Togami Electric Mfg. Co., Ltd.

TSE:6643.T

3380 (JPY) • At close September 19, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 6,890.7626,811.5056,558.6016,651.5765,738.7145,229.0974,565.7686,083.6185,582.8495,463.2154,436.983,652.1923,575.8253,033.5662,956.7122,556.3112,830.589
Kortetermijnbeleggingen 233.886233.886233.886283.986310.385306.785300.383324.482466.4400031.79237.343.0130.8950.121
Liquide middelen en kortetermijnbeleggingen 7,124.6486,811.5056,558.6016,651.5765,738.7145,229.0974,565.7686,083.6185,582.8495,463.2154,436.983,652.1923,607.6173,070.9062,959.7252,557.2062,830.71
Nettovorderingen 6,436.7595,211.9624,696.2644,878.7634,939.3965,910.8355,997.8966,104.5266,831.5966,394.6135,455.3665,356.955,366.2414,537.1644,368.3373,866.2194,374.595
Voorraad 5,922.8315,307.5814,217.2783,942.883,780.1733,594.0113,976.9554,063.6933,559.4993,665.7963,550.7823,738.7533,318.8673,738.393,722.9134,158.5114,096.961
Overige vlottende activa 1,283.4582,353.612,304.9411,929.941,780.0561,260.9091,505.8871,012.865738.501634.848554.815592.779541.985619.857541.901718.554816.527
Totaal vlottende activa 20,767.69619,684.65817,777.08417,403.15916,238.33915,994.85216,046.50617,264.70216,712.44516,158.47213,997.94313,340.67412,834.7111,966.31711,592.87611,300.4912,118.793
Niet-vlottende activa:
Materiële vaste activa, netto 5,925.7035,039.1355,035.2785,140.7915,014.8854,760.3674,463.6293,378.2062,822.9382,345.12,230.9072,168.2922,245.9792,521.022,758.9493,146.1423,433.039
Goodwill 0.9740.6670.6270.6010.7210.7630.4810000000000
Immateriële activa 453382319265214157117111.617117.489113.718103.35383.071125.044172.598219.04249.76125.042
Goodwill en immateriële activa 453.974382.667319.627265.601214.721157.763117.481111.617117.489113.718103.35383.071125.044172.598219.04249.76125.042
Langetermijnbeleggingen 2,214.0381,615.7681,464.035987.42761.497818.363883.995715.264573.281619.829509.637459.284388.158347.119433.302453.845545.25
Belastingvorderingen 1,078.1231,175.6791,293.0121,247.3451,262.4761,208.5341,134.993788.632179.394190.73372.89465.966.72182.50281.9785.911115.794
Overige niet-vlottende activa 959.246921.633937.759709.806716.554675.387661.941602.378631.505808.845647.301892.98882.445824.925831.054822.415988.2
Totaal niet-vlottende activa 10,631.0849,134.8829,049.7118,350.9637,970.1337,620.4147,262.0395,596.0974,324.6074,078.2253,564.0923,669.5273,708.3473,948.1644,324.3174,558.0745,107.325
Totaal activa 31,398.7828,819.54126,826.79825,754.12324,208.47423,615.26723,308.54822,860.79921,037.05320,236.69717,562.03517,010.20116,543.05715,914.48115,917.19315,858.56417,226.118
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 4,074.1842,741.4142,130.6682,061.3322,122.9712,181.892,132.6272,725.745643.286155.527211.3823,923.9593,469.3993,484.6333,064.3512,348.6153,532.157
Kortlopende schulden 333.879344.204361.403355.01346.467373.64611.803191.223340.489581.2291,151.1082,072.1122,472.7191,976.3372,039.4871,934.7721,915.702
Belastingschulden 744.798355.828296.511348.628236.42329.098292.144409.548345.991755.624385.904140.234122.96848.48761.77464.012157.83
Uitgestelde opbrengsten 744.7981,335.8481,134.1821,185.17940.3581,073.6971,032.7511,370.8195,741.3476,351.4065,517.07658.865573.024500.953457.463440.543609.752
Overige kortlopende verplichtingen 2,219.0512,548.6722,485.5392,332.9972,132.1142,116.8342,624.3082,729.287883.4841,036.248706.526671.863602.484510.41447.24474.853637.568
Totaal kortlopende verplichtingen 7,371.9126,970.1386,111.7925,934.5095,541.915,746.0616,401.4897,017.0747,608.6068,124.417,586.0867,326.7997,117.6266,472.3336,008.5415,198.7836,695.179
Langlopende verplichtingen:
Langetermijnschulden 4.37410.47919.47341.56768.57895.24533.25441.05852.074107.62259.7941,097.5781,538.5591,549.3981,881.6552,334.381,832.307
Uitgestelde opbrengsten niet-vlottend 0-63.874-51.323-61.828-20.003-36.8252,588.9022,487.1662,367.522,498.8832,139.1931,972.5651,874.4112,043.642,322.7822,494.6822,489.254
Uitgestelde belastingverplichtingen niet-vlottend 063.87451.32361.82820.00336.8253.7982.4182.26511.86835.01120.79711.88816.4212.8320.20719.719
Overige niet-vlottende verplichtingen 2,921.1512,928.3153,028.0483,117.2473,048.4342,943.877250.111258.861258.014255.088355.061354.013361.197416.54290.674297.856293.852
Totaal niet-vlottende verplichtingen 2,925.5252,938.7943,047.5213,158.8143,117.0123,039.1222,876.0652,789.5032,679.8732,873.4592,789.0593,444.9533,786.0554,025.9994,497.9435,127.1254,635.132
Totaal passiva 10,297.4379,908.9329,159.3139,093.3238,658.9228,785.1839,277.5549,806.57710,288.47910,997.86910,375.14510,771.75210,903.68110,498.33210,506.48410,325.90811,330.311
Eigen vermogen:
Preferente aandelen 000020.1134.69600000000000
Gewone aandelen 2,899.5972,899.5972,899.5972,899.5972,899.5972,899.5972,899.5972,899.5972,899.5972,899.5972,899.5972,899.5972,899.5972,899.5972,899.5972,899.5972,899.597
Ingehouden winsten 16,564.80314,895.80813,858.94912,985.17412,022.22811,284.95610,342.8149,378.67,087.4175,429.9853,562.9592,726.2042,279.6512,071.742,021.0122,104.9562,368.482
Overige gereserveerde algehele resultaten 906.411425.193234.815116.736-20.113-4.696137.154136.876140.1783091502800000
Overige totale aandeelhoudersvermogen 507.007507.891508.923509.649490.503518.238480.75483.923436.883444.032446.913451.22327.181317.373405.322408.917521.205
Totaal eigen vermogen van aandeelhouders 20,877.81818,728.48917,502.28416,511.15615,412.32814,702.79113,860.31512,898.99610,564.0759,082.6147,059.4696,105.0215,506.4295,288.715,325.9315,413.475,789.284
Totaal eigen vermogen 21,101.34218,910.60917,667.48516,660.815,549.55214,830.08414,030.99413,054.2210,748.5749,238.8287,186.896,238.4495,639.3765,416.1495,410.7095,532.6565,895.807
Totaal passiva en aandeelhoudersvermogen 31,398.77928,819.54126,826.79825,754.12324,208.47423,615.26723,308.54822,705.57321,037.05320,236.69717,562.03517,010.20116,543.05715,914.48115,917.19315,858.56417,226.118