Taiyo Yuden Co., Ltd.

TSE:6976.T

2845 (JPY) • At close September 19, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 102,78387,19792,57084,29759,62256,43049,70040,06945,96246,70959,25035,35627,91239,95741,78537,10535,40239,43635,67231,24540,75341,88433,78222,815
Kortetermijnbeleggingen 7,843-1,540-1,596-1,949-1,513-1,8045,862-586,018-22-110000000000162161
Liquide middelen en kortetermijnbeleggingen 102,78387,19792,57084,29759,62256,43049,70040,06945,96246,70959,25035,35627,91239,95741,78537,10535,40239,43635,67231,24540,75341,88533,84422,976
Nettovorderingen 80,89470,37286,58578,73864,68062,74559,76354,87550,53556,95243,47242,19142,26942,96450,60133,43862,35368,17856,75653,60755,29444,29446,11958,821
Voorraad 102,336104,81496,78067,93462,58760,94652,09448,77848,68844,13337,56335,94130,54832,48628,64130,28340,45832,21927,29125,53423,52825,07128,25136,855
Overige vlottende activa 11,20612,0136,6726,6305,0415,7375,6005,5336,3787,1773,4743,8443,6694,1685,3595,9992,9034,1993,2202,5124,0563,5834,3976,091
Totaal vlottende activa 297,219274,396282,607237,599191,930185,858167,157149,255151,563154,971143,759117,332104,398119,575126,386106,825141,116144,032122,939112,898123,631114,833112,611124,743
Niet-vlottende activa:
Materiële vaste activa, netto 273,556220,590184,936159,172144,400125,517110,446111,096107,04797,70894,39798,77494,02187,60294,537106,676118,15299,68686,54884,14679,71789,294107,411108,380
Goodwill 000005,83700006001,2011,8012,6463,4907319750000000
Immateriële activa 1,8071,6631,3401,3711,2931,2191,3091,23186171581182482378474260000000000
Goodwill en immateriële activa 1,8071,6631,3401,3711,2937,0561,3091,2318617151,4112,0252,6243,4304,2321,3319750000162161
Langetermijnbeleggingen 1,3422,9873,1014,3544,1846,5647,1696,8186,2879,0934,8704,3604,5504,6775,2573,5105,16600002,1032,1852,357
Belastingvorderingen 4,1683,8252,5362,1441,3143,8641,1829839589279068385793,6263,4694,2893,1401,9593,9935,3931503,1732,9781,836
Overige niet-vlottende activa 1,5940-1-3-1-11,8701,7621,6632,0382,2512,5942,2892,3622,4802,8203,05612,87610,9029,79510,4914,6946,3075,662
Totaal niet-vlottende activa 282,467229,065191,912167,038151,190143,000121,976121,890116,816110,481103,835108,591104,063101,697109,975118,626130,489114,521101,44399,33490,35899,265118,943118,396
Totaal activa 579,686503,462474,522404,642343,122328,861289,135271,149268,380265,454247,596225,927208,461221,272236,361225,451271,605258,553224,382212,232213,989214,098231,554243,139
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 29,74523,01232,82831,72826,60325,03125,38926,73523,42923,89918,59717,95022,93827,33522,09910,83232,78529,72324,57726,67533,10817,10716,53927,283
Kortlopende schulden 13,45548,15824,23531,96221,91325,62925,89727,53718,17917,63531,46025,14132,81315,5359,92820,79219,74618,8296,3326,02112,0022,32014,80533,099
Belastingschulden 2,1821,55013,9675,8031,9035,0851,6842,0822,3401,7081,1591,0495861,1201,5641,3283,4064,5661,8419561,6772,0292,2495,692
Uitgestelde opbrengsten 2,18230,55036,14927,23023,52522,91519,05818,35418,94217,28911,10413,5153,4164,6014,8802,8746,43613,7819,5537,4407,8967,7478,65313,504
Overige kortlopende verplichtingen 40,39810,42013,80111,55712,2928,4227,8127,6597,9807,8967,2317,83710,5907,9318,6665,8297,0471,3151,4351,1441,048471680455
Totaal kortlopende verplichtingen 85,780112,140107,013102,47784,33381,99778,15680,28568,53066,71968,39264,44369,75755,40245,57340,32766,01463,64841,89741,28054,05427,64540,67774,341
Langlopende verplichtingen:
Langetermijnschulden 135,38950,77748,74941,78834,75228,41528,92124,10935,21236,65141,95738,73927,32431,47844,79540,1156,56113,39816,92018,4487,71918,13218,7269,147
Uitgestelde opbrengsten niet-vlottend 05,7055,3465,1484,2493,8742,9963,3343,2453,0012,0531,3881,7663,5363,3981,63102,248000000
Uitgestelde belastingverplichtingen niet-vlottend 7,9867,3283,8353,8283,3974,7716,3234,8915,9066,2905,1444,3773,6492,3012,2992,3588,0688,7308,0796,8857,0318,0397,4925,882
Overige niet-vlottende verplichtingen 20,4289,0369,2947,4605,9383,8512,6204,3812,1071,9381,4941,0201,5659291,0331,58522,9481,0043,2743,6304,4657,4165,2503,054
Totaal niet-vlottende verplichtingen 163,80372,84667,22458,22448,33640,91140,86036,71546,47047,88050,64845,52434,30438,24451,52545,68937,57725,38028,27328,96319,21533,58731,46818,083
Totaal passiva 249,583184,986174,237160,701132,669122,908119,016117,000115,000114,599119,040109,967104,06193,64697,09886,016103,59189,02870,17070,24373,26961,23272,14593,296
Eigen vermogen:
Preferente aandelen 0303,827291,206249,878225,145214,0835,6387,6025,28806,69113,495000000000000
Gewone aandelen 33,57533,57533,57533,57533,57533,57523,55723,55723,55723,55723,55723,55723,55723,55723,55723,55723,55523,52223,51623,51523,51523,51523,51523,512
Ingehouden winsten 230,905233,802221,178174,977150,263135,217113,98499,98596,91283,33973,59767,93866,82089,30195,98497,840113,470104,04792,35390,45792,48395,58293,86288,822
Overige gereserveerde algehele resultaten 29,10714,6499,079-5,937-14,692-8,130-5,638-7,602-5,2885,738-6,691-13,495000000000000
Overige totale aandeelhoudersvermogen 36,511-267,377-254,753-208,552-183,838-168,79232,57830,60732,90138,08231,39324,42513,97714,49619,46617,79130,49541,90238,00527,69524,39833,45541,72036,637
Totaal eigen vermogen van aandeelhouders 330,098318,476300,285243,941210,453205,953170,119154,149153,370150,716128,547115,920104,354127,354139,007139,188167,520169,471153,874141,667140,396152,552159,097148,971
Totaal eigen vermogen 330,098318,476300,285243,941210,453205,953170,119154,149153,380150,855128,556115,960104,400127,626139,263139,435167,767169,498154,043141,828140,558152,709159,253149,843
Totaal passiva en aandeelhoudersvermogen 579,686503,462474,522404,642343,122328,861289,135271,149268,380265,454247,596225,927208,461221,272236,361225,451271,605258,553224,382212,232213,989214,098231,554243,139