Daitron Co., Ltd.

TSE:7609.T

2633 (JPY) • At close September 19, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 11,224.63112,902.99614,203.24212,280.61510,170.668,953.095,124.9886,757.7126,281.1116,122.2055,611.4415,748.7347,324.925,989.0384,307.2512,815.017
Kortetermijnbeleggingen 20-0.013-0.246-0.48-0.713-0.946-1.18-1.413-1.716-2.116-2.148-2.548-4.438-8.6840-3.031
Liquide middelen en kortetermijnbeleggingen 11,244.63112,902.99614,203.24212,280.61510,170.668,953.095,124.9886,757.7126,281.1116,122.2055,611.4415,748.7347,324.925,989.0384,307.2512,815.017
Nettovorderingen 28,397.36819,621.71818,397.55914,844.02717,055.36315,239.03612,041.2210,822.44511,285.44110,734.5929,116.5189,262.9629,897.20711,696.6488,896.04612,640.384
Voorraad 13,756.11612,702.6539,477.6836,657.8095,282.9485,033.0355,386.493,033.4173,327.7953,093.6842,332.22,414.3833,245.0082,809.3091,941.7822,874.036
Overige vlottende activa 6,706.32510,936.1269,330.3825,787.0776,381.4867,357.7196,473.0245,375.9732,763.8362,248.7511,431.425829.3481,439.371,185.154632.219403.693
Totaal vlottende activa 60,104.4456,163.49351,408.86639,569.52838,890.45736,582.8829,025.72225,989.54723,658.18322,199.23218,491.58418,255.42721,906.50521,680.14915,777.29818,733.13
Niet-vlottende activa:
Materiële vaste activa, netto 4,529.2114,400.4874,317.8664,273.9124,488.0744,626.2514,149.6774,096.0683,172.5833,252.7913,332.9783,549.6863,501.4953,553.1523,763.9834,130.212
Goodwill -0.791000000000000042.70885.416
Immateriële activa 426.791199.666204.412139.965125.804115.3879.40681.07181.86684.778146.578263.46343.796479.671571.847487.147
Goodwill en immateriële activa 426.791199.666204.412139.965125.804115.3879.40681.07181.86684.778146.578263.46343.796479.671614.555572.563
Langetermijnbeleggingen 1,956.491,663.0511,951.7511,688.8581,539.7111,101.3241,504.2731,218.6641,122.2541,133.2421,064.432717.597534.246686.2270640.869
Belastingvorderingen 300.424288.784152.781179.993181.241135.73104.868162.7133.2287.55744.238159.064192.597156.2510781.234
Overige niet-vlottende activa 471.576486.997418.442394.924532.63553.266519.345520.647513.876554.972686.293677.455702.568746.7121,453.851850.832
Totaal niet-vlottende activa 7,684.4927,038.9857,045.2526,677.6526,867.466,531.9516,357.5696,079.155,023.7995,113.345,274.5195,367.2625,274.7025,622.0135,832.3896,975.71
Totaal activa 67,788.93263,202.48158,454.1246,247.18145,757.9243,114.83435,383.29132,068.69728,681.98227,312.57223,766.10323,622.68927,181.20727,302.16221,609.68725,708.84
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 21,227.0479,348.3118,697.2986,694.9146,192.3547,093.7716,535.3245,864.9126,701.3898,241.7657,642.9597,367.8949,166.75810,481.3756,708.7669,389.396
Kortlopende schulden 512.358552.045464.055372.076506.338511.194569.2721,122.505211.588209.8411,198.608402.816522.462535.022744.653937.798
Belastingschulden 1,156.0261,269.543980.82429.318569.346819.622476.617378.81291.006222.60697.284245.128212.21455.52823.962157.671
Uitgestelde opbrengsten 9,556.6018,077.259,586.1287,112.1246,441.463819.6221,952.5062,144.654960.997936.058641.976673.4982,381.00455.52825.769159.773
Overige kortlopende verplichtingen 3,354.49115,560.51813,844.9459,042.07110,807.83714,708.3177,639.3975,813.1234,431.0842,553.575630.229616.598688.0321,897.0671,074.948713.21
Totaal kortlopende verplichtingen 34,650.49733,538.12432,592.42623,221.18523,947.99223,132.90416,696.49914,945.19412,305.05811,941.23910,113.7729,060.80612,758.25612,968.9928,554.13611,200.177
Langlopende verplichtingen:
Langetermijnschulden 248.8131.3153.4352.28838.15186.303333.717486.979910.901992.775123.3161,207.5521,474.7951,941.4572,154.64249.896
Uitgestelde opbrengsten niet-vlottend -03,608.155-494.353-370.111-320.777002,698.952-205.0652,133.3461,805.2150001,312.151,368.375
Uitgestelde belastingverplichtingen niet-vlottend 0.1871.654494.353370.111320.777000.758205.0650.46110.14600066.6510.041
Overige niet-vlottende verplichtingen 3,438.10510.7033,402.6913,225.013,005.8662,818.2772,860.12522.1022,286.05683.09683.0981,829.1151,687.3721,628.4168.087258.272
Totaal niet-vlottende verplichtingen 3,687.1023,651.8273,406.1263,227.2983,044.0163,004.583,193.8423,208.7913,196.9573,209.6782,021.7753,036.6673,162.1673,569.8573,701.5281,876.584
Totaal passiva 38,337.59937,189.95135,998.55226,448.48326,992.00826,137.48419,890.34118,153.98515,502.01515,150.91712,135.54712,097.47315,920.42316,538.84912,255.66413,076.761
Eigen vermogen:
Preferente aandelen 000001.9280000000000
Gewone aandelen 2,200.7082,200.7082,200.7082,200.7082,200.7082,200.7082,200.7082,200.7082,200.7082,200.7082,200.7082,200.7082,200.7082,200.7082,200.7082,200.708
Ingehouden winsten 23,119.45520,436.67617,011.00514,779.04313,778.18712,271.66910,550.9289,181.5488,242.077,276.9616,691.2486,879.8796,862.2076,318.7484,963.0378,343.441
Overige gereserveerde algehele resultaten 1,572.675840.413718.601304.861276.645-1.928253.07966.9354,663.72221927200000
Overige totale aandeelhoudersvermogen 2,536.0982,528.5152,521.8882,510.722,507.0062,501.6072,484.8692,462.155-1,929.8992,461.622,463.2342,441.2632,194.5032,240.4912,186.9122,084.564
Totaal eigen vermogen van aandeelhouders 29,428.93626,006.31222,452.20219,795.33218,762.54616,973.98415,489.58413,911.34613,176.60112,158.28911,627.1911,521.8511,257.41810,759.9479,350.65712,628.713
Totaal eigen vermogen 29,451.33126,012.5322,455.56819,798.69818,765.91216,977.3515,492.9513,914.71213,179.96712,161.65511,630.55611,525.21611,260.78410,763.3139,354.02312,632.079
Totaal passiva en aandeelhoudersvermogen 67,788.9363,202.48158,454.1246,247.18145,757.9243,114.83435,383.29132,068.69728,681.98227,312.57223,766.10323,622.68927,181.20727,302.16221,609.68725,708.84