Takano Co.,Ltd.

TSE:7885.T

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

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 8,469.447,967.0147,798.3258,057.4017,650.0399,168.71410,776.40211,248.9148,396.87610,058.4199,582.47812,305.9119,945.76410,307.1657,670.7496,942.5337,059.473
Kortetermijnbeleggingen 489.549-471.452300-532.112-537.06230.216100239625.956251.205256.11351.78152.29152.25150.876234.688354.112
Liquide middelen en kortetermijnbeleggingen 8,958.9897,967.0148,098.3258,057.4017,650.0399,198.9310,876.40211,248.9149,022.83210,309.6249,838.58812,657.6929,998.05510,359.4157,821.6257,177.2217,413.585
Nettovorderingen 10,561.9249,933.25910,210.7579,007.7838,978.9639,203.0218,779.3198,574.5618,948.4356,816.5376,365.1545,738.5886,372.5558,086.019,128.67511,381.88813,536.995
Voorraad 5,868.7376,984.2364,866.4813,596.3394,891.9495,486.2315,363.2353,704.5525,687.5754,274.6333,797.3012,180.8154,561.6814,620.8132,730.5722,958.2762,437.018
Overige vlottende activa 146.845214.279172.091152.383137.828149.316433.658166.602327.019259.399176.562157.582200.807255.303175.81187.517150.709
Totaal vlottende activa 25,536.49525,098.78823,347.65420,813.90621,658.77924,037.49825,452.61423,694.62923,985.86121,660.19320,177.60520,734.67721,133.09823,321.54119,856.68321,604.90223,538.307
Niet-vlottende activa:
Materiële vaste activa, netto 9,051.2789,347.4199,434.7989,715.1469,962.8279,320.7459,003.548,168.5757,563.86,893.6886,819.6626,324.8226,446.3416,445.4026,561.4716,934.7757,477.52
Goodwill 115.944251.92800115.254155.92124.0530000000000
Immateriële activa 325.073175.46183.395166.368199.92175.864217.147261.334313.109307.833265.318305.377336.501119.354117.642103.703115.439
Goodwill en immateriële activa 441.017427.388183.395166.368315.174331.784341.2261.334313.109307.833265.318305.377336.501119.354117.642103.703115.439
Langetermijnbeleggingen 3,579.6333,7873,8653,9513,8673,9712,517.5962,649.5622,559.8624,216.8754,202.5482,695.2123,419.8073,440.0413,160.9542,343.2072,740.755
Belastingvorderingen 607.516720.401785.788685.776588.529564.906114.54395.827160.459105.155274.805342.064377.507258.381296.155459.721379.102
Overige niet-vlottende activa 463.666-0.012-0.172-0.2790.046-0.862606.912299.9331,279.1411,161.6991,638.8641,534.5451,240.981956.045607.561429.2471,063.366
Totaal niet-vlottende activa 14,143.1114,282.19614,268.80914,518.01114,733.57614,187.57312,583.79111,475.23111,876.37112,685.2513,201.19711,202.0211,821.13711,219.22310,743.78310,270.65311,776.182
Totaal activa 39,679.60539,380.98537,616.46535,331.91936,392.35738,225.07338,036.40635,169.86335,862.23734,345.44633,378.80431,936.69832,954.23534,540.76430,600.46631,875.55535,314.489
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 4,424.881,761.2881,881.5291,530.9391,429.6171,556.6541,986.5121,778.4291,895.8611,883.8693,107.9063,193.6712,634.6613,674.7963,256.9583,635.3354,904.919
Kortlopende schulden 119.34159.5854.77859.15773.86896.23187.86984.57854.15543.13141.70121.02620.53313.9268.4414.2180
Belastingschulden 321.97680.487335.52347.624122.619286.608369.738255.821249.57438.02931.8530.1948.059152.10727.5266.94516.016
Uitgestelde opbrengsten 516.8732,412.7751,308.615914.9931,542.7152,355.7062,118.0091,696.7682,463.9112,170.742,055.792553.3332,374.5992,788.05340.851108.630
Overige kortlopende verplichtingen 2,132.0963,459.2043,621.6652,821.6443,093.3324,041.484,234.7222,845.3853,621.8622,673.3711,103.683887.965952.5121,195.892845.497954.8581,680.061
Totaal kortlopende verplichtingen 7,193.197,692.8476,866.5875,326.7336,139.5328,050.0718,427.1126,405.168,035.7896,771.1116,309.0824,655.9955,982.3057,672.6644,451.7474,703.0416,584.98
Langlopende verplichtingen:
Langetermijnschulden 138.5305.021197.491191.713241.406357.691441.976363.912238.54306.448381.191391.391274.841181.209210.805316.387436
Uitgestelde opbrengsten niet-vlottend 00000000-80.86100000000
Uitgestelde belastingverplichtingen niet-vlottend 0000000080.86100000000
Overige niet-vlottende verplichtingen 814.907696.454651.223652.455612.543695.373714.264653.9751.721615.611617.679580.651552.377547.145577.942622.519657.81
Totaal niet-vlottende verplichtingen 953.4071,001.475848.714844.168853.9491,053.0641,156.241,017.812990.261922.059998.87972.042827.218728.354788.747938.9061,093.81
Totaal passiva 8,146.5978,694.3227,715.3016,170.9016,993.4819,103.1359,583.3527,422.9729,026.057,693.177,307.9525,628.0376,809.5238,401.0185,240.4945,641.9477,678.79
Eigen vermogen:
Preferente aandelen 00000000000000000
Gewone aandelen 2,015.92,015.92,015.92,015.92,015.92,015.92,015.92,015.92,015.92,015.92,015.92,015.92,015.92,015.92,015.92,015.92,015.9
Ingehouden winsten 26,252.48425,925.21925,339.79824,709.77424,964.38524,621.58923,875.27523,202.27522,508.92521,981.53321,772.02222,112.54822,062.96122,130.85421,299.39122,196.05723,240.33
Overige gereserveerde algehele resultaten 1,163.676644.601444.521352.404335.649401.508478.94445.775228.3965721999800000
Overige totale aandeelhoudersvermogen 2,100.9452,100.9432,100.9452,082.942,082.9422,082.9412,082.9392,082.9412,082.9662,082.8432,083.932,082.2132,065.8511,992.9922,044.6812,021.6512,379.469
Totaal eigen vermogen van aandeelhouders 31,533.00530,686.66329,901.16429,161.01829,398.87629,121.93828,453.05427,746.89126,836.18726,652.27626,070.85226,308.66126,144.71226,139.74625,359.97226,233.60827,635.699
Totaal eigen vermogen 31,533.00530,686.66329,901.16429,161.01829,398.87629,121.93828,453.05427,746.89126,836.18726,652.27626,070.85226,308.66126,144.71226,139.74625,359.97226,233.60827,635.699
Totaal passiva en aandeelhoudersvermogen 39,679.60239,380.98537,616.46535,331.91936,392.35738,225.07338,036.40635,169.86335,862.23734,345.44633,378.80431,936.69832,954.23534,540.76430,600.46631,875.55535,314.489