Oki Electric Industry Co., Ltd.

TSE:6703.T

996 (JPY) • At close November 5, 2024
Overzicht | Financiële gegevens

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

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Operationele Activiteiten:
Nettowinst 1,80623,6594,221560-1,2787,557-2,952-1,851-3,0828,0083,326-3,799-3,36211,022-2,014-2,280-2,7885,3026,4726,3511,5268,7683,82482-1,6569,9152,465-66-4,18620,8344,354-5,072-6,4447,9111,050-3,3176,04514,13813,9448,51593513,55914,4663,764-2816,7178,375-2,868-3,59012,5791,781-958-1,364-10,245-6,064440-9,44410,628452-199-5,7513,955-8,961
Afschrijvingen & Amortisatie 3,3404,0123,6023,3773,2103,3563,0992,9732,8942,9133,2853,3083,0963,5413,2233,1442,9513,3403,1793,0662,9893,3983,1212,9502,8983,3323,1513,3693,1263,8013,4233,3833,3843,8083,6753,4953,4043,9653,7403,4773,2823,7543,5863,5143,3953,6863,4093,1052,8213,1903,3003,1583,0323,5573,5483,5723,4184,0543,8653,8493,7474,5945,134
Uitgestelde Inkomstenbelasting 000000000000000000000000000000000000000000000000000000000000000
Aandelen Gebaseerde Vergoedingen 000000000000000000000000000000000000000000000000000000000000000
Verandering in Werkkapitaal 9,7826,803-4,605-10,299-1,538-162-1,263-15,4365,433-756-16,824-13,72924,989-9,084-6,627-67915,4214,947-9,690-3,86011,914-1,766-16,900-1,2079,546-8,4149,0539,4264,033-2,03620,635-3,77221,845-4,209-7,051-3,1122,7714,073-9,566-3,06210,658-17,374-9,279-6,82215,272-622-14,800-3,391-7,008-7,415-6,1813,9249,77128,383-412-9,96915,9363,119-3,3542,00717,5923,506-14,351
Vorderingen 25,778-13,213-13,827-5,78220,443-13,306-4,778-2,20224,805-7,833-7,814-4,53335,987-24,145-2,1971,61131,298-11,992-3,483-4,22513,071-29,449-5,845-1,84930,320-29,2078,5561,09625,131-27,92432,624-5,80831,548-41,9613,329-4,47534,364-39,55611,758-8,61645,107-40,9308,944-7,30844,303-16,60166-1,558000000000000000
Voorraden -13,59616,280-588-238-7,0159,526-3,954-6,861-14,9264,650-6,583-6,362-4,38413,585-4,5802,195-7,31413,889-2,360-1,26283115,287-8,157-1,212-10,44715,514-3,0951,207-10,33027,959-2,7452,882-12,58123,701-5,540-2,290-12,33231,976-12,103161-16,12927,604-10,942-6,076-10,95723,451-3,982-2,768-18,00812,666-3,583-69-12,14121,990-10,420-563-15,17329,201-8,133421-4,36533,400-13,950
Crediteuren 85-3,2219,638-4,096-6,1004,1967,631-6,776-4,4412,8551,593-3,278-6,9912,9940000000000000000000000000000000000000000000000000
Overig Werkkapitaal -2,4856,957172-183-8,866-578-162403-52,427-2,427-2,83429,373-22,669-2,047-2,87422,735-8,942-7,330-2,59811,083-17,053-8,743519,993-23,92812,1488,21914,363-29,99523,380-6,65434,426-27,910-1,511-82215,103-27,9032,537-3,22326,787-44,9781,663-74626,229-24,073-10,818-62311,000-20,081-2,5983,99321,9126,39310,008-9,40631,109-26,0824,7791,58621,957-29,894-401
Overige Niet-Contante Posten -6,222-2,904-8563,0921,843549-1,0341,987-5,216-3,973182,760-3,3391,634-2343904537,311-430-4,686-5,184-7,2672,919-2,884538-886-7,500-12,005765-12,513-17,5676,713999-10,8475,543-7,431-5,308-14,1821,886-1,18037610,464-1,941-2,648-1,814-13,3011,177-11,7686,439-3,4252,076-1,7132,002-26,1805,3893,006-3,3508856,3224,280-206-2,33820,320
Kasstroom uit Operationele Activiteiten 14,29323,3922,362-3,2702,23711,300-2,150-12,327296,192-10,195-11,46021,3847,113-5,65257516,03720,900-46987111,2453,133-7,036-1,05911,3263,9477,1697243,73810,08610,8451,25219,784-3,3373,217-10,3656,9127,99410,0047,75015,25110,4036,832-2,19216,8256,480-1,839-14,922-1,3384,9299764,41113,441-4,4852,461-2,9516,56018,6867,2859,93715,3829,7172,142
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -4,851-4,777-3,506-4,009-5,695-4,323-3,100-5,230-3,880-6,810-7,684-2,672-4,534-3,721-2,672-17,572-2,516-4,680-4,188-3,495-3,918-3,980-3,206-3,165-3,043-2,712-2,446-1,848-2,433-3,741-2,328-4,368-3,530-3,300-3,650-4,307-2,971-4,103-3,906-3,992-2,528-3,683-3,164-2,853-1,735-5,768-2,875-4,176-2,039-3,848-2,173-3,113-1,905-2,215-2,142-2,323-2,092-3,086-2,179-2,795-2,304-3,366-3,524
Netto Overnames 0-581,25700000-1,5003,7780-199199415125275-1,045011000000-106-2,9520000000039-2,012000-2,717-2,746000-660-9450-862000-992000000000
Aankoop van Beleggingen 0000000000000-2,1210000-46500000000000000000000000000-1,9480-1,505-2,000-3,157000-1,005000-3,139-686-4-18900
Verkoop/verval van Beleggingen 5032,9280008870001,000000780009073,6925943,748000000000000000000004460003,5504,4505272825854,62050018108903,000000089979,393
Overige Investeringsactiviteiten -48691-680-261-224-619-114-2465024,407-1,219-1,302641,9451,56210,77216-1905793,522911-435648950132777-1971401,29222,296-429-173-1392,314114342-331-247-288-431-371-3,512-148771-994,171-1,44048286564-213-5271371,6771092,668-1,9182,162-1,219266181-2,562-167
Kasstroom uit Investeringsactiviteiten -4,397-1,217-2,929-4,270-5,919-4,055-3,214-5,476-4,878-2,403-7,656-3,267-4,271-3,404-985-6,525-3,545-3,963-371621741-4,415-2,558-2,215-2,911-2,041-5,595-1,708-1,14118,555-2,757-4,541-3,669-986-3,536-3,926-5,314-4,350-4,194-4,423-5,616-6,749-3,312-2,082-1,834-61135-5,617-3,671-6,7182,234-3,140-1,768-1,725-2,033345-1,010-4,063-4,084-2,533-2,312-5,02975,702
Financieringsactiviteiten:
Schuldaflossingen -7,086-17,137-2,497-7,213-2,497-7,978-2,547-7,978-2,547-5,512-2,547-5,474-2,547-4,116-2,597-4,269-3,027-5,749-3,112-6,319-3,116-9,921-1,469-9,233-1,448-7,783-1,415-8,283-1,413-8,865-1,575-10,375-1,603-9,349-995-7,971-934-37,191-520-9,997-1,929-9,450-1,229-8,486-2,047-7,943-3,454-8,937-2,533-32,991-6,098-11,933-10,445-12,900-10,957-26,749-13,426-8,838-5,219-8,777-15,843-7,041-40,948
Uitgifte van Gewone Aandelen 00000000000000000000000000000000000000000000000000000-1,274000000000
Terugkoop van Gewone Aandelen 000000000000000000000000000000000000000000000000000000000000000
Uitgekeerde Dividenden -2,365-2-2-173-1,549-2-3-256-2,326-2-4-177-1,543-3-11-471-3,845-25-33-461-3,838-3-5-15-2,608-10-1,742-19-2,609-14-1,744-22-2,609-13-1,742-24-2,609-18-1,777-30-3,188000-1,032000-1,32100000000000000
Overige Financieringsactiviteiten 49-14,09812,2892385,0999,70422,8939,2163,69712,3915,878-2,4802,3742,1704,912312,33510,627-1,5852,0528826,9607,102-3,2137,2822,0004,281-1,801-15,465-447-654-61214,8854,61013,4181,86226,7993724,3522,4036,472-75010,1972,0555,091-1,070-4,3583,43233,427-7121,6279,55410,47330,24421,21614,580-8762,6998,579-3,0486,340-20,535
Kasstroom uit Financieringsactiviteiten -10,448-18,4031,5994,903-3,808-2,8817,15414,6594,343-1,8179,840227-6,570-1,745-438172-6,841-3,4397,482-8,365-4,902-9,0425,486-2,146-7,269-511-1,157-4,021-5,823-24,344-3,766-11,051-4,8245,5231,8735,423-1,681-10,410-1,925-5,675-2,714-2,978-1,9791,711-1,024-2,852-4,524-13,295-422436-6,810-10,306-891-3,70119,287-5,5331,154-9,714-2,520-198-18,891-701-61,483
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 01,025-164589796370-7086331,3221,052365-1213967351-123-50-642388-85-31974-327309-8-750289251131639-276195-675-390-555-271137-147614549-19-227754158399634367-125492-674-191387354-295129-103387277-305-7995410-1,915
Netto Kasstroomverandering 9384,919869-2,048-6,6944,7311,084-2,5138173,025-7,646-14,51210,6822,639-7,025-5,9005,59912,8567,030-6,9586,766-10,249-4,436-5,1111,138643706-4,753-3,0954,9374,046-14,14410,819811998-9,14055-6,9124,497-1,7996,9464472,295-2,40514,6354,201-5,861-33,958-3,484-2,027-3,791-8,64810,711-10,20519,844-8,2437,0935,1873746,447-5,2803,98714,446
Kaspositie aan het Einde van de Periode 35,48334,54529,62528,75630,80437,49832,76731,68334,19633,37930,35438,00052,51241,83039,19146,21652,11646,51733,66126,63133,58926,82337,07241,50846,61945,48144,83844,13248,88551,98047,04342,99757,14146,32245,51144,51353,65353,59860,51056,01357,81250,86650,41948,12450,52935,89431,69337,55471,51275,89077,91781,70890,35679,64589,85070,00678,24971,15665,96965,59559,14864,42860,441