Renesas Electronics Corporation

TSE:6723.T

2117 (JPY) • At close November 13, 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 434,681336,068221,924219,786146,468188,820123,320354,287398,673344,000267,30278,072111,981170,69124,685101,279165,472185,372211,060225,691
Kortetermijnbeleggingen 4,6606,68873760546849416,756282-28,783-35,970-22,125-29,33320,250166,99866,549-1,3300000
Liquide middelen en kortetermijnbeleggingen 434,681342,756222,661220,391146,936189,314140,076354,569398,673344,000267,30278,072132,231337,68991,234101,279165,472185,372211,060225,691
Nettovorderingen 168,991158,085136,74177,56781,37876,308108,42080,40999,75991,37982,43077,891102,376175,07572,44552,488099,544114,078100,287
Voorraad 163,054187,958137,92589,76189,642115,440126,58197,296108,354111,421126,055151,349151,798123,37157,04963,22075,83982,57372,52567,718
Overige vlottende activa 33,94726,32020,48415,10314,86312,56228,78626,2255,05724,26328,12019,06323,2855,5283,81157,663102,804113,66915,70724,945
Totaal vlottende activa 800,673715,119517,811402,822332,819393,624403,332558,499611,843571,063503,907326,375409,690641,663224,539222,177344,115381,614413,370418,641
Niet-vlottende activa:
Materiële vaste activa, netto 266,139208,042195,729187,354232,579252,503267,341201,505173,046181,815204,254242,612307,199346,300197,977242,079259,151292,823302,125343,491
Goodwill 1,362,1311,265,4571,234,600590,459625,030187,230172,750000002,2282,485000000
Immateriële activa 421,847487,438371,969364,764414,582166,524161,89428,55325,09828,25234,87743,90473,65380,74513,91910,8336,41110,40312,45011,643
Goodwill en immateriële activa 1,783,9781,752,8951,606,569955,2231,039,612353,754334,64428,55325,09828,25234,87743,90475,88183,23013,91910,8336,41110,40312,45011,643
Langetermijnbeleggingen 255,23077,46133,89617,4969,5275,479-8,6235,73934,97944,07830,71237,396-12,449-156,363-66,3554,8040000
Belastingvorderingen 43,38537,87642,41440,60046,40444,1491,1772,2631,7962,1062,3002,4502,3732,1001,0772,1202,0623,8921,73929,774
Overige niet-vlottende activa 17,59820,8799,8285,4906,4185,72664,80126,4952,61412,7739,95216,36775,510228,11888,7715324,5657,15415,59710,673
Totaal niet-vlottende activa 2,366,3302,097,1531,888,4361,206,1631,334,540661,611659,340264,555237,533269,024282,095342,729448,514503,385235,389260,368272,189314,272331,911395,581
Totaal activa 3,167,0032,812,2722,406,2471,608,9851,667,3591,055,2351,062,672823,054849,376840,087786,002669,104858,2041,145,048459,928482,545616,304695,886745,281814,222
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 243,192222,941204,330114,235100,187116,23365,07374,75076,88276,36491,37499,153148,747145,04796,12094,39476,53096,62091,033126,291
Kortlopende schulden 430,989124,874126,63597,10897,54445,73947,9898,96230,2297,8357,82432,930210,768305,9648,7771,2112,39420,60315,07415,534
Belastingschulden 41,41479,02522,05010,3377,8612,98315,9202,3095,0415,7858,6316,4435,3223,9622,8121,4622,0492,7923,7705,576
Uitgestelde opbrengsten 41,414044,74020,75619,74425,152119,6082,30974,48486,57598,29492,89354,074109,63027,31927,95132,83038,63935,67651,953
Overige kortlopende verplichtingen 71,71698,63392,87323,85323,56126,51033,39897,25886,3799,499-5,107-2,82597,217190,28932,14944,84098,742102,945104,15055,325
Totaal kortlopende verplichtingen 828,725525,473447,410287,045268,641241,769281,988185,588198,531186,058201,016228,594462,054645,262139,858141,907179,715222,960214,027202,726
Langlopende verplichtingen:
Langetermijnschulden 236,671645,138704,685596,613688,370149,271183,195152,837214,113251,890263,078273,45147,56872,265132,116114,96639,74743,89257,474137,435
Uitgestelde opbrengsten niet-vlottend 11,035062,14972,54748,86944,32827,91826934,70456,33166,93263,30187,92091,42041,32681,16774,46071,53575,7610
Uitgestelde belastingverplichtingen niet-vlottend 53,52863,52336,22938,68043,25718,75433,4199,1989,93411,64111,04011,47611,49214,0637,0973,91511,06810,8479,5590
Overige niet-vlottende verplichtingen 31,456104,183122,330-5,561-5,39314557,67362,23610,35522,25816,62214,35822,67030,9803,1938,3394,5405,21432676,254
Totaal niet-vlottende verplichtingen 332,690749,321797,377702,279775,103212,498268,786215,073269,106342,120357,672362,586169,650208,728183,732208,387204,275203,023218,881213,689
Totaal passiva 1,161,4151,274,7941,244,787989,3241,043,744454,267550,774400,661467,637528,178558,688591,180631,704853,990323,590350,294383,990425,983432,908416,415
Eigen vermogen:
Preferente aandelen 00070,4876,19213,31400005,9509,09800000000
Gewone aandelen 153,209153,209147,13328,97122,21310,69910,02210,00010,000228,255228,255153,255153,255153,25585,95585,95585,95585,95585,95585,955
Ingehouden winsten 1,157,236828,599578,017449,975403,068410,652283,541206,345162,226-475,815-533,106-527,815-360,234-297,634-182,611-197,521-114,896-98,90100
Overige gereserveerde algehele resultaten 549,401395,66795,015-70,487-6,192-13,31412,78311,9320753,657-5,950-9,09800000000
Overige totale aandeelhoudersvermogen 141,707156,275337,641208,242201,577190,063191,930191,908207,253525,402525,402450,402424,963450,402242,575343,177281,063281,031281,007276,687
Totaal eigen vermogen van aandeelhouders 2,001,5531,533,7501,158,143616,701620,666598,100509,463420,185379,479309,529214,60166,744217,984283,805132,306128,130227,138265,068308,251393,863
Totaal eigen vermogen 2,005,5881,537,4781,161,460619,661623,615600,968511,898422,393381,739311,909227,31477,924226,500291,058136,338132,251232,314269,903312,373397,807
Totaal passiva en aandeelhoudersvermogen 3,167,0032,812,2722,406,2471,608,9851,667,3591,055,2351,062,672823,054849,376840,087786,002669,104858,2041,145,048459,928482,545616,304695,886745,281814,222