Nakanishi Inc.

TSE:7716.T

2639 (JPY) • At close November 8, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 25,829.93534,992.93935,984.3432,238.33728,432.23527,812.32723,826.04925,198.45520,244.28518,978.79615,701.29514,977.15112,166.47511,934.03310,397.6347,502.06710,547.2068,623.6126,159.1855,200.734
Kortetermijnbeleggingen 6,815.3781,186.4451,422.0991,433.277942.853324.9691,820.309604.6653,273.6721,455.0092,110.9791,663.8414,553.0861,590.7571,485.8041,078.1451,129.4581,161.5371,038.135143.567
Liquide middelen en kortetermijnbeleggingen 32,645.31336,179.38437,406.43933,671.61429,375.08828,137.29625,646.35825,803.1223,517.95720,433.80517,812.27416,640.99216,719.56113,524.7911,883.4388,580.21211,676.6649,785.1497,197.325,344.301
Nettovorderingen 8,376.0458,120.6919,689.9349,287.3689,188.4759,770.97510,276.9898,026.42510,440.3989,882.9779,573.8286,402.7384,026.4023,646.873,436.9053,526.0623,456.5433,014.3232,335.6212,136.019
Voorraad 23,984.30816,284.17911,733.16110,604.15210,538.1139,494.0929,211.6187,447.5566,848.8426,228.8476,615.4186,287.3275,677.1485,560.4175,368.5935,538.7865,477.4034,927.7584,158.1223,575.032
Overige vlottende activa 3,135.2931,965.3421,322.2780.405997.4711,854.3221,347.9751,084.6251,354.788857.178808.446609.148572.524383.449364.431322.777290.94172.722188.1661.955
Totaal vlottende activa 68,140.95962,549.59660,151.73454,343.53950,099.14749,256.68546,482.9442,361.72642,161.98537,402.80734,809.96629,940.20526,995.63523,115.52621,053.36717,967.83720,901.5517,899.95213,879.22311,117.307
Niet-vlottende activa:
Materiële vaste activa, netto 23,100.67717,628.50615,292.81714,890.68715,663.30115,934.51714,322.97910,086.9466,679.7295,933.8525,243.1824,601.0064,608.9874,207.6663,913.9133,939.8734,054.7113,466.7493,282.7122,679.542
Goodwill 21,934.8132,696.223108.442161.259200.031280.88643.17667.84892.52467.128457.56222.30159.54896.79589.805127.7820000
Immateriële activa 16,433.0121,376.9451,236.511944.222766.132703.904384.267302.85219.482231.223239.724309.152363.277438.745458.998386.899317.564325.955335.904250.07
Goodwill en immateriële activa 38,367.8254,073.1681,344.9531,105.481966.163984.79427.443370.698312.002698.351697.286331.453422.825535.54548.803514.681317.564325.955335.904250.07
Langetermijnbeleggingen 8,720.55313,565.98814,258.4529,908.8939,575.9986,769.6456,010.2857,861.4175,654.7229,831.5937,207.5525,620.151-483.9972,297.5162,756.4123,530.6856,112.4595,077.3544,680.9646,016.461
Belastingvorderingen 948.5491,923.315940.349145.102125.665325.1579.728114.71682.54108.874342.785307.919404.105331.218458.881524.96191.555132.95157.81315.149
Overige niet-vlottende activa 1,434.5282,413.8842,472.6122,077.0341,106.611156.5552,251.9821,111.8433,581.2881,924.7872,404.7032,068.8886,478.4414,463.654,301.0923,632.4293,412.8323,767.0213,092.0441,615.119
Totaal niet-vlottende activa 72,572.13239,604.86134,309.18328,127.19727,437.73824,170.66423,022.41719,545.6216,310.28118,497.45715,895.50812,929.41711,430.36111,835.5911,979.10112,142.62814,089.12112,770.02911,549.43410,876.341
Totaal activa 140,713.091102,154.4694,460.91982,470.74177,536.88973,427.35269,505.36161,907.34958,472.26955,900.26650,705.47742,869.62438,425.99634,951.11633,032.46830,110.46534,990.67230,669.98225,428.65721,993.648
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 2,153.9371,535.531,009.312806.981762.0961,029.199844.156927.758833.711620.739728.513362.755561.395482.607562.349391.577559.307400.555477.571277.82
Kortlopende schulden 11,488.635121.843100100100100100100100102.568113.625104.361108.99109.339115.0871,074.928227.526369.759450450
Belastingschulden 2,123.6342,764.7862,529.831,663.099475.4831,962.6391,501.521792.4731,474.3061,852.6961,708.2551,248.3591,489.1291,111.5281,430.914539.2661,546.3151,854.4721,036.3271,564.126
Uitgestelde opbrengsten 259.928362.3943,439.4262,048.099844.3831,962.6391,842.5211,110.4731,792.3062,129.6961,995.2551,248.3591,489.1291,111.5281,430.914539.2661,686.3151,994.8071,036.3271,564.126
Overige kortlopende verplichtingen 7,598.327,827.5336,045.8562,458.2932,408.0622,573.8483,063.9643,403.1912,435.3732,581.332,786.8661,907.2831,049.6761,133.0841,445.1651,040.8611,191.9731,081.835951.537815.845
Totaal kortlopende verplichtingen 21,500.829,847.310,594.5945,413.3734,114.5415,665.6865,850.6415,541.4225,161.395,434.3335,624.2593,622.7583,209.192,836.5583,553.5153,046.6323,665.1213,846.9562,915.4353,107.791
Langlopende verplichtingen:
Langetermijnschulden 179.37358.95700000003.73648.56403.82913.73528.3221,141.9991.78996.53800
Uitgestelde opbrengsten niet-vlottend 000000000308.282250.3860207.362281.749608.152574.6030000
Uitgestelde belastingverplichtingen niet-vlottend 5,083.849579.708412.271273.079405.866214.186261.01478.86180.56762.08355.64544.67541.9790.7331.1052.3660000
Overige niet-vlottende verplichtingen 748.054345.842534.584512.217517.215419.284429.769424.922402.996139.204140.805371.87140.973140.9820.0530.002585.328535.064509.124457.171
Totaal niet-vlottende verplichtingen 6,011.2731,284.507946.855785.296923.081633.47690.783503.783483.563513.305495.4416.545394.143437.199637.6321,718.961677.117631.602509.124457.171
Totaal passiva 27,512.09311,131.80711,541.4496,198.6695,037.6226,299.1566,541.4246,045.2055,644.9535,947.6386,119.6594,039.3033,603.3333,273.7574,191.1474,765.5934,342.2384,478.5583,424.5593,564.962
Eigen vermogen:
Preferente aandelen 000000003,583.97600000000000
Gewone aandelen 867.948867.948867.948867.948867.948867.948867.948867.948867.948867.948867.948867.948867.948867.948867.948867.948867.948867.948867.948867.948
Ingehouden winsten 112,346.91393,628.4984,765.33377,435.73973,666.85369,336.93564,095.05858,469.62554,760.30150,038.55444,363.40340,216.98136,475.43332,265.31728,068.50531,105.6427,856.64423,456.8719,364.86316,212.796
Overige gereserveerde algehele resultaten 7,425.7784,633.252,895.7232,379.2592,392.9891,352.3822,453.018976.659-3,583.9762,4591,588000000000
Overige totale aandeelhoudersvermogen -7,449.946-8,113.462-5,613.32-4,413.229-4,430.963-4,430.885-4,452.087-4,452.088-2,800.933-3,469.736-2,487.118-2,407.387-2,635.902-1,530.82-221.323-6,645.661,753.1471,719.3861,646.5061,347.942
Totaal eigen vermogen van aandeelhouders 113,190.69391,016.22682,915.68476,269.71772,496.82767,126.3862,963.93755,862.14452,827.31649,895.76644,332.23338,677.54234,707.47931,602.44528,715.1325,327.92830,477.73926,044.20421,879.31718,428.686
Totaal eigen vermogen 113,200.99691,022.65382,919.4776,272.07272,499.26767,128.19662,963.93755,862.14452,827.31649,952.62844,585.81838,830.32134,822.66331,677.35928,841.32125,344.87230,648.43426,191.42422,004.09818,428.686
Totaal passiva en aandeelhoudersvermogen 140,713.089102,154.4694,460.91982,470.74177,536.88973,427.35269,505.36161,907.34958,472.26955,900.26650,705.47742,869.62438,425.99634,951.11633,032.46830,110.46534,990.67230,669.98225,428.65721,993.648