Star Micronics Co., Ltd.

TSE:7718.T

1973 (JPY) • At close November 5, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004
Operationele Activiteiten:
Nettowinst 8,175.49114,211.5557,963.9842,887.6925,332.2538,353.5226,359.3573,831.0685,351.7556,082.432,645.8853,720.2843,228.618360.23-6,649.6447,560.58114,381.37310,854.4258,040.4745,654.655
Afschrijvingen & Amortisatie 2,710.2042,413.912,126.8192,255.1932,418.8262,345.1842,198.4522,167.0012,274.4571,924.0551,885.1431,742.7011,606.7671,762.092,884.2423,324.9953,212.3642,919.9162,790.9882,704.14
Uitgestelde Inkomstenbelasting 00000000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000000
Verandering in Werkkapitaal -1,494.684-7,586.776376.8684,006.986-1,353.559-3,973.297395.639455.555-3,221.022-2,798.285-1,504.968-1,599.18-1,423.7491,594.8357,138.594674.496-3,947.969409.576-3,332.625-295.278
Vorderingen 6,389.8-1,728.331-2,474.566-217.5664,134.438-2,521.9640-786.972215.042-1,479.596-1,1961,546-9610000000
Voorraden 4,710.822-5,879.548-3,044.855,832.294-2,396.104-1,152.614-652.736945.753-1,652.01-2,788.299-41.55458.372-2,282.045-1,212.7956,619.538-2,430.933-3,207.415-741.641-198.7411,705.738
Crediteuren -11,762.165-56.7526,008.946-1,463.085-3,162.631,067.3890384.368-1,296.2891,648.7840000000000
Overig Werkkapitaal -833.14177.855-112.662-144.65770.737-1,366.1081,048.375-490.198-1,569.012-9.986-1,463.414-1,657.552858.2962,807.63519.0563,105.429-740.5541,151.217-3,133.884-2,001.016
Overige Niet-Contante Posten -2,264.381-1,515.401-866.747-2,307.094-1,273.0996,661.507-30.123-1,114.989-1,298.684-881.943-429.509-3,380.6541,054.836-196.7331,395.768-5,408.653-2,979.329-3,472.819-2,904.442-1,172.375
Kasstroom uit Operationele Activiteiten 7,126.637,523.2889,600.9246,842.7775,124.4216,089.3598,923.3255,338.6353,106.5064,326.2572,596.551483.1514,466.4723,520.4224,768.966,151.41910,666.43910,711.0984,594.3956,891.142
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -2,321.006-2,170.723-1,051.912-1,954.983-3,575.099-3,408.204-3,476.627-983.769-2,119.171-1,386.264-2,280.789-3,265.44-1,266.951-980.931-1,664-3,080.906-4,425.99-2,747.64-3,387.601-2,149.93
Netto Overnames -313.684148.00623.7671,092.54884.097623.247011.91226.36803.914620.82208.349169.76574.3124.408181.41678.289157.945152.336
Aankoop van Beleggingen -284.88-700.016-959.49-806.13-862.838-1,079.752-2,968.281-471.865-390.243-2,933.896-1,250.238-916.797-304.991-4.725-5.178-1,224.623-3,681.488-551.778-6.748-303.889
Verkoop/verval van Beleggingen 1,134.631430.3732,867.743600712.4431,063.7961,458.2982,819.0441,883.4161,967.7951,120.11,768.573497.43412.389202.353,192.928300217.98140.698921.848
Overige Investeringsactiviteiten -253.85-341.157-139.627-184.018-308.731-148.962-26.108-562.246-473.932-148.278-48.297-114.961473.026-714.15198.419-325.973-446.49-165.686-523.047-636.226
Kasstroom uit Investeringsactiviteiten -2,038.789-2,633.517740.481-1,252.591-3,150.128-2,949.876-5,012.718813.076-1,073.562-2,500.643-2,455.31-1,907.805-393.133-1,517.652-1,194.109-1,314.166-8,072.552-3,168.835-3,618.753-2,015.861
Financieringsactiviteiten:
Schuldaflossingen -105.8560-2,760.798-44.261-37.38-26.7150-8,345.089-22.203-166.713-69.45600000-4.7420-11.156-1,002.963
Uitgifte van Gewone Aandelen 60.877119.6714.27620.66384.32443.056117.64572.27589.279114.55622.2530013.7340.08423.66293.757139.281203.924-407.365
Terugkoop van Gewone Aandelen -2,002.17-1,960.299-2,268.912-0.233-1,001.687-1,802.29-1,147.538-6,389.313-1.607-0.955-0.659-0.491-759.605-839.497-2,781.842-7,860.35-9.363-74.396-96.296-48.431
Uitgekeerde Dividenden -2,627.762-2,251.151-2,222.866-1,977.369-1,974.905-1,974.85-1,821.063-1,889.408-2,025.56-1,515.398-1,346.222-1,176.995-1,040.509-974.408-1,194.823-3,218.79-2,357.648-1,390.264-906.473-693.112
Overige Financieringsactiviteiten -349.175-532.223-320.39-134.952-85.184-5.763-74.81116,690.176-242.076-0.001-0.001-24.208-292.212-12.889-0.0011,978.861126.359-5.241-56.3552.609
Kasstroom uit Financieringsactiviteiten -5,054.195-4,624.003-7,558.69-2,136.152-3,014.832-3,766.562-2,925.767138.641-2,179.964-1,568.511-1,394.085-1,201.694-2,092.326-1,813.06-3,976.582-9,076.617-2,151.637-1,330.62-866.356-2,149.262
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 1,836.4422,099.581,386.909-231.642-5.31-572.4494.595-682.301-296.577975.6532,135.5421,088.643-462.368-1,345.24163.599-2,974.08185.791560.54654.73755.587
Netto Kasstroomverandering 1,870.0872,365.3474,169.6253,222.392-1,045.85401.7011,479.4345,608.05-443.5981,232.756882.699-1,537.7061,518.643-1,155.531-238.131-7,213.446628.0426,772.183884.8822,820.771
Kaspositie aan het Einde van de Periode 31,434.4829,564.39227,199.04523,029.4219,807.02820,879.67921,957.41120,477.97714,869.92715,313.52514,080.76913,198.0714,735.77613,217.13314,372.66414,610.79521,824.24121,196.19914,424.01613,539.134