TOP CULTURE Co.,Ltd.

TSE:7640.T

145 (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 1,570.7081,583.6081,324.6172,222.4141,254.8883,447.5142,169.2711,484.1073,412.947637.075919.312689.1411,095.8091,202.3134,072.0651,231.439
Kortetermijnbeleggingen 1010101010101010-443.51-778.427-1,902.768-1,870.465-2,078.314-1,745.566-1,308.19-398.298
Liquide middelen en kortetermijnbeleggingen 1,570.7081,583.6081,324.6172,222.4141,254.8883,447.5142,169.2711,484.1073,412.947637.075919.312689.1411,095.8091,202.3134,072.0651,231.439
Nettovorderingen 768.644906.75689.535745.3781,177.538838.2911,085.453834.019883.714880.48792.5631,005.315929.501945.6911,067.734811.028
Voorraad 7,268.1677,311.587,596.2057,693.2938,709.1539,106.1098,078.6367,953.6899,039.4699,185.4498,691.6378,082.9997,260.7926,810.9386,264.3467,180.521
Overige vlottende activa 109.11370.45123.51169.30423.61724.81943.76628.5533.91867.87355.16570.83482.85711.70245.378-0.215
Totaal vlottende activa 9,716.6329,872.3889,733.86710,830.38911,165.19613,416.73311,377.12610,300.36513,370.04810,770.87710,458.6779,848.2899,368.9598,970.64411,449.5239,222.773
Niet-vlottende activa:
Materiële vaste activa, netto 7,117.4057,915.9078,274.4368,994.5599,851.85610,413.3418,554.7589,576.889,499.8028,255.0177,947.9677,607.5236,735.6396,599.176,551.543,083.032
Goodwill 139.38500000000067.401139.605215.545291.48532.75936.615
Immateriële activa 17.85443.76845.82650.74452.57656.07664.13862.74649.05149.79644.25151.63452.44752.35251.70253.63
Goodwill en immateriële activa 157.23943.76845.82650.74452.57656.07664.13862.74649.05149.796111.652191.239267.992343.83784.46190.245
Langetermijnbeleggingen 68.354125.4322.14310.85711.12610.5391.055579.682747.876890.4741,996.1351,955.9042,171.4191,851.961,423.031523.837
Belastingvorderingen -68.354-125.43-22.143-10.857-11.126-10.5363.428432.797474.662530.658245.322211.995155.98472.23454.83655.21
Overige niet-vlottende activa 245.557345.972271.782306.822458.803501.423,462.973,575.7823,692.3053,905.4343,980.3593,987.8954,212.9284,511.254,148.584,040.227
Totaal niet-vlottende activa 7,520.2018,305.6478,592.0449,352.12510,363.23510,970.83712,836.34914,227.88714,463.69613,631.37914,281.43513,954.55613,543.96213,378.45112,262.4487,792.551
Totaal activa 17,236.83518,178.03818,325.91420,182.51621,528.43424,387.57324,213.47624,528.25227,833.74424,402.25624,740.11223,802.84522,912.92122,349.09523,711.97117,015.324
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 2,688.3322,661.8822,583.3833,506.6582,877.9383,303.63,911.1474,223.555,823.534,133.5984,343.0233,737.593,435.4713,019.8364,609.833,273.476
Kortlopende schulden 5,479.9135,455.8284,777.1983,857.0715,878.5636,666.0414,979.193,200.6764,299.9243,509.6984,228.4923,881.0743,252.7563,371.2993,208.2771,649.83
Belastingschulden 49.3961.44836.81878.04687.64263.25381.941118.649298.96540.3857.648152.712363.729205.844204.447120.124
Uitgestelde opbrengsten 365.0570561.727679.201565.724664.143146.941181.649358.96585.38127.648222.712456.729295.844267.447182.724
Overige kortlopende verplichtingen 573.327718.67236.75417.057334.165254.838266.626415.219402.303952.0031,032.1191,162.1671,183.793954.787363.443310.073
Totaal kortlopende verplichtingen 9,106.6298,836.388,159.0588,459.9879,656.3910,888.6229,303.9048,021.09410,884.7228,680.6799,731.2829,003.5438,328.7497,641.7668,448.9975,416.103
Langlopende verplichtingen:
Langetermijnschulden 5,116.5445,436.8335,508.0637,151.9727,645.3579,467.9479,455.5318,477.3649,063.1698,115.4226,433.0866,216.5845,839.4686,603.7417,539.0554,213.89
Uitgestelde opbrengsten niet-vlottend 1.2770.9680.7740.1260.5791.7671.3320.6631.6320000000
Uitgestelde belastingverplichtingen niet-vlottend 287.8570658.566725.196748.099719.778766.434711.044725.1170000000
Overige niet-vlottende verplichtingen 214.294501.905190.302198.503204.536172.76974.42290.46111.938779.8591,043.5141,045.8411,137.684681.496571.969401.569
Totaal niet-vlottende verplichtingen 5,619.9725,939.7066,357.7058,075.7978,598.57110,362.26110,297.7199,279.5319,901.8568,895.2817,476.67,262.4256,977.1527,285.2378,111.0244,615.459
Totaal passiva 14,726.60114,776.08614,516.76316,535.78418,254.96121,250.88319,601.62317,300.62520,786.57817,575.9617,207.88216,265.96815,305.90114,927.00316,560.02110,031.562
Eigen vermogen:
Preferente aandelen 2.16.9740000013.21900000000
Gewone aandelen 2,342.3782,007.372,007.372,007.372,007.372,007.372,007.372,007.372,007.372,007.372,007.372,007.372,007.372,007.372,007.372,007.37
Ingehouden winsten -1,643.97-267.465-2,367.675-427.926-799.236-935.201539.7843,177.5262,980.5972,772.7153,475.4963,486.5423,557.9123,370.483,095.1322,927.673
Overige gereserveerde algehele resultaten 5.814-6.97487.2147.3926.7658.305-13.2193222400000
Overige totale aandeelhoudersvermogen 1,773.8021,632.4274,133.1142,033.1142,033.1142,033.572,033.6642,020.4442,032.3191,998.4411,997.7662,017.1122,017.3872,024.52,027.3622,026.821
Totaal eigen vermogen van aandeelhouders 2,480.1243,372.3323,780.8093,619.7723,248.643,112.5044,589.1237,205.347,023.2866,800.5267,504.6327,511.0247,582.6697,402.357,129.8646,961.864
Totaal eigen vermogen 2,510.2343,401.9523,809.1513,646.7323,273.4733,136.694,611.8537,227.6277,047.1666,826.2967,532.237,536.8777,607.027,422.0927,151.956,983.762
Totaal passiva en aandeelhoudersvermogen 17,236.83518,178.03818,325.91420,182.51621,528.43424,387.57324,213.47624,528.25227,833.74424,402.25624,740.11223,802.84522,912.92122,349.09523,711.97117,015.324