SHOBIDO Corporation

TSE:7819.T

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

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

2023202220212020201920182017201620152014201320122011201020092008
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 5,259.4255,541.7495,014.5764,652.8135,253.6524,943.2734,599.225,007.4063,629.4653,324.1685,003.4782,553.7233,418.423,233.5013,281.7841,692.702
Kortetermijnbeleggingen 1,313.5511,308.4615002002,283.2391,665.1871,565.2121,406.002599.571-474.21-750.873-0.531-1.031-1.53100
Liquide middelen en kortetermijnbeleggingen 5,259.4255,541.7495,514.5764,852.8135,253.6524,943.2734,599.225,007.4064,229.0363,324.1685,003.4782,553.7233,418.423,233.5013,281.7841,692.702
Nettovorderingen 4,461.9514,195.9243,134.7942,481.8573,0983,325.7573,214.0132,924.0333,316.2193,561.4322,596.8882,646.0922,690.9082,575.8262,339.4032,533.749
Voorraad 1,944.91,552.9591,291.8951,450.6211,591.6741,508.1181,816.9441,548.5522,035.4731,594.9641,635.4581,127.557913.004995.69860.401833.504
Overige vlottende activa 337.264193.028237.806814.002239.557178.265283.463295.021345.145338.769685.30320.0131.7270.9781.330.576
Totaal vlottende activa 12,003.5411,483.6610,179.0719,599.29310,182.8839,955.4139,913.649,775.0129,925.8738,819.3339,921.1276,347.3857,024.0596,805.9956,482.9185,060.531
Niet-vlottende activa:
Materiële vaste activa, netto 2,346.4632,459.9462,883.3482,837.8621,724.0391,780.0471,799.4741,827.9261,837.0211,903.321,956.6982,300.1161,072.0811,076.9551,061.841,041.706
Goodwill 201.663230.472259.28100.146084.933230.533376.132521.732667.33200000
Immateriële activa 26.82231.539.9250.7736067.14682.412110.844170.457229.946293.47200000
Goodwill en immateriële activa 228.485261.972299.20150.77360.14667.146167.345341.377546.589751.678960.804152.494150.66897.16541.12320.414
Langetermijnbeleggingen 225.933188.867-297.12101.725514.36642.214589.4751,209.256812.3111,8448881,685.9112,156.9022,173.02400
Belastingvorderingen -225.933-188.867666.561450.09-514.36-642.214-589.475-1,209.2561,311.855-1,844-88818.69622.49323.85700
Overige niet-vlottende activa 618.92552.37240.983216.228881.7281,021.075944.2931,522.588539.1981,844.795888.463224.222314.376224.9012,484.1152,732.283
Totaal niet-vlottende activa 3,193.8683,274.2883,792.9733,656.6782,665.9132,868.2682,911.1123,691.8915,046.9744,499.7933,805.9654,381.4393,716.523,595.9023,587.0783,794.403
Totaal activa 15,197.40914,757.9513,972.04613,255.97312,848.79912,823.68212,824.75213,466.90414,972.84713,319.12613,727.09210,728.82410,740.57910,401.89710,069.9968,854.934
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,824.2332,043.6871,813.2391,694.3182,031.5641,918.6622,212.3162,235.5882,084.7742,134.3442,092.1881,803.6331,850.436775.762768.635742.622
Kortlopende schulden 2,5241,9122,058.51,8111,556.6041,825.21,889.0982,027.9472,758.6081,625.371,364.7321,148.9611,106.4032,396.1431,669.5781,892.51
Belastingschulden 398.795201.1848.6487.273105.20321.563157.12835.432243.53460.549336.6653.588268.076391.255255.01310.69
Uitgestelde opbrengsten 568.1979.882217.775174.445302.40321.563368.828262.732450.334245.549506.16413.095951.073891.332499.302528.548
Overige kortlopende verplichtingen 899.6471,065.166664.755401.161423.221730.435463.411652.062481.095483.966971.45715.11510.8647.62546.18744.108
Totaal kortlopende verplichtingen 5,816.0775,030.7354,754.2694,080.9244,313.7924,495.864,933.6535,178.3295,774.8114,489.2294,934.5373,380.8043,918.7764,070.8622,983.7023,207.788
Langlopende verplichtingen:
Langetermijnschulden 2,703.53,267.53,7223,820.53,149.52,846.1042,510.3043,136.6253,679.5683,230.1642,922.3342,017.2121,760.6231,559.72,560.91,911.92
Uitgestelde opbrengsten niet-vlottend 199.2250-26.56900000000000524.293515.412
Uitgestelde belastingverplichtingen niet-vlottend 158.864248.47126.5690000000000020.62815.012
Overige niet-vlottende verplichtingen 19.599231.106256.499212.333154.755222.938199.4193.359185.068203.908534.465622.264619.671613.264112.151116.297
Totaal niet-vlottende verplichtingen 3,081.1883,747.0773,978.4994,032.8333,304.2553,069.0422,709.7043,329.9843,864.6363,434.0723,456.7992,639.4762,380.2942,172.9643,217.9722,558.641
Totaal passiva 8,897.2658,777.8128,732.7688,113.7577,618.0477,564.9027,643.3578,508.3139,639.4477,923.3018,391.3366,020.286,299.076,243.8266,201.6745,766.429
Eigen vermogen:
Preferente aandelen 0000000000000000
Gewone aandelen 545.5545.5545.5545.5545.5545.5545.5545.5545.5545.5545.5545.5545.5545.5545.5327
Ingehouden winsten 4,892.5694,549.2314,169.4774,095.3354,168.5724,128.2334,166.6534,109.3074,061.5124,059.7124,161.8673,982.0483,868.2563,525.2463,089.4292,735.646
Overige gereserveerde algehele resultaten 585.272613.178241.211177.603199.729320.805204.99939.52246252636500000
Overige totale aandeelhoudersvermogen 183.243183.242183.263264.227264.243264.242264.243264.262264.388264.613263.389180.99627.75387.325233.39325.859
Totaal eigen vermogen van aandeelhouders 6,206.5845,891.1515,139.4515,082.6655,178.0445,258.785,181.3954,958.5915,333.45,395.8255,335.7564,708.5444,441.5094,158.0713,868.3223,088.505
Totaal eigen vermogen 6,300.1445,980.1385,239.2785,142.2165,230.7525,258.785,181.3954,958.5915,333.45,395.8255,335.7564,708.5444,441.5094,158.0713,868.3223,088.505
Totaal passiva en aandeelhoudersvermogen 15,197.40914,757.9513,972.04613,255.97312,848.79912,823.68212,824.75213,466.90414,972.84713,319.12613,727.09210,728.82410,740.57910,401.89710,069.9968,854.934