Asahi Intecc Co., Ltd.

TSE:7747.T

2571 (JPY) • At close September 19, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 35,65834,88432,32121,35818,554.00718,777.919,159.49219,992.65112,935.67313,344.5539,356.13910,004.0195,523.6845,422.3495,716.3124,242.512,822.2293,140.074,243.5456,270.682
Kortetermijnbeleggingen 3,0002,000-2,730-1,957-1,333.182-1,436.6251,6650002,000400400750000000
Liquide middelen en kortetermijnbeleggingen 38,65836,88432,32121,35818,554.00718,777.919,159.49219,992.65112,935.67313,344.55311,356.13910,404.0195,923.6846,172.3495,716.3124,242.512,822.2293,140.074,243.5456,270.682
Nettovorderingen 19,08414,67813,98710,1107,403.5758,727.3888,783.878,418.227,366.4427,520.6826,538.1674,825.4483,766.7453,427.1353,357.3263,124.5332,606.3783,255.1522,103.7042,079.381
Voorraad 29,34331,35726,95519,90617,498.01114,065.91911,655.4248,989.1478,294.7578,826.5246,898.5826,065.6414,332.493,459.7982,620.7373,229.1423,520.9393,129.5681,870.7971,408.294
Overige vlottende activa 7,6117,3426,3469,7584,337.9054,252.8413,083.9672,318.2021,755.1211,732.0371,615.9941,048.4571,585.975628.314559.335521.4854.181752.317884.646434.746
Totaal vlottende activa 94,69690,26179,60961,13247,793.49845,824.04842,682.75339,718.2230,351.99331,423.79626,408.88222,343.56515,608.89413,687.59612,253.7111,117.5859,803.72710,277.1079,102.69210,193.103
Niet-vlottende activa:
Materiële vaste activa, netto 60,12953,68345,56140,79035,386.57129,445.99624,213.35218,996.22315,906.17915,917.35913,264.32411,487.4078,774.5718,090.5997,295.8857,171.8797,141.387,699.6855,853.7234,066.896
Goodwill 6,9107,7378,2002,5492,699.8752,849.82501.0643.1935.32132.61885.082125.839176.175226.51100000
Immateriële activa 010,63211,1583,7152,566.1661,686.322751.153652.824601.899551.353443.33343.47319.45339.86223.916178.87149.095130.03143.725155.739
Goodwill en immateriële activa 6,91018,36919,3586,2645,266.0414,536.147751.153653.888605.092556.674475.948428.552445.289516.035450.427178.87149.095130.03143.725155.739
Langetermijnbeleggingen 15,4059,4009,9876,8424,9864,3463,594.9522,552.8791,548.9261,538.135-473.502771.716341.804135.28914.0621,133.2141,455.2671,795.937541.37344.33
Belastingvorderingen 989929611396297.202206.39559.7742.97546.638171.51474.71934.60615.6664.7572.5252.0521.0631.183122.50287.076
Overige niet-vlottende activa 13,4850-1-10.1560.3621,331.3711,282.5611,827.7261,442.1883,216.8731,521.5241,480.6831,845.7351,094.7891,051.861,242.7951,190.0541,078.058675.796
Totaal niet-vlottende activa 96,91882,38175,51654,29145,935.9738,534.929,950.59823,528.52619,934.56119,625.8716,558.36214,243.80511,058.01310,592.4069,757.6889,537.8759,989.610,816.8897,739.3815,029.837
Totaal activa 191,614172,644155,127115,42793,729.47184,358.94972,633.35363,246.74750,286.55651,049.66842,967.24636,587.37126,666.90724,280.00222,011.39820,655.4619,793.32721,093.99616,842.07315,222.94
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 2,9142,8563,1801,6941,711.9541,992.5431,513.1861,540.771,387.1051,559.9831,325.846441.4341,969.7581,288.1711,211.259943.716946.82301.309472.26228.985
Kortlopende schulden 5,61510,3615,8154,5932,987.9753,155.1832,891.3694,768.113,092.1213,945.1513,845.5793,808.9193,566.6622,599.9372,989.8622,735.1762,005.5861,958.3141,384.9991,512.948
Belastingschulden 2,6832,3092,9271,8112,044.2051,580.662,068.7581,472.4521,011.5141,550.424900.271,390.981207.212383.492269.643352.524117.546316.916334.601388.087
Uitgestelde opbrengsten 2,6836,1366,0244,7964,015.2274,197.0522,068.7583,456.5013,004.323,203.8292,388.2292,599.394431.965577.731446.284509.899194.3351,133.5011,073.991963.299
Overige kortlopende verplichtingen 18,2826,9635,7423,5894,071.0593,276.9545,919.6582,519.8761,893.9051,886.8731,922.985955.201790.273637.385598.407435.406420.3715.826511.367371.115
Totaal kortlopende verplichtingen 29,49426,31620,76114,67212,786.21512,621.73212,392.97112,285.2579,377.45110,595.8369,482.6397,804.9486,758.6585,103.2245,245.8124,624.1973,567.0414,108.953,442.6173,076.347
Langlopende verplichtingen:
Langetermijnschulden 1,0873,8926,3643,4504,925.6662,862.5223,309.6883,477.7856,361.0955,737.2976,042.1735,520.4794,679.3963,209.832,714.8583,149.7983,224.5273,278.4131,479.1541,237.942
Uitgestelde opbrengsten niet-vlottend 02,5302,0531,8661,824.6691,525.6141,198.8911,122.3831,557.1751,162.4231,043.237871.853836.454805.788652.749629.971626.917575.10500
Uitgestelde belastingverplichtingen niet-vlottend 4,6433,9213,7031,4471,426.0381,480.651,692.2491,183.631672.957879.092537.541455.023313.52250.05130.83459.84136.261143.17900
Overige niet-vlottende verplichtingen 4,4261,6871,1191,055791.688417.89439.924518.63454.20582.402125.01810.34112.55912.61913.47133.2532.17110.608568.777573.533
Totaal niet-vlottende verplichtingen 10,15612,03013,2397,8188,968.0616,286.6766,640.7526,302.4338,645.4327,861.2147,747.9696,857.6965,841.9294,278.2873,511.9123,872.863,919.8764,007.3052,047.9311,811.475
Totaal passiva 39,65038,34634,00022,49021,754.27618,908.40819,033.72318,587.6918,022.88318,457.0517,230.60814,662.64412,600.5879,381.5118,757.7248,497.0577,486.9178,116.2555,490.5484,887.822
Eigen vermogen:
Preferente aandelen 0119,447109,59889,3120000000000000000
Gewone aandelen 18,86018,86018,86012,6476,403.3116,327.8384,825.0284,685.1834,370.044,364.2454,356.9184,214.5454,173.9944,167.954,167.954,167.954,167.954,167.954,167.954,167.95
Ingehouden winsten 90,74278,86769,01861,15553,466.06347,134.63138,408.0130,326.24424,498.16419,048.09214,326.21510,717.1348,020.1067,592.6925,827.3584,456.3724,197.0644,001.083,119.6152,304.211
Overige gereserveerde algehele resultaten 19,84012,8649,8593,6002,793.2862,722.2362,626.1752,046.815292.4743,0769571,03800000000
Overige totale aandeelhoudersvermogen 21,775-97,727-87,878-73,8029,288.6989,242.8977,740.4177,600.8153,102.9956,104.2816,096.5055,955.0481,852.373,127.2013,254.0163,534.0813,941.3964,808.7114,063.963,862.957
Totaal eigen vermogen van aandeelhouders 151,217132,311119,45792,91271,951.35865,427.60253,599.6344,659.05732,263.67332,592.61825,736.63821,924.72714,046.4714,887.84313,249.32412,158.40312,306.4112,977.74111,351.52510,335.118
Totaal eigen vermogen 151,961134,298121,12792,93771,975.19565,450.54153,599.6344,659.05732,263.67332,592.61825,736.63821,924.72714,066.3214,898.49113,253.67412,158.40312,306.4112,977.74111,351.52510,335.118
Totaal passiva en aandeelhoudersvermogen 191,614172,644155,127115,42793,729.47184,358.94972,633.35363,246.74750,286.55651,049.66842,967.24636,587.37126,666.90724,280.00222,011.39820,655.4619,793.32721,093.99616,842.07315,222.94