Subaru Corporation

TSE:7270.T

2583.5 (JPY) • At close November 5, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 385,084278,366106,972113,954207,656195,838297,340394,695619,003392,206328,86593,08252,87963,214-443-21,51718,48131,89915,61118,23838,64933,48430,28322,62831,34833,70630,70839,596
Afschrijvingen & Amortisatie 217,780239,806224,055206,317192,742102,749102,10285,65372,93871,82161,48661,54458,61156,06265,78574,03687,16479,27976,77739,33566,20067,89663,96464,07060,19044,93824,14522,804
Uitgestelde Inkomstenbelasting 0000000000000000000000000000
Aandelen Gebaseerde Vergoedingen 0000000000000000000000000000
Verandering in Werkkapitaal 143,579-6,235-86,388-20,427-186,825-35,32826,88059,71914,7317,068-5,75414,949-27,9147,00893,440-83,524-12,079-27,74013,645-8,616-6,8267,024-27,893-17,04114,85117,5462,94927,546
Vorderingen -7,320-14,9867,69024,459-23,9166,048-7,759-23,58216,25119,283-74,6071,2640000000000000000
Voorraden 51,811-92,046-42,34939,564-70,173-90,354-15,922-32,444-1,342-27,18016,095-21,194-49,03318,67756,491-18,717-45,633-12,787-9,944-11,2725,889-12,017-14,989-15,0533,572-22,888-20,7903,426
Crediteuren -8,23297,791-4,800-62,046-67,939-11,197-54,15924,45830,0820000000000000000000
Overig Werkkapitaal 107,3203,006-46,929-22,404-24,79760,17542,80292,16316,07334,248-21,84936,14321,119-11,66936,949-64,80733,554-14,95323,5892,656-12,71519,041-12,904-1,98811,27940,43423,73924,120
Overige Niet-Contante Posten 420,523-8,178-48,988-10,468-3,439-89,253-60,024-194,625-92,416-159,552-71,573-2,860-28,71111,92417,9524,11313,821-17,82231,4528,3701,751-34119,3679,442-11,2568,660-1,053-9,699
Kasstroom uit Operationele Activiteiten 767,665503,759195,651289,376210,134174,006366,298345,442614,256311,543313,024166,71554,865138,208176,734-26,892107,38765,616137,48557,32799,774108,06385,72179,09995,133104,85056,74980,247
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -299,878-194,866-186,242-192,523-214,069-144,164-149,897-163,774-126,732-115,173-72,855-65,229-52,263-47,807-55,981-61,128-62,212-60,488-126,002-146,007-133,421-121,793-115,694-97,726-101,447-59,945-34,730-23,941
Netto Overnames -2,482-53,894-83,136-67,230-76,992141,6313,4131,3279750-1,983-3,30928,817-867-840-5,916-3984,47132,98828,40230,56425,97330,05715,44718,71638800
Aankoop van Beleggingen -705,751-431,016-223,402-328,675-259,956-185,550-196,063-183,766-95,850-90,455-41,095-24,263-21,572-24,956-15,753-24,246-22,732-20,116-18,552-44,809-65,910-48,763-60,767-52,988-1,171-6,42100
Verkoop/verval van Beleggingen 301,676284,227229,609250,535319,652157,489202,797144,71872,27244,26984,58117,12017,16921,1827,44117,17421,93119,90235,00055,86954,41781,70241,32535,77812,34333,60400
Overige Investeringsactiviteiten -2,59158,73683,44865,719205,521-127,733-157,445-215,204-232,098-126,594-2,5514,3111,2471,3392,4771,73118,49112,80379116,784-12,7906,7938,00611,111-6,362-4,655-59,397-11,584
Kasstroom uit Investeringsactiviteiten -709,026-336,813-179,723-272,174-25,844-158,327-150,711-254,252-255,676-172,780-33,903-71,370-26,602-51,109-62,656-72,385-44,920-43,428-75,775-89,761-127,140-56,088-97,073-88,378-77,921-37,029-94,127-35,525
Financieringsactiviteiten:
Schuldaflossingen -86,897-51,152-24,991-7,961-7,592-43,382-40,943-44,605-44,797-46,918-45,903-43,947-41,278-60,731-26,118-50,500-20,735-3,848-28,996-37,166-28,635-58,324-51,726-95,508-99,156-70,845-6,668-55,817
Uitgifte van Gewone Aandelen 0000057,818020,925000000031,1662722430247056,88235116,1250000
Terugkoop van Gewone Aandelen -40,006-4000-5-11-52,744-20000000-50-60-62-39,352-399-49-531-47-2,2490000
Uitgekeerde Dividenden -65,203-50,597-42,933-42,947-110,375-110,384-110,326-111,435-84,938-49,887-23,350-7,392-7,027-3,4980-6,744-6,470-6,452-7,015-7,013-6,846-6,689-6,694-6,394-5,122-4,20100
Overige Financieringsactiviteiten -111-20,558-30,57864,874102,149-664-19,657-1,1853,545-13,7416,242-9,42750,89124,8217,558106,577-17,872-26,071-13,55270,75337,795-3,02778,2046,44329,49623,16148,2078,167
Kasstroom uit Financieringsactiviteiten -61,142-122,307-98,50213,966-15,818-96,617-170,937-189,044-126,190-110,546-63,011-60,7662,586-39,408-18,56080,449-45,110-36,209-88,88526,1992,335-11,68919,77218,417-74,782-51,88541,539-47,650
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 70,97451,81658,32217,192-11,83417,675-10,831-2,991-14,88725,99812,69114,964-332-11,453-816-15,614-1,9687567,856-1,481-5,512-4,0504,7042,529-2,218-4,89300
Netto Kasstroomverandering 73,03896,455-24,25248,360156,638-63,26336,975-100,845217,37654,215228,92370,86330,38036,23894,951-18,13415,589-13,306-19,319-7,716-30,54336,23613,27211,667-37,13812,7064,161-2,928
Kaspositie aan het Einde van de Periode 1,046,423979,529883,074907,326858,966702,328765,591728,616829,461612,085557,870328,947258,084227,704191,46696,515114,64999,060112,366131,685139,401169,944133,708120,436108,769144,91342,08037,919