Hagihara Industries Inc.

TSE:7856.T

1450 (JPY) • At close May 9, 2025
Overzicht | Financiële gegevens

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

20242023202220212020201920182017201620152014201320122011201020092008
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 5,600.5216,138.455,313.8717,438.0567,674.4566,289.0485,407.5897,648.3726,235.7334,379.9134,461.0773,326.1242,108.3011,439.4691,924.0541,864.021973.564
Kortetermijnbeleggingen 00640.58-490.353-33.556-110.596-51.315-115.1461,312.439-16.948-174.287000000
Liquide middelen en kortetermijnbeleggingen 5,600.5216,138.455,313.8717,438.0567,674.4566,289.0485,407.5897,648.3726,235.7334,379.9134,461.0773,326.1242,108.3011,439.4691,924.0541,864.021973.564
Nettovorderingen 6,303.2398,636.4468,569.2768,295.1776,903.0557,220.3597,626.2225,488.545,312.3396,350.8315,909.6095,876.3685,097.8185,301.4244,551.3724,323.6410
Voorraad 6,757.6717,486.7227,184.4515,370.4985,496.0385,416.0015,911.4543,955.4313,645.8483,971.3373,681.0113,804.3233,152.2453,089.3482,987.872,633.463,977.368
Overige vlottende activa 3,287.2851,213.6611,138.85662.621434.52500.434576.819668.942591.743754.143750.174749.573850.704639.49596.338654.5426,296.504
Totaal vlottende activa 21,948.71623,475.27922,206.44821,766.35220,508.06919,425.84219,848.01617,761.28515,785.66315,456.22414,801.87113,756.38811,209.06810,469.73110,059.6349,475.66411,247.436
Niet-vlottende activa:
Materiële vaste activa, netto 18,176.17316,806.70313,719.23910,085.1819,701.8029,766.5518,793.2067,245.9857,027.6597,245.4586,930.2686,840.6136,425.4626,046.5026,275.3246,487.4727,365.955
Goodwill 83.333108.33346.966144.357235.977407.032569.096000007.4522.35139.66959.40479.14
Immateriële activa 382.265388.224470.791548.925457.737486.399494.006122.718137.78184.539235.795153.04159.008188.05434.87340.3239.993
Goodwill en immateriële activa 465.598496.557517.757693.282693.714893.4311,063.102122.718137.78184.539235.795153.04166.458210.40574.54299.724119.133
Langetermijnbeleggingen 515.433546.244526.4571,398.936949.4411,392.5051,500.512220.989.5128.108268.16784.02362.19359.44756.71757.02360.961
Belastingvorderingen 501.207729.265865.568503.821670.701728.392404.021204.389273.36175.759143.292247.222193.182139.36127.736140.739125.259
Overige niet-vlottende activa 1,491.495378.854611.606345.661276.947365.453261.3431,558.9731,560.5011,541.3231,632.1811,478.4731,461.3741,470.291,268.0511,321.7641,229.982
Totaal niet-vlottende activa 20,634.47318,957.62316,240.62713,026.88112,292.60513,146.33212,022.1849,352.9659,088.89,275.1879,209.7038,803.3718,308.6697,926.0047,802.378,106.7228,901.29
Totaal activa 42,583.19242,432.90238,447.07834,793.23532,800.67732,572.17831,870.20327,114.25124,874.46324,731.41224,011.57422,559.75919,517.73718,395.73517,862.00417,582.38620,148.726
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,933.2883,4083,248.5742,903.9192,861.8873,151.4573,865.9042,684.4842,671.0282,858.882,837.5393,529.7783,269.5853,263.0883,221.2432,375.6623,607.852
Kortlopende schulden 1,826.0082,314.8432,252.2082,290.8121,942.6172,500.4432,211.71775.92692.518871.0061,200.3281,440.8061,312.2311,278.2071,362.3132,364.493,170.618
Belastingschulden 203.507428.705209.909409.001446.167571.904492.879355.965442.524462.305434.763285.283513.572499.941478.15165.757365.534
Uitgestelde opbrengsten 0001,886.0741,878.7651,881.9492.8792,255.6082,298.7272,652.315959.4781.9141,022.282979.182909.055502.591905.304
Overige kortlopende verplichtingen 4,835.3723,018.9613,240.0242,536.8522,490.2612,355.0642,314.4452,208.6371,644.321,901.7251,730.387842.764851.446736.37712.4891,447.8871,565.639
Totaal kortlopende verplichtingen 8,798.1759,170.5098,950.7158,140.5847,740.9328,578.8688,884.9386,025.0065,450.396,093.9166,203.0176,098.6315,946.8345,777.6065,774.1966,253.7968,709.643
Langlopende verplichtingen:
Langetermijnschulden 3,621.1464,374.9222,236.137107.85209.924367.028645.772191.899360.318716.448-81.635766.995473.404234.633875.2521,808.8982,088.74
Uitgestelde opbrengsten niet-vlottend 000926.99949.431859.61717.305844.728917.115600.492663.436778.545633.651494.428386.644431.041385.944
Uitgestelde belastingverplichtingen niet-vlottend 18.7477.3821.76727.47834.28441.26132.54864.42950.22732.1099.58410.45410.45419.88919.88919.88919.889
Overige niet-vlottende verplichtingen 1,046.228978.3651,287.691347.522340.826370.904374.748143.367146.769134.083143.58345.11354.16435.16143.5244.48318.085
Totaal niet-vlottende verplichtingen 4,686.1215,360.6673,545.5951,409.841,534.4651,638.8021,870.3731,244.4231,474.4291,483.1321,378.4031,601.1071,171.6731,278.5391,711.9492,304.3112,512.658
Totaal passiva 13,484.29614,531.18112,496.319,550.4249,275.39710,217.6710,755.3117,269.4296,924.8197,577.0487,581.427,699.7387,118.5077,056.1457,486.1458,558.10711,222.301
Eigen vermogen:
Preferente aandelen 0000143.115000000000000
Gewone aandelen 1,778.3851,778.3851,778.3851,778.3851,778.3851,778.3851,778.3851,778.3851,778.3851,778.3851,778.3851,778.3851,274.8581,274.8581,274.8581,0081,008
Ingehouden winsten 25,739.61924,912.6622,398.48321,979.1120,883.70519,515.40517,966.62816,559.37215,064.59413,605.96812,719.81511,592.94810,558.2939,513.618,475.0647,586.267,274.724
Overige gereserveerde algehele resultaten 001,315.646474.368-143.11563.502372.543509.66108.5447715409700000
Overige totale aandeelhoudersvermogen 1,557.2721,186.8341,759.561,482.7821,004.9041,059.359995.9131,505.764997.0371,768.8061,390.4331,390.433565.481886.906886.935429.528643.701
Totaal eigen vermogen van aandeelhouders 29,075.27627,877.87925,936.42825,240.27723,523.87922,353.14921,113.46919,843.52117,948.5617,153.15916,429.26614,859.20212,398.63211,339.06410,375.4599,023.7888,926.425
Totaal eigen vermogen 29,098.89627,901.72125,950.76825,242.81123,525.2822,354.50821,114.89219,844.82217,949.64417,154.36416,430.15414,860.02112,399.2311,339.5910,375.8599,024.2798,926.425
Totaal passiva en aandeelhoudersvermogen 42,583.19242,432.90238,447.07834,793.23532,800.67732,572.17831,870.20327,114.25124,874.46324,731.41224,011.57422,559.75919,517.73718,395.73517,862.00417,582.38620,148.726