Mani, Inc.

TSE:7730.T

1848 (JPY) • At close November 5, 2024
Overzicht | Financiële gegevens

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

2024202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 21,64425,42722,72918,28717,175.43716,909.14812,065.227,467.6085,764.7185,015.8946,917.7236,319.0896,437.7025,011.5954,292.7863,136.4272,302.9532,669.8513,251.856
Kortetermijnbeleggingen 181,629645608201.8121.08832.3721.02841.1261,438.5211,437.984998.7511,500.731,694.99996.4331,399.575893.0561,493.2731,079.281
Liquide middelen en kortetermijnbeleggingen 21,66225,42722,72918,89517,175.43716,910.23612,065.227,468.6365,805.8446,454.4158,355.7077,317.847,938.4326,706.5855,289.2194,536.0023,196.0094,163.1244,331.137
Nettovorderingen 2,9062,3352,1521,9011,577.3622,300.6492,190.9872,691.7572,738.1643,186.9382,271.0881,978.5481,875.5581,860.1121,926.3591,748.8481,525.0471,549.4391,497.96
Voorraad 6,3616,4196,4796,4656,644.8775,883.7885,541.2355,768.045,221.8964,975.723,648.4133,449.8753,042.7792,775.0362,317.2022,286.6231,920.7991,920.2241,740.744
Overige vlottende activa 1,0138131,143370788.855337.78450.003362.299486.869456.849302.663247.184177.637231.766118.914116.376206.69209.129103.743
Totaal vlottende activa 31,94234,99432,50327,63126,186.53125,432.45320,247.44516,290.73214,252.77315,073.92214,577.87112,993.44713,034.40611,573.4999,651.6948,687.8496,848.5457,841.9167,673.584
Niet-vlottende activa:
Materiële vaste activa, netto 22,66917,45315,48613,23510,415.3210,557.96910,866.69811,155.3119,230.8348,866.7857,448.8327,186.7455,871.4835,698.2285,825.1625,654.0026,005.0264,935.4633,892.56
Goodwill 00073166.785255.763364.1941,106.2191,196.8761,685.64200003.68111.04318.40525.76850.893
Immateriële activa 01,2431,034822753.755665.996551.15441.534408.665111.55868.41778.66378.23142.22354.49453.45943.93138.58729.321
Goodwill en immateriële activa 1,3381,2431,034895920.54921.759915.3441,547.7531,605.5411,797.268.41778.66378.23142.22358.17564.50262.33664.35580.214
Langetermijnbeleggingen 517526517-441,495.092,503.4085,584.4765,519.6764,772.2743,741.8532,738.6471,756.466308.272411.9781,956.333822.3281,546.346474.623-153.545
Belastingvorderingen 593631547350255.976382.33357.74416.92211.24413.1045.8852.564111.16178.383147.776148.824182.146142.293101.69
Overige niet-vlottende activa 1181272362316.45115.55411.78311.72949.5891,447.7731,446.2711,001.5661,839.2472,011.7461,349.7821,781.7141,428.8832,029.7731,840.162
Totaal niet-vlottende activa 25,23519,98017,60715,05913,103.37714,381.02317,436.04518,251.39115,669.48215,866.71511,708.05210,026.0048,208.3938,342.5589,337.2288,471.379,224.7377,646.5075,761.081
Totaal activa 57,17754,97750,11342,69339,289.91139,813.47837,683.49434,542.12429,922.25830,940.6426,285.92523,019.45421,242.79919,916.05718,988.92217,159.21916,073.28215,488.42313,434.665
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 181159111156149.68182.854138.865239.697318.969252.543114.2999.041524.097498.819498.16509.688430.841475.04541.352
Kortlopende schulden 3941876944.57400000000000000
Belastingschulden 01,1861,1481,004309.1591,620.242719.999956.009404.826775.913767.791507.738731.506506.934774.995638.454634.258805.564702.231
Uitgestelde opbrengsten 1,3973,03101,8391,280.500000000000000
Overige kortlopende verplichtingen 2,2959873,586495453.5423,446.7832,616.8482,453.591,788.192,310.4752,113.181,523.5921,156.885924.1641,133.809918.4926.9061,123.1431,008.964
Totaal kortlopende verplichtingen 3,9124,2183,7842,5591,928.2963,629.6372,755.7132,693.2872,107.1592,563.0182,227.471,622.6331,680.9821,422.9831,631.9691,428.0881,357.7471,598.1831,550.316
Langlopende verplichtingen:
Langetermijnschulden 017305917.9100000000000000
Uitgestelde opbrengsten niet-vlottend 0-129-68-203-165.95200000000000000
Uitgestelde belastingverplichtingen niet-vlottend 012968203165.952275.449680.863741.752473.632671.614424.31594.2610000000
Overige niet-vlottende verplichtingen 933916886874776.977581.256700.079628.607559.981371.129263.442440.043413.701411.631409.046384.981434.392428.657491.677
Totaal niet-vlottende verplichtingen 933933916933794.887856.7051,380.9421,370.3591,033.6131,042.743687.757534.304413.701411.631409.046384.981434.392428.657491.677
Totaal passiva 4,8455,1514,7003,4922,723.1834,486.3424,136.6554,063.6463,140.7723,605.7612,915.2272,156.9372,094.6831,834.6142,041.0151,813.0691,792.1392,026.842,041.993
Eigen vermogen:
Preferente aandelen 0000000000000000000
Gewone aandelen 1,0871,066988988988.731988.731988.731988.731988.731988.731988.731988.731988.731988.731960.363921.594908.001892.753809.564
Ingehouden winsten 48,12445,48242,67839,75037,624.97535,983.88431,653.77229,031.21326,765.83724,709.32322,696.46820,796.29519,314.49417,831.85416,499.6114,880.12613,156.83911,551.3139,710.635
Overige gereserveerde algehele resultaten 5,1105,2893,83655242.137443.6342,992.512,546.3581,114.7433,1841,2336250000000
Overige totale aandeelhoudersvermogen -1,991-2,011-2,089-2,089-2,089.115-2,089.113-2,088.174-2,087.824-2,087.825-1,547.175-1,547.501-1,547.509-1,155.109-739.142-512.066-455.57216.3031,017.517872.473
Totaal eigen vermogen van aandeelhouders 52,33049,82645,41339,20136,566.72835,327.13633,546.83930,478.47826,781.48627,334.87923,370.69820,862.51719,148.11618,081.44316,947.90715,346.1514,281.14313,461.58311,392.672
Totaal eigen vermogen 52,33049,82645,41339,20136,566.72835,327.13633,546.83930,478.47826,781.48627,334.87923,370.69820,862.51719,148.11618,081.44316,947.90715,346.1514,281.14313,461.58311,392.672
Totaal passiva en aandeelhoudersvermogen 57,17754,97750,11342,69339,289.91139,813.47837,683.49434,542.12429,922.25830,940.6426,285.92523,019.45421,242.79919,916.05718,988.92217,159.21916,073.28215,488.42313,434.665