I-PEX Inc.

TSE:6640.T

1531 (JPY) • At close September 19, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 15,58214,29313,82011,73712,2036,8958,06411,11112,932.30415,440.38313,395.4712,670.08512,781.37419,471.98712,281.9569,488.6497,886.93611,871.7895,490.496
Kortetermijnbeleggingen 2524-705-334-66722158146207.97525.66722.32518.28316.33316.95718.82618.262000
Liquide middelen en kortetermijnbeleggingen 15,60714,29313,82011,73712,2036,8958,06411,11112,932.30415,466.0513,417.79512,688.36812,797.70719,488.94412,300.7829,506.9117,886.93611,871.7895,490.496
Nettovorderingen 14,50811,20314,91013,49212,49311,43311,56311,03011,177.84810,635.8639,469.7229,385.2039,576.0348,768.96310,366.037,474.4659,228.6928,960.7088,478.19
Voorraad 11,08612,17611,0559,67110,0249,8969,3808,1317,131.6647,720.7736,757.5186,676.4486,836.1286,173.7536,144.1695,796.0426,638.9916,167.345,280.066
Overige vlottende activa 2,0803,5211,3541,0251,3101,1781,099822921.772739.665756.8261,500.2411,071.668850.39566.881680.305888.3251,181.635611.019
Totaal vlottende activa 43,28141,19341,13935,92536,03029,40230,10631,09432,163.58834,562.35130,401.86130,250.2630,281.53735,282.0529,377.86223,457.72324,642.94428,181.47219,859.771
Niet-vlottende activa:
Materiële vaste activa, netto 43,16745,68847,02343,34141,32435,08132,86926,71025,884.1423,247.46722,230.31521,150.99519,562.87618,785.06717,085.98317,107.85818,198.01615,819.69313,466.033
Goodwill 1,8232,0380000000000007.2236.10475.57115.036122.754
Immateriële activa 9261,124575429500464369378419.015300.163604.169903.7051,216.5481,517.1831,643.058873.566264.96674.43998.181
Goodwill en immateriële activa 2,7493,162575429500464369378419.015300.163604.169903.7051,216.5481,517.1831,650.278909.67340.536189.475220.935
Langetermijnbeleggingen 9641,3952,4561,7552,0771,271965380112.83468.43695.67333.90236.08755.8170.08234.025102.136132.781145.725
Belastingvorderingen 50311520358201711.5128.82619.15295.25499.712455.823442.554479.837438.185610.772755.13
Overige niet-vlottende activa 1,392764478436452607600596592.147673.635895.14783.25728.258711.189682.218693.772817.383569.571561.477
Totaal niet-vlottende activa 48,32251,04050,54745,98144,38837,43134,82328,08127,019.64824,298.52723,844.44922,967.10222,043.48121,525.07219,931.11519,225.16219,896.25617,322.29215,149.3
Totaal activa 91,60392,23791,69081,90880,42166,83664,92959,17559,183.23658,860.87854,246.3153,217.36252,325.01856,807.12249,308.97742,682.88544,539.245,503.76535,009.072
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 2,4992,0102,9902,5132,2222,4942,7521,1951,430.4883,111.5222,485.1952,709.9742,325.0412,583.9042,522.1462,201.4922,265.6531,856.2951,937.544
Kortlopende schulden 10,74211,01210,37210,2549,2847,5233,9503,4223,546.653,582.4253,713.1423,947.5654,241.4415,578.7428,117.9926,367.0215,317.8285,477.9685,821.624
Belastingschulden 302260652302160147376392406.8851,361.565333.739354.77420.0762,015.161,756.147605.504685.1732,120.9661,797.602
Uitgestelde opbrengsten 1,0644625,7123,7803,60303,1643,3563,421.3961,984.636971.73999.2571,005.6443,036.6172,764.1711,469.8461,416.962,815.7232,374.493
Overige kortlopende verplichtingen 4,5766,1891,5551,4441,3593,8881,2781,1391,099.8831,115.243925.106841.51841.84884.112914.8641,026.33812.6431,082.975979.257
Totaal kortlopende verplichtingen 18,88119,67320,62917,99116,46813,90511,1449,1129,498.4179,793.8268,095.1738,498.3068,413.96612,083.37514,319.17311,064.6899,813.08411,232.96111,112.918
Langlopende verplichtingen:
Langetermijnschulden 10,6608,8938,6769,30610,7866,5324,6053,4282,341.4682,395.0392,754.0713,027.5973,266.695,356.1755,048.5796,753.3027,191.9169,833.36512,036.366
Uitgestelde opbrengsten niet-vlottend 1,95704,0593,8982,2612,6481,524629579.029554.021,144.0351,143.9361,079.3751,049.5871,026.75980.7561,441.021,671.5021,808.71
Uitgestelde belastingverplichtingen niet-vlottend 1,4161,4371,3201,029917837771776880.4871,105.046923.848778.281723.57833.2881,304.3941,082.2353,570.8512,857.6051,969.971
Overige niet-vlottende verplichtingen 2983,891234170196-929854968.4246.7615.8256.7379.43419.94833.0718.77982.045139.3537.997
Totaal niet-vlottende verplichtingen 14,33114,22114,28914,40314,1609,0886,9085,3823,869.4084,060.8664,827.7794,956.5515,079.0697,258.9987,412.7938,835.07212,285.83214,501.82515,823.044
Totaal passiva 33,21233,89434,91832,39430,62822,99318,05214,49413,367.82513,854.69212,922.95213,454.85713,493.03519,342.37321,731.96619,899.76122,098.91625,734.78626,935.962
Eigen vermogen:
Preferente aandelen 00045000000000000000
Gewone aandelen 10,96810,96810,96810,96810,9688,5228,5228,5228,522.698,522.698,522.698,522.698,522.698,522.695,287.945,287.945,287.945,287.94851.14
Ingehouden winsten 30,35432,36533,28728,02027,33726,74629,04727,63027,723.93625,619.724,164.04325,565.52126,513.55624,613.39120,272.91915,883.89811,888.8879,637.117,636.228
Overige gereserveerde algehele resultaten 6,8124,7562,349-459094391,17038316,569.2852,76954600000000
Overige totale aandeelhoudersvermogen 10,15210,15010,09110,46810,5138,0678,0678,050-7,056.2868,045.6198,046.5945,639.5513,784.734,318.2722,006.4711,602.5925,251.4194,833.722-432.493
Totaal eigen vermogen van aandeelhouders 58,28658,23956,69549,45649,72743,77446,80644,58545,759.62544,957.00941,279.32739,727.76238,820.97637,454.35327,567.3322,774.4322,428.24619,758.7728,054.875
Totaal eigen vermogen 58,38758,34356,77249,51449,79343,84346,87344,68145,815.41145,006.18641,323.35839,762.50538,831.98337,464.74927,577.01122,783.12422,440.28419,768.9798,073.11
Totaal passiva en aandeelhoudersvermogen 91,59992,23791,69081,90880,42166,83664,92559,17559,183.23658,860.87854,246.3153,217.36252,325.01856,807.12249,308.97742,682.88544,539.245,503.76535,009.072