Takasho Co.,Ltd.

TSE:7590.T

479 (JPY) • At close November 5, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 3,796.2364,206.8855,600.1813,942.3132,790.1473,210.9932,587.6052,149.8692,158.7062,408.2771,820.8972,133.7491,818.1321,762.3551,563.5231,386.677
Kortetermijnbeleggingen 0-851.554-902.412-824.479-796.986-620.624-388.038-321.722-338.312-388.141-13.657-14.553-13.984-15.408-4.227-18.438
Liquide middelen en kortetermijnbeleggingen 3,796.2364,206.8855,600.1813,942.3132,790.1473,210.9932,587.6052,149.8692,158.7062,408.2771,820.8972,133.7491,818.1321,762.3551,563.5231,386.677
Nettovorderingen 3,167.0722,767.1923,215.6712,743.8172,427.6262,998.662,858.9433,403.6664,550.3993,564.9643,696.6522,876.9292,945.5462,478.1142,529.6422,255.343
Voorraad 6,994.7867,044.2315,849.6584,354.464,778.0664,877.5614,896.2044,394.0394,233.9414,338.8443,594.8363,298.6292,972.8272,327.6482,268.6232,394.275
Overige vlottende activa 718.2491,365.6681,254.9021,146.9351,104.0191,164.8061,110.7541,141.621304.332850.672805.87586.47514.021220.882107.897269.09
Totaal vlottende activa 14,676.34315,383.97615,920.41212,187.52511,099.85812,252.0211,453.50611,089.19511,247.37811,162.7579,918.2558,895.7778,250.5266,788.9996,469.6856,305.385
Niet-vlottende activa:
Materiële vaste activa, netto 6,395.9676,246.7175,799.7515,556.3275,683.5395,127.484,799.3924,701.2553,901.9443,814.3993,553.4473,258.0843,052.2732,600.6932,128.452,170.041
Goodwill 28.87851.72224.74713.3630.1190.5991.07843.337107.526139.642141.105121.1110.3815.78816.45226.276
Immateriële activa 537.293459.31472.198401.038331.154334.433391.347505.279483.262553.355633.208487.374255.466189.60280.19672.478
Goodwill en immateriële activa 566.171511.032496.945414.401331.273335.032392.425548.616590.788692.997774.313608.485255.847195.3996.64898.754
Langetermijnbeleggingen 297.2271,1761,1711,1291,065830646.157534.857507.284584.365164.704148.556144.076141.332110.94995.343
Belastingvorderingen 170.908177.502121.401226.18275.219136.5732.579110.4612.4830.91410.28313.88119.1061.4321.5571.288
Overige niet-vlottende activa 1,027.94144.771156.481177.954179.649180.697541.179486.232505.435480.91493.297433.81465.406466.424515.319498.708
Totaal niet-vlottende activa 8,458.2138,256.0227,745.5787,503.8627,534.686,609.7826,381.7326,381.4215,507.9345,573.5854,996.0444,462.8163,936.7083,405.2712,852.9232,864.134
Totaal activa 23,134.55623,640.00223,665.99419,691.39118,634.54118,861.80617,835.23817,470.61716,755.31216,736.34214,914.29913,358.59312,187.23410,194.279,322.6089,169.519
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 3,598.8732,570.4483,513.0593,001.6882,872.8973,049.183,254.18691.195603.923,315.2612,647.1482,090.1382,539.8421,918.3051,468.4371,448.844
Kortlopende schulden 4,201.1974,113.8153,878.3254,416.5595,167.7145,326.654,941.5514,911.2633,670.3123,478.8131,958.9242,312.6572,781.6272,110.1122,086.3922,093.137
Belastingschulden 251.879369.876409.49335.312265.741192.597166.444293.1281.604291.864259.92394.234274.68178.446315.923157.874
Uitgestelde opbrengsten 77.5631,340.5691,370.4461,244.5541,107.2241,164.9841,104.9363,518.0723,861.913454.002406.366537.306404.095289.797428.225269.018
Overige kortlopende verplichtingen 1,627.4371,361.6891,212.415161.184134.874179.833159.05133.415207.124198.041139.165126.818107.726136.19463.099174.437
Totaal kortlopende verplichtingen 9,505.079,386.5219,974.2458,823.9859,282.7099,720.6479,459.7179,253.9458,343.2697,446.1175,151.6035,066.9195,833.294,454.4084,046.1533,985.436
Langlopende verplichtingen:
Langetermijnschulden 389.06583.489393.2741,129.886437.615379.606591.977725.405818.6391,408.0942,379.1292,359.4131,673.581,370.21,031.0621,196.16
Uitgestelde opbrengsten niet-vlottend 454.2247.276-189.625-176.9270175.678169.208151.223104.55490.8370005.7765.0554.182
Uitgestelde belastingverplichtingen niet-vlottend 32.31631.442189.625176.92701.87419.5483.3328.42357.19900022.35833.53741.97
Overige niet-vlottende verplichtingen 254.2562.01234.008220.726220.3092.28419.06115.32615.03616.1104.805100.23895.4517.4040.0030.002
Totaal niet-vlottende verplichtingen 1,129.832864.217627.2821,350.612657.924559.442799.794895.284966.6521,572.232,483.9342,459.6511,769.0311,405.7381,069.6571,242.314
Totaal passiva 10,634.90210,250.73810,601.52710,174.5979,940.63310,280.08910,259.51110,149.2299,309.9219,018.3477,635.5377,526.577,602.3215,860.1465,115.815,227.75
Eigen vermogen:
Preferente aandelen 0000000000000000
Gewone aandelen 3,043.6233,043.6233,043.6231,820.861,820.861,820.861,307.7761,307.7761,307.7761,307.7761,307.776826.823570.56570.56570.56570.56
Ingehouden winsten 5,773.7986,252.8556,137.0035,427.5014,620.394,563.0764,347.3054,192.7534,249.3784,246.1174,156.3893,797.6833,492.2633,292.8633,071.7742,851.289
Overige gereserveerde algehele resultaten 956.608892.578700.064342.025331.123277.618509.99417.029474.12174641400000
Overige totale aandeelhoudersvermogen 2,602.6843,086.6843,078.2771,835.4871,835.4861,835.4861,322.431,322.4641,331.9951,332.6371,331.8671,167.791489.751437.208564.151503.106
Totaal eigen vermogen van aandeelhouders 12,376.71313,275.7412,958.9679,425.8738,607.8598,497.047,487.5017,240.0227,363.277,632.537,210.0325,792.2974,552.5744,300.6314,206.4853,924.955
Totaal eigen vermogen 12,499.65113,389.26413,064.4679,516.7948,693.9088,581.7177,575.7257,321.3887,445.3917,717.9957,278.7625,832.0234,584.9134,334.1244,206.7983,941.769
Totaal passiva en aandeelhoudersvermogen 23,134.55323,640.00223,665.99419,691.39118,634.54118,861.80617,835.23617,470.61716,755.31216,736.34214,914.29913,358.59312,187.23410,194.279,322.6089,169.519