-9,387-50,569-37,534-44,647-59,753-66,255-46,166-35,567-36,199-34,402-7,572-5,547-6,518-375-20,879.45-27,255.492-21,375.589-21,929.549-35,037.22-28,049.667-81,346.772-60,019.297-59,312.884-94,676.6690-105,176.512-110,816.463-85,483.972-1,538.998-2,630.068-4,517.612
Verkoop/verval van Beleggingen 3,9834,29940,39356,94948,60153,39258,56773,74750,51926,45326,85330,09013,8782,4562,81718,41026,634.7618,582.73941,109.22828,243.31218,234.36324,055.56582,869.78666,131.58554,198.108115,255.4470100,336.684101,380.94577,742.549000
Overige Investeringsactiviteiten -459-37,230-58,897-49,293-41,573-24,0745243328431,1426793791,966-19,334-3,429-8926,770.366-4,953.52629.944189.266-1,162.844-460.9212,747.1121,971.726-421.9076,311.77812,377.3753,032.629-4,680.274-1,451.517-5,099.2142,928.678-1,381.858
Kasstroom uit Investeringsactiviteiten -25,619-37,680-27,891-42,913-30,506-15,329-14,811-5,015-6,573-20,096-20,084-15,414-4,500-19,334-17,668232-4,494.965-27,234.527,700.918154.308-17,304.108-9,656.816-1,150.201912.783-13,685.16216,684.531,703.553-11,994.356-25,650.472-17,988.44-21,320.255-23,245.664-38,864.75
Financieringsactiviteiten:
Schuldaflossingen -171,379-104,874-75,169-5,666-6,044-8,704-3,667-329-2,689-4,443-1,611-2,91900-7-1,34500000000000000000
Uitgifte van Gewone Aandelen 0-104,874-75,1695,66646004,69104,9074,0022,272000000000000000000000
Terugkoop van Gewone Aandelen -10,002-1-7-446-4-5-22-12-17-46-15-5,059-8-10-17,640-46.864-39.941-154.896-194.413-2,225.396-2,880.316-2,227.435-4,290.759-2,059.083-1,190.9020000000
Uitgekeerde Dividenden -5,677-19,550-18,736-14,390-16,831-16,560-13,845-13,709-16,016-12,352-9,773-9,774-9,092-7,163-8,955-13,855-12,181.673-8,179.558-7,954.449-3,460.512-2,616.347-2,692.385-2,752.163-2,996.62-2,873.099-2,858.164-2,927.981-2,896.47-3,084.483-2,816.634-2,883.057-2,894.223-2,896.586
Overige Financieringsactiviteiten 9310,269221,707-8,642-1488,333-3,893-126-2,691-11263-2141,444-184-142-339-1,546.515-74.816-11,556.027-12,557.29-1,770.33-7,805.226-11,327.371,244.073-3,560.522-30,379.897-346.034-14,804.17921,505.6987,758.7032,380.3176,833.58240,804.666
Kasstroom uit Financieringsactiviteiten -191,27780,97052,626-23,036-22,931-8,231-17,743-9,495-18,719-12,017-7,365-10,650-12,707-7,355-9,114-33,179-13,775.053-8,294.315-19,665.372-16,212.214-6,612.073-13,377.927-16,306.968-6,043.306-8,492.704-34,428.962-3,274.015-17,700.64918,421.2154,942.069-502.7393,939.35937,908.079
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 13,7353,9431,3426,613-6,946-4034,399-6,575-3,5109,0165,2125,1711,564-3,385-2,269-1,322-1,768.871,295.081499.058-11.045-879.17538.902-984.331,013.923-959.72-2,524.711731.995-1,646.2841,724.3112,695.6741,354.318470.885-4,770.067
Netto Kasstroomverandering 5,55891,663-77,5835,201-3,073-8085,13942,2665,38612,79719,44917,471-7,021-10,45728,075-12,0919,151.461-1,923.06313,752.119809.7154,216.2224,638.9431,740.8522,033.772-4,120.119-7,812.3143,393.796-5,186.414-3,223.7133,188.153-10,342.068-907.3168,091.84
Kaspositie aan het Einde van de Periode 132,367162,72071,057148,640143,439146,512147,320142,18199,91594,52981,73262,28344,81251,83362,29034,21546,172.10237,071.45739,288.48925,439.2824,635.94820,365.36315,719.37414,000.20211,927.45615,827.08124,222.38920,621.87526,121.71228,209.53825,680.7536,166.30337,097.566