Yamaha Motor Co., Ltd.

TSE:7272.T

1389 (JPY) • At close November 12, 2024
Overzicht | Financiële gegevens

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

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Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 347,015288,780276,412272,373124,580138,264156,634135,525107,617137,082119,859106,462133,707205,362137,328133,906110,70279,29938,80937,194
Kortetermijnbeleggingen 4,4422,832-227,656-199,409-120,257-100,943-87,246-58,109-37,846-46,007-43,788-17,07800-32,390-22,001-31,127-26,55600
Liquide middelen en kortetermijnbeleggingen 351,457288,780276,412272,373124,580138,264156,634135,525107,617137,082119,859106,462133,707205,362137,328133,906110,70279,29938,80937,194
Nettovorderingen 510,406417,541316,225295,743344,334354,033351,912333,803318,690280,373252,145192,143166,531183,711204,960220,438283,812264,504240,885173,065
Voorraad 609,495525,845405,359312,323356,749329,166307,628294,289310,768315,460271,544233,427213,558213,634223,527318,897325,173297,853251,227204,232
Overige vlottende activa 77,19673,51746,70241,12449,10152,79038,84431,32664,33269,62659,96654,76547,40936,32154,98543,77733,41129,36524,00315,933
Totaal vlottende activa 1,548,5541,305,6831,044,698921,563874,764874,253855,018794,943801,407802,541703,514586,797561,205639,028620,800717,018753,098671,021554,924430,424
Niet-vlottende activa:
Materiële vaste activa, netto 433,886390,976354,124338,787356,287335,761347,996350,666341,073343,844301,107272,940248,430250,320275,556355,596384,601361,837323,846283,411
Goodwill 00000000000000000000
Immateriële activa 51,13239,64028,41911,2358,6408,51811,1738,6587,5187,2906,7913,9403,4694,2474,8025,9715,6124,2813,0753,273
Goodwill en immateriële activa 51,13239,64028,41911,2358,6408,51811,1738,6587,5187,2906,7913,9403,4694,2474,8025,9715,6124,2813,0753,273
Langetermijnbeleggingen 425,543364,886359,007330,022254,398196,667182,355145,993124,224124,162110,79558,0880070,52754,13787,06562,31237,06026,203
Belastingvorderingen 73,34944,08430,73325,03127,52713,08513,03512,51612,36216,65811,622-58,088005,70725,93822,43523,90414,01118,295
Overige niet-vlottende activa 39,49838,01515,93014,27211,1895,1696,2655,99618,64715,54012,75898,64887,31684,7489,6854,5135,6185,33325,5606,121
Totaal niet-vlottende activa 1,023,408877,601788,213719,347658,041559,200560,824523,829503,824507,494443,073375,528339,215339,315366,277446,155505,331457,667403,552337,303
Totaal activa 2,571,9622,183,2911,832,9171,640,9131,532,8101,433,4581,415,8451,318,7761,305,2361,310,0401,146,591962,329900,420978,343987,0771,163,1731,258,4301,128,688958,476767,727
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 154,163148,133140,524121,218112,982118,303120,123113,036113,107158,318141,710114,344121,974125,809159,475204,992231,835235,42846,64544,026
Kortlopende schulden 444,165331,110142,326112,519185,973287,249190,921182,421259,852223,248243,558160,634112,31793,031118,044250,774190,700150,909132,97396,580
Belastingschulden 30,63925,76116,8828,2457,35310,10611,0358,1658,5716,1735,4673,2362,8538,2822,480639,56311,22513,3188,039
Uitgestelde opbrengsten 30,639051,63642,55540,85210,10644,37845,50741,97938,85935,64533,52038,39446,52133,86137,09252,54553,006223,151180,967
Overige kortlopende verplichtingen 51,39699,73621,37325,05736,18640,16015,57312,4564,004-48,751-52,864-34,925-31,097-34,321-93,637-130,425-140,069-167,47110,489-555
Totaal kortlopende verplichtingen 865,165752,873513,265430,812496,328584,227502,153474,621540,620536,165515,226391,153366,415365,131379,698567,488576,409518,525473,221373,083
Langlopende verplichtingen:
Langetermijnschulden 405,002271,577316,186354,416178,97869,439162,569181,960150,295180,403139,370166,340162,403229,410281,89898,42839,05444,29821,04224,065
Uitgestelde opbrengsten niet-vlottend 14,084052,14760,57061,66756,99054,49956,15855,64963,42146,67847,95247,20157,83461,20949,44351,62135,75733,59533,193
Uitgestelde belastingverplichtingen niet-vlottend 18,76714,74815,26313,79112,9274,6594,6755,2415,5216,0806,1056,1076,1437,0097,02412,63012,63012,86712,20812,490
Overige niet-vlottende verplichtingen 86,26989,79535,38632,16731,08322,40026,71825,39221,45220,74816,4219,2168,3448,1507,9826,7019,49516,1879,78511,383
Totaal niet-vlottende verplichtingen 524,122376,120418,982460,944284,655153,488248,461268,751232,917270,652208,574229,615224,091302,403358,113167,202112,800109,10976,63081,131
Totaal passiva 1,389,2871,128,993932,247891,756780,983737,715750,614743,372773,537806,817723,800620,768590,506667,534737,811734,690689,209627,634549,851454,214
Eigen vermogen:
Preferente aandelen 013,40344,73782,92061,71074,96650,11859,990046,23064,097000000000
Gewone aandelen 86,10086,10086,10085,97385,90585,79785,79785,79785,78285,73985,70385,66685,66685,66648,34248,34248,30048,16847,87946,362
Ingehouden winsten 1,006,925894,049761,483644,350607,000572,707513,182434,361390,559346,284288,548249,724249,478199,190180,880392,025401,972343,529276,597218,506
Overige gereserveerde algehele resultaten 28,051-13,403-44,737-82,920-61,710-74,966-50,118-59,990159,771-46,230-64,097000000000
Overige totale aandeelhoudersvermogen 2,38422,92411,643-15,68012,328-1,02923,82214,008-145,32327,7269,831-27,424-54,272-10,501-16,752-45,76979,95278,93659,41928,893
Totaal eigen vermogen van aandeelhouders 1,123,4601,003,073859,226714,643705,233657,475622,801534,166490,789459,749384,082307,966280,872274,355212,470394,598530,224470,633383,895293,761
Totaal eigen vermogen 1,182,6701,054,298900,670749,157751,827695,743665,231575,404531,699503,223422,791341,561309,914310,809249,266428,483569,221501,054408,625313,513
Totaal passiva en aandeelhoudersvermogen 2,571,9572,183,2911,832,9171,640,9131,532,8101,433,4581,415,8451,318,7761,305,2361,310,0401,146,591962,329900,420978,343987,0771,163,1731,258,4301,128,688958,476767,727