Daido Metal Co., Ltd.

TSE:7245.T

490 (JPY) • At close September 19, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004
Operationele Activiteiten:
Nettowinst 2,5698954,3791,4455,3317,9766,567.2173,178.0816,999.1918,565.628,942.8976,982.7768,850.0556,916.972-1,305.812-4,658.563-478.7691,948.4222,761.623,188.281
Afschrijvingen & Amortisatie 10,3729,9399,9649,49910,2749,2269,764.6736,971.0146,424.5715,919.6525,200.4125,003.7824,726.7684,906.3525,497.4385,377.3534,869.1533,872.7162,853.4312,568.638
Uitgestelde Inkomstenbelasting 00000000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000000
Verandering in Werkkapitaal 1,370-5,376-1,587-1421,046-2,863-4,056.912-444.714-1,688.952-2,641.7741,455.7581,830.357-4,317.05-1,130.2231,760.224417.171,108.427-2,616.557-773.899-2,007.78
Vorderingen -1,134-1,877-9113513,870-405-2,620-1,702.092-682.23-2,2972142,09400000000
Voorraden 919-1,779-7,0452,312-689-2,408-2,559.524-1,061.803-682.833-1,873.804598.593176.638-1,995.099-2,664.7792,515.53-1,676.896-163.311-1,347.385-588.836-671.092
Crediteuren 745-1,5794,812-1,135-1,587-1526431,432.843-240.94800000000000
Overig Werkkapitaal 840-1411,557-1,670-548102-1,497.388617.089-1,006.119-767.97857.1651,653.719-2,321.9511,534.556-755.3062,094.0661,271.738-1,269.172-185.063-1,336.688
Overige Niet-Contante Posten 22,558-455451-704-3,829-2,630-1,088.97197.104-2,362.19-2,080.211-2,623.727-2,888.171-528.181782.084398.728927.618-3,100.544-2,137.625-1,320.744-698.605
Kasstroom uit Operationele Activiteiten 16,6555,00313,20710,09812,82211,70911,186.0079,801.4859,372.629,763.28712,975.3410,928.7448,731.59211,475.1856,350.5782,063.5782,398.2671,066.9563,520.4083,050.534
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -7,983-5,165-6,939-8,254-11,154-6,315-11,902.794-10,282.374-12,823.618-9,776.181-10,596.487-10,051.097-4,668.498-2,165.048-4,517.739-6,592.141-7,595.881-6,955.08-6,797.446-3,319.58
Netto Overnames 13-501-495-3382,617-24539-352.557-651.6850788.574-474.229-41.18500-930.6900226.3467.187
Aankoop van Beleggingen -6,342-6,308-5,186-3,355-3,360-3,369-36.951-19,964.087-178.384-206.461-152.604-16.087-654.726-182.482-3.255-9.02-86.253-8.312-90.817-15.529
Verkoop/verval van Beleggingen 5,8945,1904,0013,1022,7111,8422,8150.0032.71602.5410.3294.2480071.88001,573.20540.263
Overige Investeringsactiviteiten 1144395471,8021,8892,625-391.801-222.276286.795354.92296.456371.526153.298118.378456.561,391.425-2,093.418721.339-1,223.163-243.367
Kasstroom uit Investeringsactiviteiten -8,303-6,345-8,072-7,043-7,297-5,462-12,331.546-30,821.291-13,364.176-9,627.72-9,861.52-10,169.558-5,206.863-2,229.152-4,064.434-6,068.546-9,775.552-6,242.053-6,311.875-3,531.026
Financieringsactiviteiten:
Schuldaflossingen -1,079-234-2,041-1,388-6,760-14,465-5,205.978-7,582.474-3,331.112-852-5,720-5,820.762-4,903.17-5,145.744-6,450.174-3,701.266-3,161.815-5,842.536-3,060.618-2,144.264
Uitgifte van Gewone Aandelen 01681621631056,8336,345.9020.0168,739.554003,189.8383,858.116-6,959.035,878.95510,120.1410,254.5346,666.4954,085.040
Terugkoop van Gewone Aandelen 0000-1,1228,194-0.766-0.577-1.003-8-7-1.776-3.824-5.027-0.868-1,316.214-15.065-10.4518,965.5160
Uitgekeerde Dividenden -190-1,185-948-1,186-1,659-1,307-1,192.956-1,114.148-912.204-794-558-636.454-835.719-236.33-119.551-538.284-528.398-520.047-564.656-340.144
Overige Financieringsactiviteiten -5762,209-2,087-3,3005,883-1-0.00129,376.432493.878576-6,17155.6326.603-47.8972,269.107949.486-49.536632.647170.6734,204.534
Kasstroom uit Financieringsactiviteiten -2,499790-5,076-3,098-3,553-746-53.79920,679.2494,989.113626-1,016-3,213.524-1,857.994-12,394.0281,577.4695,513.8626,499.72926.1089,595.9551,720.126
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -220637171-48972-239238.551-208.259-217.2386.02133.91916.391-59.551-281.585-4.168-933.0667.307291.691286.14246.681
Netto Kasstroomverandering 5,63187231-5332,0435,261-960.788-548.816780.3571,168.4592,230.873-1,787.7311,607.183-3,429.5813,859.446575.828-870.257-3,779.8537,090.631,357.803
Kaspositie aan het Einde van de Periode 24,58618,95518,86818,63719,17017,12711,866.5112,827.29813,376.11412,595.75711,427.2989,196.42510,984.1569,376.97312,806.5548,947.1088,371.289,241.53713,021.395,930.76