Teikoku Tsushin Kogyo Co., Ltd.

TSE:6763.T

2799 (JPY) • At close November 8, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 9,942.7110,400.1289,803.5099,063.56510,214.05510,038.7979,237.3559,661.1249,733.539,423.9327,915.945,312.5424,889.6446,485.1987,984.1967,720.4519,043.36
Kortetermijnbeleggingen 2,395.08171.743234.875-4,422.968-3,003.226-3,426.057-3,410.426-2,385.701-2,454.299100.03-1,709.399-1,149.928-998.451-907.725-750.892115.83-426.615
Liquide middelen en kortetermijnbeleggingen 12,337.7910,571.87110,038.3849,063.56510,214.05510,038.7979,237.3559,661.1249,733.539,523.9627,915.945,312.5424,889.6446,485.1987,984.1967,836.2819,043.36
Nettovorderingen 3,717.1034,5134,1223,8802,9293,3203,555.8243,213.6292,902.493,378.4273,407.6644,002.1413,938.6993,906.9234,463.2584,541.4526,465.88
Voorraad 3,087.7473,562.143,196.1882,361.8752,302.9742,239.3042,215.1262,181.0042,060.4062,380.4362,310.1792,441.8822,509.2432,723.3372,449.7242,788.5743,921.329
Overige vlottende activa 398.3691,151.811,103.6191,157.272872.939993.5021,219.725962.674857.856670.507304.145378.5661,031.965746.405466.885685.747713.543
Totaal vlottende activa 19,541.00919,074.5417,811.87915,846.76115,732.8715,939.35716,228.0316,018.43115,554.28215,953.33213,937.92812,135.13112,369.55113,861.86315,364.06315,852.05420,144.112
Niet-vlottende activa:
Materiële vaste activa, netto 4,262.4384,424.834,175.4264,190.4743,858.753,516.5893,543.0393,741.0783,930.5114,641.8794,695.44,680.0164,496.9565,038.6285,865.9356,525.647,979.497
Goodwill 0.7550.9710.5720.1470.8370.080.4080000000000
Immateriële activa 5235476070104119164.852207.257161.998165.175124.188126.028195.96241.455344.631420.411
Goodwill en immateriële activa 52.75535.97147.57260.14770.837104.08119.408164.852207.257161.998165.175124.188126.028195.96241.455344.631420.411
Langetermijnbeleggingen 3,468.7216,7617,0397,1584,9005,8486,134.1114,335.4424,194.7351,838.093,465.1852,994.132,722.6122,291.972,443.9531,355.1422,487.515
Belastingvorderingen 343.0028.31211.84112.39910.0510.18110.4869.6220.89223.6182.4065.6416.95222.35543.54407.511290.569
Overige niet-vlottende activa 4,748.0562.0962.0672.5233.34786.539607.442632.411267.0942,728.217337.972212.204269.427425.085567.0981,348.792636.187
Totaal niet-vlottende activa 12,874.97211,232.20911,275.90611,423.5438,842.9849,565.38910,414.4868,883.4038,620.4899,393.8028,666.1388,016.1797,621.9757,973.9989,161.9819,981.71611,814.179
Totaal activa 32,415.98130,306.75229,087.78827,270.30624,575.85725,504.74826,642.51624,901.83524,174.77125,347.13422,604.06620,151.3119,991.52621,835.86124,526.04425,833.7731,958.291
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 911.333634.27881.112754.379604.218686.834589.728877.287680.155805.7681,183.1381,079.1731,254.3431,541.1831,761.3681,443.5422,201.777
Kortlopende schulden 82.38241.77643.3947.26349.887230.207198.899172.88383.588218.885217.105179.462153.192121.589116.04498.489234.316
Belastingschulden 124.7230.877210.427115.42766.328103.843101.84493.45785.839151.74867.32596.62574.44278.999110.04674.505256.469
Uitgestelde opbrengsten 124.7642.583605.51458.225400.346442.678433.736412.175382.04772.863561.23423.498369.261407.431475.871460.009731.876
Overige kortlopende verplichtingen 1,139.4641,343.7241,362.771,100.6511,041.3921,181.3091,466.5111,167.3021,290.541,645.75859.559653.2241,488.185714.641891.9681,163.0861,118.501
Totaal kortlopende verplichtingen 2,257.8792,662.3532,892.7822,360.5182,095.8432,541.0282,688.8742,629.6472,436.3233,443.2662,821.0322,335.3573,264.9812,784.8443,245.2513,165.1264,286.47
Langlopende verplichtingen:
Langetermijnschulden 00000009.8454.5924.3537.7796.9745.6772.5613.2443.870
Uitgestelde opbrengsten niet-vlottend 0000000228.004283.148294.99258.064193.641173.446245.793285.178290.0690
Uitgestelde belastingverplichtingen niet-vlottend 2,408.6291,661.0681,594.021,680.5741,092.4551,149.2991,640.8361,218.871,166.904828.978553.507387.17257.953240.056299.503141.87366.152
Overige niet-vlottende verplichtingen 338.929285.871252.338165.779185.305150.457179.08241.01847.06954.92598.524100.298107.91125.21181.783184.163408.487
Totaal niet-vlottende verplichtingen 2,747.5581,946.9391,846.3581,846.3531,277.761,299.7561,819.9181,497.7371,501.7131,183.246917.874688.083544.986613.62769.708619.972774.639
Totaal passiva 5,005.4374,609.2924,739.144,206.8713,373.6033,840.7844,508.7924,127.3843,938.0364,626.5123,738.9063,023.443,809.9673,398.4644,014.9593,785.0985,061.109
Eigen vermogen:
Preferente aandelen 0000000000099000000
Gewone aandelen 3,453.0783,453.0783,453.0783,453.0783,453.0783,453.0783,453.0783,453.0783,453.0783,453.0783,453.0783,453.0783,453.0783,453.0783,453.0783,453.0783,453.078
Ingehouden winsten 14,248.73914,184.13413,441.66612,363.76112,019.69212,352.24411,906.00711,591.06211,193.74311,069.79310,250.3179,768.2919,362.5911,560.47613,404.28715,310.72818,198.019
Overige gereserveerde algehele resultaten 4,256.8212,828.1522,266.7072,072.817592.265717.8251,676.132650.649559.7231,154213-99000000
Overige totale aandeelhoudersvermogen 4,824.3394,664.94,663.2534,741.1224,710.8534,688.0914,661.2774,633.3194,603.3364,573.2244,542.2453,518.4633,020.5213,063.6223,246.5262,860.4974,758.108
Totaal eigen vermogen van aandeelhouders 26,782.97725,130.26423,824.70422,630.77820,775.88821,211.23821,696.49420,328.10819,809.8820,250.09518,458.6416,739.83215,836.18918,077.17620,103.89121,624.30326,409.205
Totaal eigen vermogen 27,410.54225,697.4624,348.64823,063.43521,202.25421,663.96422,133.72320,774.45120,236.73520,720.62218,865.1617,127.8716,181.55918,437.39720,511.08522,048.67226,897.182
Totaal passiva en aandeelhoudersvermogen 32,415.97930,306.75229,087.78827,270.30624,575.85725,504.74826,642.51524,901.83524,174.77125,347.13422,604.06620,151.3119,991.52621,835.86124,526.04425,833.7731,958.291