AS ONE Corporation

TSE:7476.T

2831 (JPY) • At close November 12, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004
Operationele Activiteiten:
Nettowinst 7,500.33111,668.30710,454.5398,941.0548,746.5857,751.5036,843.9956,149.2126,012.2116,157.9845,911.4725,260.7795,117.364,325.2924,801.1064,714.9745,427.9325,176.9434,711.2014,469.961
Afschrijvingen & Amortisatie 1,824.6171,645.7431,724.0271,699.643986.769952.311870.3921,012.163958.3241,055.7431,013.861,043.771920.406926.787740.99710.765685.307569.79584.564569.548
Uitgestelde Inkomstenbelasting 0-2,862.324-4,328.95-1,403.925-2,565.329-2,139.238-2,405.27-2,081.203-1,892.9010000000000-1,771.507
Aandelen Gebaseerde Vergoedingen 23.45220.26225.61923.89825.09627.09623.91522.45321.229000000000031.158
Verandering in Werkkapitaal -2,267.743-3,360.6191,152.831-4,342.768-642.134-806.485-2,359.401-676.36763.669-1,341.968-64.642-553.694-261.611-1,190.521483.998140.706203.436-1,458.904-929.838-548.695
Vorderingen -3,064.586-456-611-4,756-623-1,002-2,414.406-804.20514.795-992-975-5300000000
Voorraden 465.142-2,820.549861.356-1,914.702398.618-468.462-861.939-296.349-561.053-424.218-271.2192.294-406.445-928.174537.344-431.692288.735-656.369171.972-325.151
Crediteuren 165.271171.518381.6432,371.336-745.31507.443734.117462.137589.77600000000000
Overig Werkkapitaal 166.43-255.588520.832-43.402327.558156.534-1,497.462-380.018624.722-917.75206.568-645.988144.834-262.347-53.346572.398-85.299-802.535-1,101.81-223.544
Overige Niet-Contante Posten 5,522.656-141.625-188.053463.262-238.536.47663.991304.79140.516-2,700.563-1,592.554-2,506.83-1,206.128-1,829.818-1,829.827-2,451.31-2,372.858-1,712.83-2,118.824162.305
Kasstroom uit Operationele Activiteiten 6,496.4546,969.7448,840.0135,381.1646,312.4575,791.6633,037.6224,731.0485,303.0483,171.1965,268.1363,244.0264,570.0272,231.744,196.2673,115.1353,943.8172,574.9992,247.1032,912.77
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -1,576.379-1,153.287-1,152.198-2,189.188-4,309.402-1,180.683-838.344-1,059.92-653.989-563.653-268.388-354.184-1,328.656-1,301.855-843.074-453.016-618.973-439.442-472.838-422.928
Netto Overnames -418.989-583.415432.791-534.743-697.674-502.8061,300.268-277.936-407.171-239.413-138.096-132.159-1,210.237-886.914-617.34-252.382-117.912-219.8060-129.004
Aankoop van Beleggingen -1,956.49-2,965.93-4,636.43-2,706.068-2,245.986-5,413.459-2,324.77-11,977.4-5,227.96-9,457.86-2,622.8-6,158-299.956-7,462.527-981.4-1,573.689-2,117.533-3,000-151.2-172
Verkoop/verval van Beleggingen 2,041.2024,085.8175,431.8213,000.6693,1006,2005,249.1511,202.9663,731.9744,5004,0008,200405.5921,514.621,046.976321.9192,0001,0000-204.331
Overige Investeringsactiviteiten -17.944248.833515.17313.118695.803448.777-31.908188.463375.186249.863171.019147.339-7,172.4829,729.51-2,115.479-1,940.051-2,801.123-5,538.235237.285-579.456
Kasstroom uit Investeringsactiviteiten -1,928.601-367.982591.154-2,116.212-3,457.259-448.1713,354.396-1,923.827-2,181.96-5,511.0631,141.7351,702.996-9,605.7391,592.834-3,510.317-3,897.219-3,655.541-8,197.483-386.753-1,507.719
Financieringsactiviteiten:
Schuldaflossingen 00000000000000000000
Uitgifte van Gewone Aandelen 21.27416.24714.438485.3323.1242.678224.316-76.262-10-67.75500-117.7558,832.245-247.7554,002.245-7002704,028.511
Terugkoop van Gewone Aandelen -2,077.303-6,571.502-2.509-457.546-2.32-1.736-2,224.743-586.482-1.526-1.445-1.42-0.241-0.157-515.567-0.445-1,423.906-582.678-2.525-12.288-666.155
Uitgekeerde Dividenden -4,098.125-3,779.478-3,540.974-2,564.076-2,880.699-2,580.799-2,133.517-1,985.297-1,668.378-1,455.185-1,053.144-1,053.844-728.142-1,030.827-720.045-897.249-944.459-833.469-696.699-423.656
Overige Financieringsactiviteiten -0.0014,963.532-33.9484,947.596906.516-1,497.053407.626-0.001-0.001-0.001-73.649-41.861-0.001-0.002-0.001-0.002-0.0010-0.001999.999
Kasstroom uit Financieringsactiviteiten -9,038.835-7,283.701-5,162.99311.306-2,873.379-5,051.91-4,626.318-3,548.042-2,579.905-2,424.386-3,728.213-1,695.946-4,446.0556,885.849-1,218.246856.088-1,897.138-1,135.994-1,488.9882,938.699
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 57.84776.234103.162-4.313-14.067-25.783.641-16.095-10.91526.28899.72136.292-459.91449.3359.851-44.12.613-0.2640.37516.262
Netto Kasstroomverandering -637.235-605.7044,371.3373,271.945-32.249265.8021,769.342-756.917530.267-4,737.9652,781.383,287.368-9,941.68110,759.76-522.44429.904-1,606.249-6,758.744371.7374,360.013
Kaspositie aan het Einde van de Periode 13,185.02513,822.2614,427.96410,056.6276,784.6826,816.9316,551.1294,781.7875,538.7045,008.4379,746.4026,965.0223,677.65413,619.3352,859.5753,382.0193,352.1154,958.36411,717.10811,345.371