Topcon Corporation

TSE:7732.T

1517 (JPY) • At close September 20, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 19,62317,66020,12420,81516,13413,89414,31615,57016,18616,50715,18717,21313,77513,92717,37315,10516,463.589,068.7068,991.31511,414.533
Kortetermijnbeleggingen 2,951-4,221-1,280-1,154-1,095-1,115-204866687-1,378-2,831-800-1,327-1,452-487-1,051-632.032-637.166-1,069.0823,599.992
Liquide middelen en kortetermijnbeleggingen 19,62317,66020,12420,81516,13413,89414,31615,57016,18616,50715,18717,21313,77513,92717,37315,10516,463.589,068.7068,991.31515,014.525
Nettovorderingen 46,34447,45445,86442,02840,63145,60950,58846,60048,78349,31747,80742,52840,65540,06140,10733,06542,839.78635,938.86133,463.64929,141.221
Voorraad 57,41151,50839,62432,40535,76131,14031,42732,34736,00130,62729,42026,36321,59725,14422,76522,49726,194.50220,187.30715,873.68314,823.902
Overige vlottende activa 11,1736,4528,4296,6946,0025,5114,8254,5726,6934,4953,9773,0062,1802,4392,9024,4633,666.4563,015.562979.891179.065
Totaal vlottende activa 134,551123,074114,041101,94298,52896,154101,15699,089107,663100,94696,39189,11078,20781,57183,14775,13089,164.32468,210.43659,308.53859,158.713
Niet-vlottende activa:
Materiële vaste activa, netto 40,24232,84824,86322,52020,73816,95015,90015,12913,26512,15911,18811,27712,85013,45515,54217,66718,532.61814,076.57513,975.98714,310.305
Goodwill 15,7648,9949,7419,30710,85613,16214,77114,55317,5018,5558,3199,65010,04811,26113,14014,79316,891.3954,155.373,513.2892,231.027
Immateriële activa 25,53121,33420,17318,64817,82719,25320,69321,48221,13512,5269,8139,2428,2965,9342,3352,2533,420.6082,170.988944.797957.226
Goodwill en immateriële activa 41,29530,32829,91427,95528,68332,41535,46436,03538,63621,08118,13218,89218,34417,19515,47517,04620,312.0036,326.3584,458.0863,188.253
Langetermijnbeleggingen 6,4837,4464,9915,5613,3965,0765,2353,6762,8995,1985,9954,1454,3326,1385,5944,3485,794.0858,923.3549,282.064-877.814
Belastingvorderingen 19,01013,84910,8219,8739,6799,2722,0113,0282,8132,3062,6563,1604,5613,8364,0935,0074,234.9561,492.3331,253.6093,051.148
Overige niet-vlottende activa 5,4483413523586934189821,3211,2641,4881,4522,9172,4832,6211,6885041,324.641830.1531,101.3344,928.379
Totaal niet-vlottende activa 112,47884,81270,94166,26763,18964,13159,59259,18958,87742,23239,42340,39142,57043,24542,39244,57250,198.30331,648.77330,071.0824,600.271
Totaal activa 247,029207,890184,983168,210161,721160,288160,751158,280166,542143,181135,818129,503120,777124,816125,539119,702139,362.62799,859.20989,379.61883,758.984
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 15,39416,38915,68712,88012,98111,99012,38410,35311,06612,03411,1079,90312,20613,53613,6149,09915,771.84513,086.36911,279.35510,449.784
Kortlopende schulden 30,46023,48217,00113,88738,09114,20418,44616,98324,51330,10525,04431,62733,62528,22322,86918,62033,572.0513,962.3797,750.0913,214.268
Belastingschulden 3,1311,4862,1521,0051,1591,4201,5199911,2042,5182,3781,1726271,1941,2275642,497.3692,695.8292,414.4762,036.854
Uitgestelde opbrengsten 3,13115,68918,60914,38910,93812,31810,4338,9388,93011,22610,0198,1556,4507,1857,8207,5619,498.3718,603.1067,712.4912,084.821
Overige kortlopende verplichtingen 24,13811,72210,0977,9066,3565,8486,6065,8795,1194,4293,8404,9773,0942,9662,5662,7832,241.1291,890.4552,176.2075,826.697
Totaal kortlopende verplichtingen 73,12367,28261,39449,06268,36644,36047,86942,15349,62857,79450,01054,66255,37551,91046,86938,06361,083.39537,542.30928,918.14331,575.57
Langlopende verplichtingen:
Langetermijnschulden 41,55430,00126,35939,09919,28034,35034,83941,62645,92713,90822,68919,00225,25627,07728,63230,9859,557.807106.3754,6008,713.531
Uitgestelde opbrengsten niet-vlottend 7,5444,5124,3924,6335,3076,4485,9316,7866,8525,5297,3315,3665,8326,9967,1207,7898,342.7736,575.3077,260.5087,566.74
Uitgestelde belastingverplichtingen niet-vlottend 5,6464,3534,2473,0492,3882,6222,9202,8072,311202943353584667674.805384.018397.034263.725
Overige niet-vlottende verplichtingen 8,8594,7033,4431,6801,7221,3608561,5966811,3211,4321,4481,2471,242645711565.16669.76834.38423.234
Totaal niet-vlottende verplichtingen 63,60343,56938,44148,46128,69744,78044,54652,81555,77120,77831,48125,82032,33835,66836,98140,15219,140.5517,135.46812,291.92616,567.23
Totaal passiva 136,726110,85199,83597,52397,06389,14092,41594,968105,39978,57281,49180,48287,71387,57883,85078,21580,223.94644,677.77741,210.06948,142.8
Eigen vermogen:
Preferente aandelen 086,92879,81271,19969,88972,9813,6075,1284,25501,7352,00100000000
Gewone aandelen 16,83716,78016,70616,69716,68016,65816,63816,63816,63816,63816,63816,63810,29710,29710,29710,29710,297.96910,297.96910,297.96910,297.969
Ingehouden winsten 53,15152,63545,67037,07435,74937,59533,46429,34427,06625,03017,80412,84312,71716,79918,46118,71731,542.40925,759.6919,065.9812,972.638
Overige gereserveerde algehele resultaten 20,8068,4453,745-1,781-6,730-3,896-3,607-5,128-4,255901-1,735-2,00100000000
Overige totale aandeelhoudersvermogen 17,570-69,415-62,376-53,771-52,429-54,25315,10113,73414,60720,89019,15618,9929,6539,81311,73310,78714,241.78518,632.09218,416.74112,142.917
Totaal eigen vermogen van aandeelhouders 108,36495,37383,55769,41863,15969,08565,20359,71658,31163,45953,59848,47332,66736,90940,49139,80156,082.16354,689.75147,780.6935,413.524
Totaal eigen vermogen 110,29897,03985,14870,68764,65871,14868,33663,31261,14364,60954,32749,02133,06437,23841,68941,48759,138.68155,181.43248,169.54935,616.184
Totaal passiva en aandeelhoudersvermogen 247,029207,890184,983168,210161,721160,288160,751158,280166,542143,181135,818129,503120,777124,816125,539119,702139,362.62799,859.20989,379.61883,758.984