Shibaura Electronics Co.,Ltd.

TSE:6957.T

3540 (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 13,04011,77612,796.98911,896.417,151.8467,480.3117,130.9296,348.9156,381.7256,957.8935,569.2064,756.3595,852.6515,242.4274,695.4173,288.4673,231.813
Kortetermijnbeleggingen 502-831-873.062-748.535-574.804-563.896-286.454-182.816-80.179-183.727-143.276000000
Liquide middelen en kortetermijnbeleggingen 13,54211,77612,796.98911,896.417,151.8467,480.3117,130.9296,348.9156,381.7256,957.8935,569.2064,756.3595,852.6515,242.4274,695.4173,288.4673,231.813
Nettovorderingen 9,1397,6187,358.9237,030.5066,893.3037,175.1537,481.936,563.3656,195.0846,371.6525,912.7174,761.7066,452.0045,148.8244,660.5223,936.6995,462.886
Voorraad 9,0538,8058,654.3156,566.6676,578.3356,614.1875,699.135,091.3884,799.634,340.0373,786.1553,878.023,672.7853,353.5832,899.733,166.8022,933.392
Overige vlottende activa 3112,0871,666.3951,163.4671,116.7751,243.2331,075.048897.936554.31788.31776.09192.945116.8842.78538.076341.58644.331
Totaal vlottende activa 32,04530,28630,476.62226,657.0521,740.25922,512.88421,387.03718,901.60417,930.75617,757.89915,344.16813,589.0316,094.3213,787.61912,293.74510,733.55411,672.422
Niet-vlottende activa:
Materiële vaste activa, netto 9,4859,0358,424.6679,027.73310,486.64310,895.5788,477.4927,300.2377,217.9267,740.7756,786.7766,108.0044,668.9124,518.3924,428.6424,735.3685,658.12
Goodwill 000.1830.1050.7360.0650.1900000.44600000
Immateriële activa 138156198249150125132138.513143.564139.318159.14819500000
Goodwill en immateriële activa 138156198.183249.105150.736125.065132.19138.513143.564139.318159.148195.446224.331265.579268.805133.22818.545
Langetermijnbeleggingen 4591,2161,1941,104987930643.851491.869426.175559.404404.916473.264312.45259.217275.266212.102332.476
Belastingvorderingen 236235306.41227.225211.348212.13937.41341.91653.41425.1752.89493.402132.087247.927199.108152.622141.247
Overige niet-vlottende activa 1,211-1-0.138-0.09-0.1760.361207.08239.598216.128240.218250.852368.983256.751179.831236.523205.247229.558
Totaal niet-vlottende activa 11,52910,64110,123.12210,607.97311,835.55112,163.1439,498.0268,212.1338,057.2078,704.8857,654.5867,239.0995,594.5315,470.9465,408.3445,438.5676,379.946
Totaal activa 43,57440,93040,599.74737,265.02633,575.81334,676.0330,885.06327,113.73725,987.96426,462.78422,998.75420,828.12921,688.85119,258.56517,702.08916,172.12118,052.368
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 3,7773,2884,577.3614,061.9724,008.8664,276.3923,749.0753,266.9113,134.1092,956.6712,613.562,268.362,845.6112,514.112,270.2352,044.2672,600.774
Kortlopende schulden 6001,0991,361.5071,483.536959.0091,124.409831.24709.476923.3091,082.465966.314955.1141,082.839791.2881,155.2311,064.2451,238.184
Belastingschulden 8021,0961,381.132845.41443.916438.606479.511528.214368.786426.98409.039102.383224.687613.284400.3848.405434.964
Uitgestelde opbrengsten 8021,7872,033.5981,391.442976.755956.889963.135964.755777.462827.164783.224398.198543.034902.994631.692291.82712.644
Overige kortlopende verplichtingen 2,5971,6671,528.9981,253.0041,284.1422,666.5412,217.1941,640.0251,062.3161,351.6471,043.5891,203.0071,739.676948.981639.47534.135572.645
Totaal kortlopende verplichtingen 7,7767,8419,501.4648,189.9547,228.7729,024.2317,760.6446,581.1675,897.1966,217.9475,406.6874,824.6796,211.165,157.3734,696.6283,934.4675,124.247
Langlopende verplichtingen:
Langetermijnschulden 2978971,987.9173,219.0611,856.9472,596.3551,167.74772.1471,241.1851,741.4381,201.981,168.4131,523.533987.195888.649874.4591,272.264
Uitgestelde opbrengsten niet-vlottend 0229231.506240.909258.528238.076205.907195.487322.447264.243369.197457.134496.056605.187517.417550.248486.721
Uitgestelde belastingverplichtingen niet-vlottend 60127130.954101.45731.35516.291153.021101.57483.031110.26846.40939.67812.41711.3039.52611.8889.421
Overige niet-vlottende verplichtingen 2765536.91346.30899.166122.838129.598119.962.8882.8882.8873.9413.943.9410.5030.5020.603
Totaal niet-vlottende verplichtingen 6331,3082,387.293,607.7352,245.9962,973.561,656.2661,189.1681,649.5512,118.8371,620.4731,669.1662,035.9461,607.6261,416.0951,437.0971,769.009
Totaal passiva 8,4099,14911,888.75411,797.6899,474.76811,997.7919,416.917,770.3357,546.7478,336.7847,027.166,493.8458,247.1066,764.9996,112.7235,371.5646,893.256
Eigen vermogen:
Preferente aandelen 029,484000000000000000
Gewone aandelen 2,1442,1442,144.6122,144.6122,144.6122,144.6122,144.6122,144.6122,144.6122,144.6122,144.6122,144.6122,144.6122,144.6122,144.6122,144.6122,144.612
Ingehouden winsten 28,37826,09123,427.12720,356.0118,705.2317,540.57816,068.57614,254.24212,866.35912,041.52710,730.5529,865.8419,632.2028,548.2617,392.6036,756.336,284.616
Overige gereserveerde algehele resultaten 3,0952,2541,316.365945.0091,237.134987.4631,252.989895.7681,264.7221,78588812900000
Overige totale aandeelhoudersvermogen 1,498-28,2351,783.6361,986.9651,965.5691,960.2051,961.3911,940.5132,062.6352,061.9922,063.2312,063.5691,544.7651,691.4961,855.9171,713.9152,537.62
Totaal eigen vermogen van aandeelhouders 35,11531,73828,671.7425,432.59624,052.54522,632.85821,427.56819,235.13518,338.32818,033.13115,826.39514,203.02213,321.57912,384.36911,393.13210,614.85710,966.848
Totaal eigen vermogen 35,16231,78128,710.99325,467.33724,101.04522,678.23921,468.1519,343.40218,441.21718,12615,971.59414,334.28413,441.74512,493.56611,589.36610,800.55711,159.112
Totaal passiva en aandeelhoudersvermogen 43,57140,93040,599.74737,265.02633,575.81334,676.0330,885.0627,113.73725,987.96426,462.78422,998.75420,828.12921,688.85119,258.56517,702.08916,172.12118,052.368