IMAGICA GROUP Inc.

TSE:6879.T

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

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

2023202220212020201920182017201620152014201320122011201020092008
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 5,241.2637,813.7696,420.3086,908.6577,339.7776,079.17211,131.7848,716.93612,335.12730,978.5329,747.9889,125.8098,791.1361,837.5362,338.5232,298.695
Kortetermijnbeleggingen 1.362-2,391.434-2,204.475-1,853.567-1,714.534-1,690.931-1,167.1321.00900000000
Liquide middelen en kortetermijnbeleggingen 5,242.6257,813.7696,420.3086,908.6577,339.7776,079.17211,131.7848,716.93612,335.12730,978.5329,747.9889,125.8098,791.1361,837.5362,338.5232,298.695
Nettovorderingen 20,512.38721,937.47918,849.39315,159.08316,609.09819,043.2419,291.18118,577.86116,710.9811,041.95211,741.3279,894.0589,992.6621,276.3221,759.8451,374.814
Voorraad 11,536.44112,460.11213,613.6586,499.8129,734.02811,352.1668,031.5719,909.2735,364.9783,979.3095,491.2425,076.9855,195.051832.698560.834771.672
Overige vlottende activa 3,997.5192,759.6272,183.4491,873.2841,612.1893,644.7542,082.6481,502.4282,108.6431,987.11833.7621,105.074958.177169.341102.453110.877
Totaal vlottende activa 41,288.97244,970.98741,066.80830,440.83635,295.09240,119.33240,537.18438,706.49836,519.72847,986.90327,814.31925,201.92624,937.0264,115.8974,761.6554,556.058
Niet-vlottende activa:
Materiële vaste activa, netto 14,494.05216,523.09312,235.7518,866.789,289.72110,261.4929,588.9739,683.858,688.0457,497.1918,202.4548,082.8518,977.417540.082555.5613.98
Goodwill 12,045.81311,780.28511,482.80112,048.7473,167.873,769.7517,255.9387,203.7684,717.1980.061.83977.672154.635000
Immateriële activa 2,462.1422,460.0072,352.7712,464.3685,328.1895,566.6746,376.8935,803.1057,145.979714.579577.881581.888673.68293.0362.66358.268
Goodwill en immateriële activa 14,507.95514,240.29213,835.57214,513.1158,496.0599,336.42513,632.83113,006.87311,863.177714.639579.72659.56828.31793.0362.66358.268
Langetermijnbeleggingen 4,562.1735,7825,2616,1136,7024,7786,218.6824,194.2174,927.454,351.5683,590.7233,162.3382,629.82555.46142.29639.895
Belastingvorderingen 1,672.0722,420.1333,051.5292,154.6621,852.8351,407.252196.0281,137.903254.591363.743807.159842.219921.08938.93481.63897.767
Overige niet-vlottende activa 2,169.403-2,048.316-2,066.341-1,642.205518.996-1,176.983373.1051,478.0341,290.5971,282.5681,051.0011,152.5361,280.15146.149167.692167.962
Totaal niet-vlottende activa 37,405.65536,917.20232,317.51130,005.35226,859.61124,606.18630,009.61929,500.87727,023.8614,209.70914,231.05713,899.50414,636.798873.656909.789977.872
Totaal activa 78,694.62781,888.19173,384.3260,446.1962,154.70364,725.5270,546.80368,207.37563,543.58862,196.61242,045.37639,101.4339,573.8244,989.5535,671.4445,533.93
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 6,799.2217,133.7388,884.9815,416.3096,060.7746,657.2815,788.9723,234.3452,595.7935,949.7865,717.5454,651.885,816.606643.887649.529730.543
Kortlopende schulden 6,127.0017,314.6574,170.4857,402.7265,004.3185,375.3094,982.3144,793.4995,341.9539,680.62,0002,010.052,010.2150800750
Belastingschulden 1,432.1451,172.785850.863211.6091,504.588646.989711.8021,235.608482.866487.392591.221206.461906.19336.63550.357161.082
Uitgestelde opbrengsten 4,886.31212,470.26913,272.3125,823.93211,042.62711,422.2496,011.3999,558.4137,179.5441,734.8261,911.8981,095.6561,811.38185.25795.904205.839
Overige kortlopende verplichtingen 11,137.7746,286.615,951.1143,474.3923,654.7193,257.6637,112.5876,687.3434,849.0732,840.1073,140.8023,411.4513,261.786184.334204.715191.79
Totaal kortlopende verplichtingen 28,950.30833,205.27432,278.89222,117.35925,762.43826,712.50223,895.27224,273.619,966.36320,205.31912,770.24511,169.03712,899.9731,063.4781,750.1481,878.172
Langlopende verplichtingen:
Langetermijnschulden 3,120.4785,864.7674,019.7435,384.9055,510.946,169.8358,891.2888,735.0738,987.9264,325.40010.050050
Uitgestelde opbrengsten niet-vlottend 4,015.7092,147.3562,156.3621,995.4641,407.7461,673.0531,860.7862,287.7462,225.6052,213.733002,076.50200140.496
Uitgestelde belastingverplichtingen niet-vlottend 214.227196.598396.815550.324283.312493.521,028.5671,036.1471,220.987160.893532.44517.864425.86310.9484.7454.077
Overige niet-vlottende verplichtingen 2,487.518170.265507.073565.2041,711.8021,779.2091,892.7451,933.2351,305.558263.5952,594.5972,441.258521.573130.906122.0523.929
Totaal niet-vlottende verplichtingen 9,837.9328,378.9867,079.9938,495.8978,913.810,115.61713,673.38613,992.20113,740.0766,963.6213,127.0372,959.1223,033.988141.854126.797198.502
Totaal passiva 38,788.2441,584.2639,358.88530,613.25634,676.23836,828.11937,568.65838,265.80133,706.43927,168.9415,897.28214,128.15915,933.9611,205.3321,876.9452,076.674
Eigen vermogen:
Preferente aandelen 0000349.83400000000000
Gewone aandelen 3,306.0023,306.0023,306.0023,306.0023,306.0023,244.9153,244.9153,244.9153,244.9153,244.9153,244.9153,244.9153,244.915504.6504.6504.6
Ingehouden winsten 18,686.59916,982.73613,785.80910,966.1517,730.0817,286.299,749.1187,256.4686,171.368,394.8147,785.6526,842.5266,914.213,078.3613,030.2812,742.216
Overige gereserveerde algehele resultaten 4,097.6122,956.2691,185.458313.023-349.834292.3831,241.122622.751928.4291,0093992910000
Overige totale aandeelhoudersvermogen 11,738.41812,861.48812,871.99212,877.17314,042.20214,326.41615,190.68315,189.24115,189.2415,186.5714,413.36114,414.24813,332.1868.55121.45378.826
Totaal eigen vermogen van aandeelhouders 37,828.63136,106.49531,149.26127,462.34925,078.28525,150.00429,425.83826,313.37525,533.94427,835.29925,842.92824,792.68923,491.3053,651.5113,656.3343,325.642
Totaal eigen vermogen 39,906.38340,303.93134,025.43529,832.93427,478.46527,897.40132,978.14429,941.57429,837.14935,027.67226,148.09424,973.27123,639.8633,784.2213,794.4993,457.256
Totaal passiva en aandeelhoudersvermogen 78,694.62381,888.19173,384.3260,446.1962,154.70364,725.5270,546.80268,207.37563,543.58862,196.61242,045.37639,101.4339,573.8244,989.5535,671.4445,533.93