Univance Corporation

TSE:7254.T

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

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 5,196.7953,705.9242,977.1872,827.4153,127.932,865.2283,354.9193,452.0362,524.4244,426.4525,146.923,957.2736,768.8289,957.5497,469.3635,146.3361,237.327
Kortetermijnbeleggingen 000003000000000000
Liquide middelen en kortetermijnbeleggingen 5,196.7953,705.9242,977.1872,827.4153,127.932,865.2283,354.9193,452.0362,524.4244,426.4525,146.923,957.2736,768.8289,957.5497,469.3635,146.3361,237.327
Nettovorderingen 9,912.3669,759.8139,709.57410,202.9798,158.7049,301.5828,510.6138,943.3059,335.5249,796.7310,035.6279,188.16510,699.0678,098.9129,494.7436,921.56914,052.385
Voorraad 5,373.3675,276.8526,211.8825,724.4855,628.7516,627.2136,215.8326,152.6626,227.5455,703.5915,302.9245,692.9615,337.6454,510.0573,506.2923,702.4054,241.742
Overige vlottende activa 2,289.5771,995.282,364.5831,942.0711,900.3691,584.7321,374.311,431.9611,328.287935.8531,009.9831,298.2011,299.645884.641887.066480.717967.025
Totaal vlottende activa 22,772.10520,737.86921,263.22620,696.9518,815.75420,378.75519,455.67419,979.96419,415.7820,862.62621,495.45420,136.624,105.18523,451.15921,357.46416,251.02720,498.479
Niet-vlottende activa:
Materiële vaste activa, netto 16,440.85917,411.38917,703.43418,863.5920,030.48119,021.51919,521.89320,116.73818,631.36217,502.96615,977.28715,197.09114,834.24512,774.79814,077.28416,992.66519,364.787
Goodwill 0.8130.8860.8380.8160.2110.3610.2160000000000
Immateriële activa 9981,006843837861926836817.985810.492866.85823.758883.653681.206769.914908.0311,085.199849.584
Goodwill en immateriële activa 998.8131,006.886843.838837.816861.211926.361836.216817.985810.492866.85823.758883.653681.206769.914908.0311,085.199849.584
Langetermijnbeleggingen 5,590.4563,418.5062,745.4053,598.9362,281.1563,339.6764,324.1644,500.8363,384.6285,698.0064,523.2013,970.5593,936.150003,796.167
Belastingvorderingen 401.972324.971274.073191.23125.388202.119170.832211.027180.458394.752250.991130.89149.4310001,284.245
Overige niet-vlottende activa 158.242159.81110.743157.015182.36675.89874.559132.723121.497158.69992.766134.094110.1913,422.4083,311.7912,136.98363.874
Totaal niet-vlottende activa 23,590.34222,321.56221,677.49323,648.58723,480.60223,565.57324,927.66425,779.30923,128.43724,621.27321,668.00320,316.28819,611.22316,967.1218,297.10620,214.84725,358.657
Totaal activa 46,362.44743,059.43442,940.72244,345.5442,296.35943,944.3344,383.34145,759.27342,544.21845,483.89943,163.45740,452.88843,716.40840,418.27939,654.5736,465.87445,857.136
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 6,177.7075,968.9365,868.5697,246.4445,395.6256,964.2576,400.757,117.2112,747.792,218.4749,962.6819,006.50112,372.3328,402.2768,228.4125,808.98511,221.01
Kortlopende schulden 1,830.2442,790.4163,352.6044,876.4775,778.34,687.4016,160.5356,128.1652,816.2862,470.5013,894.4522,729.0462,511.7963,629.5362,144.4761,212.9752,052.799
Belastingschulden 567.439236.596558.459243.9398.999247.13695.529423.017175.642129.058181.85383.29955.49464.01346.57933.866750.935
Uitgestelde opbrengsten 567.4396,237.4876,056.9495,393.0466,497.2636,101.7584,540.925,047.7289,297.99,858.1122,611.3982,106.1773,007.3022,816.173,224.2322,020.723,522.836
Overige kortlopende verplichtingen 5,505.507584.86716.167248.163278.642359.963100.126151.59207.345166.23191.4691.496106.73890.396265.20174.745329.043
Totaal kortlopende verplichtingen 14,080.89715,581.69915,994.28917,764.1317,949.8318,113.37917,202.33118,444.69415,069.32114,713.31716,659.99113,933.2217,998.16814,938.37813,862.3219,117.42517,125.688
Langlopende verplichtingen:
Langetermijnschulden 521.8282,361.0993,664.8115,742.5944,301.3331,918.3412,956.9653,777.3254,878.7294,817.9493,749.2665,809.7175,238.8636,833.4098,382.9457,825.8211,296.3
Uitgestelde opbrengsten niet-vlottend 38.9093,643.5113,748.8143,624.0784,098.0914,206.9233,957.2143,623.7523,535.6673,914.1093,084.8743,083.4353,047.7993,066.9422,972.6163,712.4370
Uitgestelde belastingverplichtingen niet-vlottend 1,512.031926.62834.2691,194.071310.36442.728791.233927.186612.7261,301.9171,044.552870.008872.392757.517729.694368.3580
Overige niet-vlottende verplichtingen 5,543.9970.7161.0691.4290.0040.0040.0030.0020.0050.0030.0040.0010.0037.5257.5259.0024,885.156
Totaal niet-vlottende verplichtingen 7,616.7656,931.9468,248.96310,562.1728,709.7886,567.9967,705.4158,328.2659,027.12710,033.9787,878.6969,763.1619,159.05710,665.39312,092.7811,915.6186,181.456
Totaal passiva 21,697.66222,513.64524,243.25228,326.30226,659.61824,681.37524,907.74626,772.95924,096.44824,747.29524,538.68723,696.38127,157.22525,603.77125,955.10121,033.04323,307.144
Eigen vermogen:
Preferente aandelen 00000000000000000
Gewone aandelen 3,5003,5003,5003,5003,5003,5003,5003,5003,5003,5003,5003,5003,5003,5003,5003,5003,500
Ingehouden winsten 14,001.90912,415.47711,773.2899,003.96110,317.93413,188.90512,399.63512,168.20112,670.80613,463.74612,415.21110,929.31210,660.2719,307.3028,176.89510,760.9616,596.334
Overige gereserveerde algehele resultaten 5,683.0273,150.4481,944.2412,035.059338.5911,093.8082,076.9671,915.199873.9542,3631,28678300000
Overige totale aandeelhoudersvermogen 1,479.8471,479.8641,479.941,480.2181,480.2161,480.2421,386.511,402.9151,403.011,403.7841,403.3471,404.1712,222.021,821.5751,833.0381,019.5052,288.158
Totaal eigen vermogen van aandeelhouders 24,664.78320,545.78918,697.4716,019.23815,636.74119,262.95519,363.11218,986.31518,447.7720,730.5318,604.55816,616.48316,382.29114,628.87713,509.93315,280.46522,384.492
Totaal eigen vermogen 24,664.78320,545.78918,697.4716,019.23815,636.74119,262.95519,475.59518,986.31518,447.7720,736.60418,624.7716,756.50716,559.18314,814.50813,699.46915,432.83122,549.992
Totaal passiva en aandeelhoudersvermogen 46,362.44543,059.43442,940.72244,345.5442,296.35943,944.3344,383.34145,759.27442,544.21845,483.89943,163.45740,452.88843,716.40840,418.27939,654.5736,465.87445,857.136