Nadex Co., Ltd.

TSE:7435.T

946 (JPY) • At close November 8, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 4,480.445,075.5424,872.2245,195.9896,203.0475,932.5426,655.9694,045.1414,316.0713,404.7022,283.6113,751.0072,815.7612,596.1283,300.6333,069.3282,200.707
Kortetermijnbeleggingen 2.08449.941.9261.68621.531300.11399.96221.62840.4814.48431.72829.39539.585253.303355.342401.654-87.537
Liquide middelen en kortetermijnbeleggingen 4,482.5245,125.4824,872.2245,195.9896,203.0476,232.6556,755.9314,045.1414,316.0713,419.1862,315.3393,780.4022,855.3462,849.4313,655.9753,470.9822,200.707
Nettovorderingen 11,408.6637,277.097,986.487,182.3377,998.5976,928.4048,241.699,413.9359,669.77810,025.7829,013.8076,747.3577,780.2227,169.3025,614.2737,840.28315,889.009
Voorraad 6,050.9675,013.3814,418.5193,437.8973,778.8763,101.7192,805.9732,357.1052,422.6882,661.0531,922.8681,360.5451,180.731,071.055881.9822.9071,018.459
Overige vlottende activa 688.8124,301.2893,768.3352,466.6782,614.3093,527.6193,204.4052,017.021,412.838869.542625.936382.975-81.177-42.6011.828427.721156.549
Totaal vlottende activa 22,630.96621,717.24221,045.55818,282.90120,594.82919,790.39721,007.99917,833.20117,821.37516,975.56313,877.9512,271.27911,735.12111,047.18710,153.97612,561.89319,264.724
Niet-vlottende activa:
Materiële vaste activa, netto 4,596.1714,287.6364,660.224,498.4024,744.9142,445.1052,488.8462,567.0852,686.753,051.4663,092.2922,805.6222,151.2482,750.563,001.7393,111.4063,822.271
Goodwill 715.627840.0841,265.1761,433.331,659.973149.561224.968388.465493.942637.909641.2123.16212.64922.13731.62400
Immateriële activa 651.816795.747861.2231,022.7931,200.488562.7672.555841.7431,000.8011,225.0241,211.992193.019180.559278.047267.324247.6610
Goodwill en immateriële activa 1,367.4431,635.8312,126.3992,456.1232,860.461712.261897.5231,230.2081,494.7431,862.9331,853.204196.181193.208300.184298.948247.661245.386
Langetermijnbeleggingen 2,261.1031,819.6271,711.7171,674.5081,949.1422,202.4732,821.3611,330.1231,017.9411,124.473958.0181,377.787927.264750.0081,086.785896.3751,657.826
Belastingvorderingen 315.337249.061218.084206.034169.705199.762162.7317.018-1,017.94162.8272.2191.6571.235353.313328.24205.644232.784
Overige niet-vlottende activa 211.458251.966178.753177.836205.976441.188219.78130.2711,213.425130.694215.958256.685401.552609.475853.281889.453130.451
Totaal niet-vlottende activa 8,751.5128,244.1218,895.1739,012.9039,930.1986,000.7896,590.2415,264.7055,394.9186,232.3936,121.6914,637.9323,674.5074,763.545,568.9935,350.5396,088.718
Totaal activa 31,382.47829,961.36629,940.73327,295.80530,525.0325,791.18827,598.24223,097.90723,216.29423,207.95619,999.64116,909.21115,409.62815,810.72715,722.96917,912.43225,353.442
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 7,328.2393,139.5533,349.5233,840.2373,495.4574,000.5454,898.6453,641.8194,569.616,362.2687,207.9665,693.6986,135.6955,924.2545,282.5856,563.88212,788.749
Kortlopende schulden 1,283.461306.675335.664380.3832,647.699257.784450.569719.847826.646536.991467.046312.629265.8421,128.8971,581.5071,273.4561,284.436
Belastingschulden 133.07408.283330.591326.534243.893181.361381.964337.726137.572331.006107.87488.15248.28956.0289.21131.282192.958
Uitgestelde opbrengsten 290.075803.1781,097.975789.6751,914.0671,128.7651,849.425881.766167.172389.101203.074115.75264.939120.9879.21138.682225.058
Overige kortlopende verplichtingen 1,638.7125,384.7245,833.0943,857.3384,103.9394,794.2925,591.4763,804.0484,594.0092,767.931954.2591,110.295515.377337.24258.148314.239466.059
Totaal kortlopende verplichtingen 10,540.4879,634.1310,616.2568,867.63312,161.16210,181.38612,790.1159,047.4810,157.43710,056.2918,832.3457,232.3746,981.8537,511.3787,131.4518,190.25914,764.302
Langlopende verplichtingen:
Langetermijnschulden 168.397429.69931.9141,257.681,735.6931.6873.49574.975252.994364.663533.495192.731115.145203.62874.38190.547184.003
Uitgestelde opbrengsten niet-vlottend 73.436227.635204.022174.166148.882117.55678.864111.76596.70988.42796.81653.78329.30940.61294.95125.930
Uitgestelde belastingverplichtingen niet-vlottend 640.373661.6679.945776.736773.477276.556311.402567.253599.966748.881527.56296.13453.8072.2980.6380.8720
Overige niet-vlottende verplichtingen 362.844109.036102.067108.977404.38499.05183.17430.79419.47518.68319.44131.74955.32199.703127.681148.396267.717
Totaal niet-vlottende verplichtingen 1,245.051,427.9611,917.9482,317.5593,062.436494.85476.935784.787969.1441,220.6541,177.314374.397253.582346.241297.65365.745451.72
Totaal passiva 11,785.53711,062.09112,534.20411,185.19215,223.59810,676.23613,267.059,832.26711,126.58111,276.94510,009.6597,606.7717,235.4357,857.6197,429.1018,556.00415,216.022
Eigen vermogen:
Preferente aandelen 00000000000000000
Gewone aandelen 1,028.0781,028.0781,028.0781,028.0781,028.0781,028.0781,028.0781,028.0781,028.0781,028.0781,028.0781,028.0781,028.0781,028.0781,028.0781,028.0781,028.078
Ingehouden winsten 15,447.27615,465.47314,478.82113,674.03613,224.99412,917.00412,225.3411,083.47910,077.2249,525.4748,213.517,607.66,682.4296,442.9596,676.2767,789.3268,171.008
Overige gereserveerde algehele resultaten 2,587.4231,694.3221,222.665755.847405.081611.072560.497556.36376.9257601395700000
Overige totale aandeelhoudersvermogen 394.049584.891569.196553.462537.312521.164505.457589.751591.382592.758593.877596.519456.018478.094585.881539.024728.178
Totaal eigen vermogen van aandeelhouders 19,456.82618,772.76417,298.7616,011.42315,195.46515,077.31814,319.37213,257.66812,073.60911,906.319,974.4659,289.1978,166.5257,949.1318,290.2359,356.4289,927.264
Totaal eigen vermogen 19,596.93918,899.27517,406.52916,110.61315,301.43215,114.95214,331.19213,265.6412,089.71311,931.0119,989.9829,302.448,174.1937,953.1088,293.8689,356.42810,137.42
Totaal passiva en aandeelhoudersvermogen 31,382.47629,961.36629,940.73327,295.80530,525.0325,791.18827,598.24223,097.90723,216.29423,207.95619,999.64116,909.21115,409.62815,810.72715,722.96917,912.43225,353.442