Seiko Epson Corporation

TSE:6724.T

2661.5 (JPY) • At close November 12, 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 257,356267,380335,239304,007196,262175,238229,678221,782230,498245,330118,570106,678123,093125,807193,117172,921171,970296,764233,086235,596
Kortetermijnbeleggingen 71,1252,1647691,1563,1591,4661,5137541,6743,54485,01370,01219,01076,00951,511102,014137,07930,98341,983-79
Liquide middelen en kortetermijnbeleggingen 328,481269,544336,008305,163199,421176,704231,191222,536232,172248,874203,583176,690142,103201,816244,628274,935309,049327,747275,069235,596
Nettovorderingen 222,897209,456173,278165,307162,999177,167168,267158,219153,333169,541185,036147,054151,987152,983153,742146,806217,014252,221279,721293,025
Voorraad 358,189389,473308,385256,366233,434250,763223,227208,512201,608220,426183,627163,528162,254151,909151,192147,550161,357178,622192,015176,656
Overige vlottende activa 23,92024,03216,79813,16113,99217,94116,48713,17914,33811,54230,20632,18530,84636,82246,64848,38649,82555,33649,19041,856
Totaal vlottende activa 933,487892,505834,469739,997609,846622,575639,172602,446601,451650,383602,452519,457487,190543,530596,210617,677737,245813,926795,995747,133
Niet-vlottende activa:
Materiële vaste activa, netto 377,333360,866343,172344,637360,517321,956297,927275,195244,463227,257216,170217,388213,086213,620225,352253,711343,260379,030426,116441,353
Goodwill 5,8305,3875,1634,9634,7384,8534,9654,7612,5822,326708871,7582,6322,87300000
Immateriële activa 21,23625,42524,21827,97629,05225,19122,03721,55318,17919,17014,66212,48113,30811,98415,18716,78920,66024,89424,28726,530
Goodwill en immateriële activa 27,06625,42524,21827,97629,05225,19122,03721,55318,17919,17014,73213,36815,06614,61618,06016,78920,66024,89424,28726,530
Langetermijnbeleggingen 32,7162,1022,0401,7181,51219,47820,46621,22821,89325,033-65,983-56,572-6,396-62,690-35,424-86,733-116,66017,1997,82649,972
Belastingvorderingen 36,11731,93234,75723,77020,07241,69645,70146,43346,58770,1685,0145,3073,7764,2364,5512,7515,1326,45011,1426,477
Overige niet-vlottende activa 6,37528,74427,76323,21619,9117,4938,0477,5318,76614,27093,48579,59728,04684,91761,341113,147149,52843,56560,43326,746
Totaal niet-vlottende activa 479,607449,069431,950421,317431,064415,814394,178371,940339,888355,898263,418259,088253,578254,699273,880299,665401,920471,138529,804551,078
Totaal activa 1,413,0941,341,5751,266,4201,161,3141,040,9101,038,3891,033,350974,387941,3401,006,282865,874778,547740,768798,229870,090917,3421,139,1651,285,0641,325,7991,298,211
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 89,461159,658146,201134,149125,069144,399154,759141,633130,624140,04772,82157,24977,427123,945149,344131,925182,889226,784230,946264,074
Kortlopende schulden 29,68838,61326,29728,12722,32021,36336,08276,20061,68575,41179,955128,626101,312103,22287,46760,72598,330134,513164,128135,297
Belastingschulden 8,2795,79812,2337,3053,2863,8147,2967,2636,8308,38413,6897,3387,6316,47210,0246,20810,0867,57812,27412,498
Uitgestelde opbrengsten 8,27920,46227,72320,69215,05516,82233,90030,562-61,685-75,41196,77279,78080,36131,46835,73936,08142,35442,42748,87847,204
Overige kortlopende verplichtingen 147,227-12,554-26,615-18,479-18,525-33,324-64,409-45,90256,94166,964-22,422-3,554-30,844-73,630-103,266-83,016-131,425-161,309-179,208-218,125
Totaal kortlopende verplichtingen 372,395371,635332,040305,943272,274297,473322,387351,389325,019355,442313,636326,688313,314315,422328,652283,848385,123476,777507,964505,022
Langlopende verplichtingen:
Langetermijnschulden 150,682194,668216,853237,780187,362120,987130,48370,37179,928110,386140,500142,500137,500167,500221,593285,322243,871270,045265,558259,918
Uitgestelde opbrengsten niet-vlottend 24,41325,13336,04043,57462,42664,58752,88853,076-79,928-110,38647,91032,69226,58929,28920,85414,61419,26528,61536,39517,064
Uitgestelde belastingverplichtingen niet-vlottend 9,1547,0442,0647,5829938941,0491,3041,0017114,61110,7868,6968,92110,2075,8187,4881,9771,1429,764
Overige niet-vlottende verplichtingen 45,31315,61813,68313,48611,81911,70211,4383,525144,644152,8227,4857,0756,5306,2895,9209,10911,97213,31540,22133,573
Totaal niet-vlottende verplichtingen 229,562242,463268,640302,422262,600198,170195,858128,276145,645153,533200,506193,053179,315211,999258,574314,863282,596313,952343,316320,319
Totaal passiva 601,957614,098600,680608,365534,874495,643518,245479,665470,664508,975514,142519,741492,629527,421587,226598,711667,719790,729851,280825,341
Eigen vermogen:
Preferente aandelen 0607,896576,560496,055466,296489,742000027,15239,63200000000
Gewone aandelen 53,20453,20453,20453,20453,20453,20453,20453,20453,20453,20453,20453,20453,20453,20453,20453,20453,20453,20453,20453,204
Ingehouden winsten 557,025526,299480,154399,306369,609382,897358,001332,306292,775294,191259,426179,305194,047193,602187,358208,524326,719313,945327,324350,943
Overige gereserveerde algehele resultaten 172,175119,45689,06854,86937,45050,43947,95953,17757,98983,073-27,152-39,63200000000
Overige totale aandeelhoudersvermogen 28,588-579,503-533,358-452,510-422,813-436,10153,56353,50963,85063,85736,71424,236-80922,45740,73440,89667,283103,16862,28742,066
Totaal eigen vermogen van aandeelhouders 810,992727,352665,628550,924503,746540,181512,727492,196467,818494,325349,344256,745246,442269,263281,296302,624447,206470,317442,815446,213
Totaal eigen vermogen 811,133727,477665,740552,949506,036542,746515,105494,722470,676497,307351,732258,806248,139270,808282,864318,631471,446494,335474,519472,870
Totaal passiva en aandeelhoudersvermogen 1,413,0901,341,5751,266,4201,161,3141,040,9101,038,3891,033,350974,387941,3401,006,282865,874778,547740,768798,229870,090917,3421,139,1651,285,0641,325,7991,298,211