AS ONE Corporation

TSE:7476.T

2835 (JPY) • At close September 19, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 13,185.02517,612.2618,717.96414,346.62712,074.68212,706.93114,441.12917,573.48716,468.46417,437.63721,186.40220,305.02218,117.65420,662.84318,749.57516,502.01914,302.11513,099.36413,952.10813,574.371
Kortetermijnbeleggingen 700.4531,0005003,5002,0001,0003,200.319-4,143.8325,800.9161,000-4,632.0141,491.241000001,000-331.713-337.105
Liquide middelen en kortetermijnbeleggingen 13,885.47818,612.2619,217.96417,846.62714,074.68213,706.93117,641.44817,573.48722,269.3818,437.63721,186.40221,796.26318,117.65420,662.84318,749.57516,502.01914,302.11514,099.36413,952.10813,574.371
Nettovorderingen 35,651.87632,32631,80731,17326,41625,81220,148.62117,182.45417,325.2217,669.67518,076.45118,294.56718,364.01717,830.51116,889.16716,162.10417,781.62417,748.28916,235.16814,720.524
Voorraad 10,831.94311,007.678,171.5248,974.557,056.3077,463.8157,013.7886,142.8675,864.25,312.1144,876.834,586.5764,670.7414,264.1113,342.853,878.7423,456.8523,796.073,140.4163,312.388
Overige vlottende activa 860.62311,602.5210,408.5339,753.7877,292.9436,998.4635,500.7534,184.3493,403.8022,982.5871,561.683269.415234.306300.791163.163235.82266.873236.211473.24107.137
Totaal vlottende activa 61,229.9262,659.99359,904.40458,721.97548,181.71747,465.27650,304.6145,083.15748,862.60244,402.01345,701.36644,946.82141,386.71843,058.25639,144.75536,778.68535,807.46435,879.93433,800.93231,714.42
Niet-vlottende activa:
Materiële vaste activa, netto 8,107.5667,695.5468,091.8028,935.9328,869.7515,347.195,295.6575,404.7215,760.2695,753.6175,890.0246,095.1336,245.8626,582.7116,690.2885,807.6485,438.9165,402.2275,525.4535,696.305
Goodwill 0000912.0981,026.111,140.1230000000027.16654.333153.242204.323119.571
Immateriële activa 1,634.5861,564.2711,550.5121,518.3931,372.082983.615839.574770.4751,035.1411,248.5871,508.6641,822.7092,344.9361,896.3611,256.344628.194485.675511.759497.185546.345
Goodwill en immateriële activa 1,634.5861,564.2711,550.5121,518.3932,284.182,009.7251,979.697770.4751,035.1411,248.5871,508.6641,822.7092,344.9361,896.3611,256.344655.36540.008665.001701.508665.916
Langetermijnbeleggingen 23,482.6925,47326,52525,00722,15223,91512,769.48919,221.5953,533.6659,305.35110,892.4892,283.2088,951.0849,063.5993,427.1414,915.0233,106.823675.5581,382.6761,037.132
Belastingvorderingen 102.87886.90733.4641.80932.35136.7438.5027.2295.2314.78721.86157.075439.458643.123423.302312.924490.78512.738354.818431.933
Overige niet-vlottende activa 1,274.79-0.286-0.1560.0350.058-0.2977,845.744499.21910,417.7635,954.126446.1886,570.7891,451.844479.523502.699530.376513.3111,720.41449.899797.945
Totaal niet-vlottende activa 34,602.5134,819.43836,200.61835,503.16933,338.3431,308.36127,899.08925,903.23920,752.06922,266.46818,759.22616,828.91419,433.18418,665.31712,299.77412,221.33110,089.8388,975.9348,414.3548,629.231
Totaal activa 95,832.4397,479.43496,105.02594,225.14881,520.0678,773.63978,203.770,986.39969,614.67466,668.48464,460.59561,775.73860,819.90261,723.57351,444.52949,000.01645,897.30244,855.86842,215.28640,343.651
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 19,939.72819,689.94519,486.62519,068.45916,698.35317,449.82816,952.79512,343.58811,896.02611,313.51111,184.58110,100.62610,203.3219,804.4678,973.548,591.1589,503.2239,680.5618,899.3198,495.178
Kortlopende schulden 1,288.7842,7501,6001,6001,1509401,0551,0201,0601,0701,090815.8948103,8806008501,3501,0201,0201,500
Belastingschulden 1,612.7542,217.9751,532.9742,069.5941,683.1371,513.3421,162.1021,397.7261,273.1471,017.4911,509.929828.6191,410.0511,144.2231,059.359921.5871,283.6751,264.3491,091.4661,081.182
Uitgestelde opbrengsten 1,612.7543,097.8242,397.5752,982.942,404.1662,205.1741,836.921,924.0541,741.3331,516.2292,023.0591,259.8381,837.5681,649.9891,360.8151,188.11,550.5671,526.4781,279.2591,303.738
Overige kortlopende verplichtingen 3,260.5221,767.5142,237.2381,944.9441,927.6032,153.1561,658.5191,483.6461,318.4541,245.1571,209.621925.6141,067.9021,241.831,676.343924.132905.316971.2991,041.322839.073
Totaal kortlopende verplichtingen 26,101.78827,305.28325,721.43825,596.34322,180.12222,748.15821,503.23416,771.28816,015.81315,144.89715,507.26113,101.97213,918.79116,576.28612,610.69811,553.3913,309.10613,198.33812,239.912,137.989
Langlopende verplichtingen:
Langetermijnschulden 2,313.853,437.51,5003,1009501,1002,0002,4753,3754,2755,1758,0758,6759,2754,0754,2755501,3501,6501,950
Uitgestelde opbrengsten niet-vlottend 01,233.591,088.7941,049.881,056.661852.208755.046652.582460.559552.364599.06549.65200000000
Uitgestelde belastingverplichtingen niet-vlottend 533.3699061,023.4841,081.996152.258140.822783.43172.84605.077475.333138.833.85800000000
Overige niet-vlottende verplichtingen 2,221.161628.94616.898635.152687.092680.25694.58745.283543.335370.766380.066363.4291,345.9351,243.223922.3261,147.366665.007587.026563.937592.095
Totaal niet-vlottende verplichtingen 5,068.386,206.034,229.1765,867.0282,846.0112,773.284,233.0564,045.7054,983.9715,673.4636,292.9568,991.93910,020.93510,518.2234,997.3265,422.3661,215.0071,937.0262,213.9372,542.095
Totaal passiva 31,170.16833,511.31329,950.61431,463.37125,026.13325,521.43825,736.2920,816.99320,999.78420,818.3621,800.21722,093.91123,939.72627,094.50917,608.02416,975.75614,524.11315,135.36414,453.83714,680.084
Eigen vermogen:
Preferente aandelen 00000000000000000000
Gewone aandelen 5,0755,0755,0755,0755,0755,0755,0755,0755,0755,0755,0755,0755,0755,0755,0755,0755,0755,0755,0755,075
Ingehouden winsten 60,641.32358,286.37156,073.91352,419.05348,995.61445,910.40443,227.88740,678.02138,450.17936,238.70533,937.36231,404.28329,248.3427,121.15725,656.7623,638.0821,876.71319,722.25717,614.80415,624.516
Overige gereserveerde algehele resultaten 5,538.0556,258.5626,280.46,614.1013,888.5013,732.7884,228.0182,751.1392,837.9832,2831,39394600000000
Overige totale aandeelhoudersvermogen -6,592.118-5,651.812-1,274.902-1,346.377-1,465.188-1,465.991-335.1821,665.2462,251.7282,253.4192,255.0162,256.5442,556.8362,432.9073,104.7453,311.184,421.4764,923.2475,069.8384,961.659
Totaal eigen vermogen van aandeelhouders 64,662.2663,968.12166,154.41162,761.77756,493.92753,252.20152,195.72350,169.40648,614.8945,850.12442,660.37839,681.82736,880.17634,629.06433,836.50532,024.2631,373.18929,720.50427,759.64225,661.175
Totaal eigen vermogen 64,662.2663,968.12166,154.41162,761.77756,493.92753,252.20152,467.4150,169.40648,614.8945,850.12442,660.37839,681.82736,880.17634,629.06433,836.50532,024.2631,373.18929,720.50427,761.44925,663.567
Totaal passiva en aandeelhoudersvermogen 95,832.4397,479.43496,105.02594,225.14881,520.0678,773.63978,203.770,986.39969,614.67466,668.48464,460.59561,775.73860,819.90261,723.57351,444.52949,000.01645,897.30244,855.86842,215.28640,343.651