MediPal Holdings Corporation

TSE:7459.T

2530.5 (JPY) • At close August 1, 2025
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 261,407230,154195,031243,150222,747207,545213,025203,546165,267168,393181,606132,809164,275132,306153,943137,754143,292151,570147,674144,268120,635
Kortetermijnbeleggingen 03161,47018,77018,77018,77018,77018,77018,77018,77118,76418,75618,84618,73518,72318,71100008
Liquide middelen en kortetermijnbeleggingen 261,407230,470195,031261,920241,517226,315231,795222,316184,037187,164200,370151,565183,121151,041172,666156,465143,292151,570147,674144,268120,643
Nettovorderingen 830,324824,600797,205776,189767,264754,254751,751762,790755,467766,478738,565761,236680,125688,700658,910622,639605,290595,660531,850521,774466,966
Voorraad 178,100172,030169,562159,279155,593151,122145,819145,868147,272142,653144,184153,933144,872140,337158,021120,436115,143104,710106,21896,67578,294
Overige vlottende activa 12,91517,09017,48212,3789,73914,4886,0379,1148,3779,9368,9208,79018,95410,77115,02610,29910,48110,48510,06511,3657,414
Totaal vlottende activa 1,282,7461,244,1901,179,2801,209,7661,174,1131,146,1791,135,4021,140,0881,095,1531,106,2311,092,0391,075,5241,027,072990,8491,004,623909,839874,206862,425795,807774,082673,317
Niet-vlottende activa:
Materiële vaste activa, netto 268,564270,953268,363264,374261,588265,576254,182249,250247,743222,639198,230205,169196,049191,553191,896184,577170,836159,303151,520151,267122,616
Goodwill 13,15011,62525,02900000000000631,8005,9169,0648,56700
Immateriële activa 26,74827,3899,1879,97110,18511,04414,09314,91212,85112,32410,7479,0817,8806,9146,8857,6967,3874,8254,9266,1386,379
Goodwill en immateriële activa 39,89839,01434,2169,97110,18511,04414,09314,91212,85112,32410,7479,0817,8806,9146,9489,49613,30313,88913,4936,1386,379
Langetermijnbeleggingen 199,193210,549216,842197,637185,950176,856171,829177,134130,571121,415114,75375,26668,41754,93549,50731,40744,59150,64257,62448,72531,358
Belastingvorderingen 4,8905,4315,0575,8462,4515,1603,60032839336727738629525022118,7973427923901,1923,357
Overige niet-vlottende activa 29,69328,98710921,87645,64439,46038,80139,85839,19734,33338,75335,36328,88429,91031,48412,37014,00917,78214,09712,08711,389
Totaal niet-vlottende activa 542,238554,934524,587499,704505,818498,096482,505481,482430,755391,078362,760325,265301,525283,562280,056256,647243,081242,408237,124219,409175,099
Totaal activa 1,824,9841,799,1271,703,8711,709,4741,679,9341,644,2791,617,9111,621,5731,525,9121,497,3101,454,8001,400,7921,328,6011,274,4111,284,6791,166,4861,117,2871,104,8331,032,931993,491848,416
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 932,474924,297890,966907,997900,014883,624869,647867,111860,602863,591862,644869,132811,933798,183820,137719,437716,767688,730646,329631,285584,267
Kortlopende schulden 006,67230,0783503,5588,45016,06011,15028,77822,25430,92625,00233,19936,95839,79332,30134,58136,25030,8955,750
Belastingschulden 013,63012,15214,0597,53913,00611,11911,5416,23711,87611,1863,27120,9532,0327,4274,3705328,4073,6438,1071,163
Uitgestelde opbrengsten 0025724,85715,44222,06420,16421,06115,87922,22420,56112,90030,02610,69017,05713,5128,77518,05712,44017,0888,733
Overige kortlopende verplichtingen 76,97369,79261,47231,82529,49023,34823,23724,95534,38420,60424,48225,5717,35729,26719,05621,06023,00719,25917,39913,89514,026
Totaal kortlopende verplichtingen 1,009,4471,007,719971,5191,008,816952,835945,600932,617940,728928,252947,073941,127941,800895,271873,371900,635798,172781,382769,034716,061701,270613,939
Langlopende verplichtingen:
Langetermijnschulden 000030,22830,72834,43739,92715,46412,1504,9288,83210,7289,6305,8486,3046,9995,2515,8087,5039,910
Uitgestelde opbrengsten niet-vlottend 000016,53719,38619,92420,24420,26319,99418,59418,57716,15715,35415,04614,81816,77916,48717,26717,56015,975
Uitgestelde belastingverplichtingen niet-vlottend 33,67134,88124,30226,53731,64930,21126,30232,19126,35325,74828,26519,39619,75316,33815,97410,4599,22812,24515,0799,0856,312
Overige niet-vlottende verplichtingen 23,91719,91519,99525,0349,75310,93211,78423,93314,4174,0194,2844,7094,8035,3756,1935,7418,39911,12417,60515,66034,176
Totaal niet-vlottende verplichtingen 57,58854,79650,08451,57188,16791,25792,447105,43676,49761,91156,07151,51451,44146,69743,06137,32241,40545,10755,75949,80866,373
Totaal passiva 1,067,0351,062,5151,015,8171,060,3871,041,0021,036,8571,025,0641,048,9181,004,7491,008,984997,198993,314946,712920,068943,696835,494822,787814,141771,820751,078680,312
Eigen vermogen:
Preferente aandelen 000000000000000000000
Gewone aandelen 22,39822,39822,39822,39822,39822,39822,39822,39822,39822,39822,39822,39822,39822,39822,39822,39822,39821,81321,74321,47917,786
Ingehouden winsten 463,071439,315414,723385,611365,291350,562321,242293,726266,611243,053218,221201,794180,877166,351158,807158,783160,797153,533129,760115,94898,910
Overige gereserveerde algehele resultaten 69,79560,08248,92746,98259,57451,60649,34658,60139,72236,60636,5559,2478,3141,7500-12,3560000-13,537
Overige totale aandeelhoudersvermogen 64,30278,55375,30975,31075,75075,751103,893109,943112,878112,880112,885112,408111,622121,457118,077108,770111,305115,323109,608104,98650,667
Totaal eigen vermogen van aandeelhouders 619,566600,349561,357530,303523,013500,317496,879484,667441,610414,937390,058345,846323,211310,208299,282289,951294,500290,669261,111242,413167,363
Totaal eigen vermogen 757,947736,612688,054649,087638,932607,422592,847572,655521,163488,326457,602407,478381,889354,343340,983330,992294,500290,692261,111242,413168,104
Totaal passiva en aandeelhoudersvermogen 1,824,9841,799,1271,703,8711,709,4741,679,9341,644,2791,617,9111,621,5731,525,9121,497,3101,454,8001,400,7921,328,6011,274,4111,284,6791,166,4861,117,2871,104,8331,032,931993,491848,416