JAMCO Corporation

TSE:7408.T

1228 (JPY) • At close November 5, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004
Operationele Activiteiten:
Nettowinst 1,710.691,594.379-2,981.287-16,737.025898.2273,026.5573,455.091,261.9828,230.9198,152.9564,332.0453,013.067573.366447.086478.156824.5471,357.7721,825.228509.192308.298
Afschrijvingen & Amortisatie 1,777.5732,108.6022,208.6362,468.0822,821.1692,280.5762,228.3712,473.7492,684.0322,331.9811,820.4271,484.3191,283.6271,283.1621,363.1681,788.7181,410.4621,040.125784.313754.736
Uitgestelde Inkomstenbelasting 00000000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000000
Verandering in Werkkapitaal -739.516-2,316.2746,613.646-566.196-12,619.6043,950.793-385.853-1,445.272-2,433.803-3,142.348-1,863.148-2,270.5362,136.982-5,106.514-1,572.258-726.806-4,320.046-3,311.175-3,588.975294.343
Vorderingen -2,573.3471,7884,10010,821-9,428131391.671-2,948.96714.3972-1,517-2,24200000000
Voorraden -2,264.9-7,406.4621,349.3964,953.045-3,657.149-5,854.813-1,550.071614.946-5,509.228-6,538.888-3,265.523-2,514.103-123.207-1,210.744-373.462-3,835.874-3,434.126-1,974.158-1,896.507-1,805.293
Crediteuren 4,146.078729.009-376.616-13,742.5013,270.3532,653.356-881.202811.9621,392.88300000000000
Overig Werkkapitaal -47.3472,573.1791,540.866-2,597.74-2,804.8087,021.251,164.218-2,060.2183,075.4253,396.541,402.375243.5672,260.189-3,895.77-1,198.7963,109.068-885.92-1,337.017-1,692.4682,099.636
Overige Niet-Contante Posten 2,902.403-1,299.436960.7093,220.129-2,385.337107.361-1,326.239-161.645-3,791.427-4,395.684-2,527.6571,018.011-2,038.1891,872.7961,333.272-879.948-2,220.214-724.676446.74163.167
Kasstroom uit Operationele Activiteiten 1,403.83587.2716,801.704-11,615.01-11,285.5459,365.2873,971.3692,128.8144,689.7212,946.9051,761.6673,244.8611,955.786-1,503.471,602.3381,006.511-3,772.026-1,170.498-1,848.731,520.544
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -1,514.058-885.991-790.697-1,038.912-2,080.69-1,477.907-1,283.136-2,229.298-3,035.024-2,661.095-2,009.45-2,755.416-1,057.449-607.898-714.965-2,693.48-2,085.797-946.012-649.384-569.694
Netto Overnames -192.646791.5578.14862.9916.3583.2476.7541.668-375-727.3820-277.9540.6590-30.8725.3938.20407.5830
Aankoop van Beleggingen -1.227-1.08-0.773-0.706-0.952-251.641-1.889-2.214-2.896-2.763-2.566-2.487-2.434-2.153-2.001-2.334-2.258-3.889-102.04-1.941
Verkoop/verval van Beleggingen 43.386-791.557337.14212.12217.48413.202024.27611.1183.84508.27214.7600.5260.13110.12401.7160
Overige Investeringsactiviteiten -23.982-138.398-200-340.109-713.052-631.527-1,525.887-970.515-455.816-459.751-235.323-393.747-207.15-125.048-4.234-26.348-209.386-364.971-36.6687.443
Kasstroom uit Investeringsactiviteiten -1,688.527-1,025.469-646.182-1,104.616-2,570.856-1,944.626-2,810.912-3,176.083-3,857.636-3,667.146-2,247.339-3,421.334-1,051.614-735.099-751.546-2,716.639-2,179.113-1,314.872-778.793-564.192
Financieringsactiviteiten:
Schuldaflossingen -528.413-71,750.85-82,226.96-47,178.836-63,160.423-70,166.307-57,877.17-59,831.382-43,517.273-47,904.682-40,061.024-31,846.375-14,421.848-7,952.375-10,217.488-5,116.113-3,395.376-598.51-2,037.68-1,446.575
Uitgifte van Gewone Aandelen 071,045.622057,547.63680,650.08265,193.157060,314.57244,214.28250,486.84539,756.97531,677.63513,061.1059,094.561163.9582.4841.5941.5014,838.7551,103.732
Terugkoop van Gewone Aandelen 0-0.1990-0.03-0.207-0.195-0.083-0.236-0.382-0.233-0.186-0.384-1.096-2.237-0.62-1.565-3.775-10.64-9.089-2.757
Uitgekeerde Dividenden -0.025-0.06-1.29-539.209-535.919-535.872-268.87-1,070.742-938.791-401.32-267.864-80.838-80.865-134.655-134.006-214.435-214.239-134.125-134.251-134.632
Overige Financieringsactiviteiten -27.067-0.00179,657.986-248.073-0.003-319.20557,685.219-0.001-0.001-0.002-0.002-0.001-0.001-0.0037,937.1511,371.8779,229.0322,892.117-0.00149.364
Kasstroom uit Financieringsactiviteiten -555.506-705.488-2,570.2649,581.48816,953.53-5,828.422-460.904-587.789-242.1652,180.608-572.101-249.963-1,442.7051,005.291-2,251.0066,042.2485,617.2362,150.3432,657.734-430.868
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 648.118428.183642.42-82.56724.07154.696-72.846-71.415-161.0280.3167.281103.989-10.543-123.812-21.835353.573-134.90455.27369.362-23.482
Netto Kasstroomverandering -192.08-1,215.5034,227.679-3,220.7053,121.21,646.935626.707-1,706.475428.8911,460.677-990.492-322.446-549.078-1,357.091-1,422.0494,685.695-468.808-279.75499.573502
Kaspositie aan het Einde van de Periode 6,766.7616,958.8418,174.3443,946.6657,167.374,046.172,399.2351,772.5283,479.0033,050.1121,589.4352,579.9272,902.3733,451.4514,808.5426,230.5911,544.8962,013.7042,293.4582,193.885