Panasonic Holdings Corporation

TSE:6752.T

1379.5 (JPY) • At close November 8, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Operationele Activiteiten:
Nettowinst 443,978280,556265,438183,894240,038302,737252,027172,442215,066196,366121,645-775,168-816,14485,597-170,667-378,961281,084.858217,142.85154,425.61458,549.14242,247.709-19,111.662-431,690.99841,742.33499,773.9413,433.36993,562.305137,607.071-57,459.19887,851.32724,398.25138,026.875132,990.524259,820.527234,145.265
Afschrijvingen & Amortisatie 399,984382,289339,148317,572372,975296,041287,754270,767274,761286,528331,083339,367338,112367,263298,270364,806319,573.242317,761.403309,322.039325,666.196278,855.102297,056.568353,540.041375,807.115365,392.513370,322.73364,946.226349,024.609300,769.183459,966.668481,983.456519,432.638498,412.183274,367.881236,315.315
Uitgestelde Inkomstenbelasting 0-210-3580-223-37000000000000000000000000000000
Aandelen Gebaseerde Vergoedingen 31821035802233704024141942200000000000000000000000000
Verandering in Werkkapitaal 85,604-71,026-182,098-78,237-10,421-313,223-177,69119,449-89,93261,94495,28857,754-70,817-33,46255,674-222,342-218,865.294-97,673.045-20,833.334-27,666.07854,745.207295,994.809175,042.19320,177.563111,898.88849,755.865-21,267.7996,115.76-202,183.55-71,556.323-96,956.88745,652.923-418,171.422-186,533.473-103,863.632
Vorderingen 50,55425,797-53,848-122,79762,770-127,464-156,577-7,983125,03668,901-34,882128,08800000000000000000000000
Voorraden 152,815-120,617-225,928-21,17330,938-30,270-164,137-36,612-30,0155,99364,60164,62538,117-54,659100,57621,011-37,291.854471.28136,487.7684,392.261-37,106.23681,165.575249,072.946-56,623.28717,570.936,310.587-49,269.937-9,407.338-117,745.839-201,821.316-145,732.87-84,472.263-253,305.16-116,943.224-4,214.3
Crediteuren -22,1115,39076,81162,987-85,896-50,698143,02364,044-18,90000000000000000000000000000
Overig Werkkapitaal -95,65418,40420,8672,746-18,233-104,791-13,55456,061-59,91755,95130,687-6,871-108,93421,197-44,902-243,353-181,573.44-98,144.327-57,321.093-112,058.33991,851.443214,829.234-74,030.75376,800.8594,327.98813,445.27828,002.147105,523.098-84,437.711130,264.99448,775.983130,125.186-164,866.262-69,590.249-99,649.331
Overige Niet-Contante Posten 556,042-71,077-169,85880,809-172,289-81,87861,092-77,248-1,215-53,37533,934716,797511,95849,797339,056353,14482,959.41995,316.639132,415.256122,138.228114,476.549112,546.452-19,936.469-43,381.761-100,390.46361,855.42491,778.89850,638.709216,502.832-7,680.9432,400.837-31,514.87332,712.825-38,350.831-25,458.777
Kasstroom uit Operationele Activiteiten 866,898520,742252,630504,038430,303203,677423,182385,410398,680491,463581,950338,750-36,891469,195522,333116,647464,752.225532,547.846575,329.576478,687.487490,324.567686,486.16776,954.768394,345.251476,674.878495,367.388529,019.64633,386.149257,629.266468,580.73411,825.658571,597.562245,944.11309,304.104341,138.172
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -647,199-369,886-297,776-296,427-345,288-398,863-475,603-341,814-241,836-224,162-201,735-320,168-456,468-420,921-375,648-521,580-417,489.287-411,310.737-356,756.126-352,367.178-276,215.819-242,434.967-336,261.769-483,126.529-331,894.774-356,317.729-475,677.148-404,874.488-383,814.593-314,806.348-250,005.128-316,469.506-568,342.159-480,090.879-344,283.172
Netto Overnames 15,580-4,886-581,900445,28778,6923,148-24,724-129,178-29,35925,360131,034146,562456,468420,921-174,808521,580150,862.501182,857.137168,667.61178,172.755113,283.47157,334.985142,346.38500000484,756.427245,591.46593,960.9650000
Aankoop van Beleggingen -46,837-37,982-37,239-115,028-18,732-29,838-23,938-29,119-12,396-38,117-18,226-4,144-6,945-8,873-8,855-34,749-228,038.691-518,409.408-440,795.675-9,007.56-703.711-79,395.977-137,827.452-177,184.227-278,565.552-359,318.801-348,176.88-328,204.685-175,194.327-225,494.864-77,493.689-95,934.305-122,400.71-208,291.008-216,486.089
Verkoop/verval van Beleggingen 89,12336,36931,143429,90549,13233,47014,67731,1639,62343,62564,859232,196135,49487,229160,576221,127479,908.273173,078.051,032,485.89133,885.58468,634.908129,298.649194,048.293257,516.15259,761.606373,323.802488,640.119433,418.331264,794.263276,332.512227,166.39467,910.87665,877.412357,517.78685,166.605
Overige Investeringsactiviteiten -2,54832,35289,623-287,14130,100198,69641,49950,836-30655,28636,196-38,040-431,551-281,30175,076-655,855-46,465.2515,891.0163,413.37170,880.929,347.79124,225.80167,783.993-182,480.837-254,315.655-32,583.065-95,917.999-147,781.84919,278.016-312,637.712-616,276.439172,309.635440,267.86-817,304.454-117,795.982
Kasstroom uit Investeringsactiviteiten -591,881-344,033-796,149176,596-206,096-193,387-458,828-420,156-274,274-138,00812,12816,406-303,002-202,945-323,659-469,477-61,222.456-567,893.942407,015.072-178,435.479-85,653.361-10,971.509-69,910.55-585,275.443-605,014.374-374,895.792-431,131.908-447,442.691209,819.786-331,014.952-122,647.897-172,183.3-184,597.597-1,148,168.554-593,398.638
Financieringsactiviteiten:
Schuldaflossingen -113,661-111,164-48,779-26,975-254,463-108,586-163,429-50,900-251,572-62,989-513,623-902,426-7,096-235,940-4,968-117,819-51,151.661-189,572.895-282,485.88-140,260.58100-174,776.374000000000000
Uitgifte van Gewone Aandelen 3322259119897873172359939,984.047353.461235.4051,286.79400531.639000000000000
Terugkoop van Gewone Aandelen -52-53-45-43-35-50-119-106-107-426-116-35-363-432-49-72,416-102,801.876-153,166.416-87,099.813-92,970.89-69,563.181-113,844.157-92,106.484-252.22-308.261-98,380.373000000000
Uitgekeerde Dividenden -75,862-70,019-58,339-58,327-69,979-81,633-58,310-58,025-46,322-36,985-11,558-11,559-21,912-20,704-40,502-104,167-69,099.612-55,022.089-39,077.213-50,077.746-33,975.606-28,549.519-36,018.553-34,049.638-37,299.629-36,024.77-36,666.309-26,253.899-33,361.678-36,547.12-36,997.517-38,945.676-44,285.884-32,015.465-35,475.602
Overige Financieringsactiviteiten -32,484-425,78068,515-92,361372,697-151,49293,084403,620-10,038358,006-7,025422,954-23,796-97,568-11,477442,515-19,842.457-30,279.822-116,054.616-137,579.759-169,827.052-292,927.505331,875.746-78,944.716-178,688.858-296,022.386-186,938.284-59,947.022-207,410.03459,978.748-231,085.71-199,310.898-376,489.808555,085.236813,375.677
Kasstroom uit Financieringsactiviteiten -70,456-607,01358,910-177,70448,222-341,761-128,763294,598-308,031257,615-532,315-491,058-53,094-354,627-56,973148,712-202,911.559-427,687.762-524,482.117-419,602.181-273,365.84-435,321.18229,505.973-113,246.573-216,296.749-430,427.529-223,604.593-86,200.921-240,771.71223,431.628-268,083.226-238,256.574-420,775.693523,069.771777,900.074
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 95,56543,93096,80674,284-28,05014,150-16,793-1,731-82,51976,87134,42157,774-7,428-46,709-5,656-36,831-222,355.17332,164.94739,665.72614,047.505-23,499.167-9,791.77714,354.25735,689.065-73,160.706-59,866.6187,186.86376,001.38780,217.967-13,400.611-22,058.974-26,760.078-40,273.182-38,760.01941,624.078
Netto Kasstroomverandering 300,126-386,374-387,351576,720244,240-317,321-181,202258,121-266,144687,94196,184-78,128-400,415-135,086136,045-240,949-21,736.963-430,751.09497,645.959-105,302.669107,806.198230,401.69951,037.359-268,613.81-417,796.951-369,810.643-118,529.999175,743.923306,895.308147,596.795-964.439134,397.61-399,702.362-354,554.698567,263.686
Kaspositie aan het Einde van de Periode 1,119,625819,4991,205,8731,593,2241,016,504772,2641,089,5851,270,7871,014,2641,280,408592,467496,283574,411974,8261,109,912973,8671,211,287.2841,236,759.8991,667,255.2041,170,339.4341,278,122.461,147,761.457901,394.196852,880.3751,117,550.3291,521,960.2081,905,303.8472,021,253.1641,867,964.81,499,892.0621,387,571.0371,380,130.9221,259,337.4821,663,336.7561,998,741.977