PRONEXUS Inc.

TSE:7893.T

1266 (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 9,452.3427,574.00412,207.62412,845.10711,910.89811,014.35511,736.11410,737.9377,114.2146,851.6327,377.0099,007.5479,382.1347,380.838,625.4986,390.8268,172.046
Kortetermijnbeleggingen 1,798.7961,883.6971,741.4411,733.5222,310.9152,799.9482,599.9772,751.1825,291.4984,090.4254,489.3784,540.1964,340.3473,401.6453,443.1652,201.3533,482.185
Liquide middelen en kortetermijnbeleggingen 9,452.3429,457.70113,949.06514,578.62914,221.81313,814.30314,336.09113,489.11912,405.71210,942.05711,866.38713,547.74313,722.48110,782.47512,068.6638,592.17911,654.231
Nettovorderingen 3,089.8733,122.5372,572.7412,585.5752,548.6572,185.5192,576.9272,326.8492,217.7252,419.1382,209.9361,950.991,759.1912,439.3231,956.8422,017.9392,296.338
Voorraad 588.363601.723709.192573.928511.471448.944443.946444.57364.686319.117486.741234.918224.832223.265307.592317.459309.917
Overige vlottende activa 2,212.772352.3298.206286.951283.6289.198276.603211.825164.477228.508164.591172.431258.786622.554213.056378.42557.237
Totaal vlottende activa 15,343.3513,534.26117,529.20418,025.08317,565.54116,737.96417,633.56716,472.36315,152.613,908.8214,727.65515,906.08215,965.2914,067.61714,546.15311,305.99714,817.723
Niet-vlottende activa:
Materiële vaste activa, netto 7,067.1647,280.0057,386.2338,471.4756,645.3834,506.1124,502.364,750.64,133.3886,019.2456,031.8146,255.8386,505.3326,843.4597,505.1626,382.5624,089.971
Goodwill 3,670.9995,140.687472.287466.875304.48565.68800000000000
Immateriële activa 4,954.2172,992.0122,791.082,530.4752,246.2791,942.7641,740.9212,163.312,450.8042,650.4772,457.381,893.3391,297.5611,234.9171,280.7091,060.152458.432
Goodwill en immateriële activa 8,625.2168,132.6993,263.3672,997.352,550.7641,942.7641,740.9212,163.312,450.8042,650.4772,457.381,893.3391,297.5611,234.9171,280.7091,060.152458.432
Langetermijnbeleggingen 7,154.3647,0146,5245,9245,2095,1021,188.6171,040.869-631.085-411.859-952.06-1,895.885-1,813.809326.5481,742.081,685.386864.724
Belastingvorderingen 350.433956.474856.831918.9431,078.34504.912324.67265.406313.436269.848229.606127.983108.223158.984282.03375.831691.915
Overige niet-vlottende activa 43.450.7860.150.0540.1150.0583,747.2853,667.5076,205.1025,041.8985,396.3655,525.2095,553.1914,721.494,837.4133,573.1735,159.005
Totaal niet-vlottende activa 23,240.62723,383.96418,030.58118,311.82215,483.60212,055.84611,503.85311,887.69212,471.64513,569.60913,163.10511,906.48411,650.49813,285.39815,647.39413,077.10411,264.047
Totaal activa 38,583.97736,918.22535,559.78536,336.90433,049.14428,793.81129,137.42228,360.05627,624.24527,478.42927,890.7627,812.56627,615.78827,353.01530,193.54724,383.10126,081.77
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,830.9421,744.2011,640.7551,531.751,434.026798.774742.761742.819657.222637.903626.586449.665378.931442.694510.406496.087535.336
Kortlopende schulden 925.53887.839848.164881.475808.9843503505050110485485505505130180180
Belastingschulden 702.688504.767440.053465.438689.136295.648726.751373.48936.126412.944672.017762.3839.69129.262265.264392.266599.131
Uitgestelde opbrengsten 756.4161,223.9451,161.5911,139.5621,340.994982.4871,331.681947.471,462.801905.091,138.6261,212.636470.773478.5114,156.855857.1551,092.629
Overige kortlopende verplichtingen 3,969.3542,765.6322,641.3182,751.142,517.151,837.9292,040.2152,031.2351,565.7512,098.8371,170.3981,167.3241,272.448950.5491,050.008933.066956.145
Totaal kortlopende verplichtingen 7,482.2426,621.6176,291.8286,303.9276,101.1543,969.194,464.6573,771.5243,735.7743,751.833,420.613,314.6252,627.1522,376.7545,847.2692,466.3082,764.11
Langlopende verplichtingen:
Langetermijnschulden 311.472,448.0672,618.7943,408.0971,270.5710300600300003757501,1251,50000
Uitgestelde opbrengsten niet-vlottend 0000002,064.6311,703.6821,714.36100941.834924.576873.624000
Uitgestelde belastingverplichtingen niet-vlottend 00000214.911526.663572.942692.4161,058.1171,073.911,097.4921,070.1371,190.763000
Overige niet-vlottende verplichtingen 5,207.5893,412.3983,195.9263,172.4653,171.1782,724.202311.465311.829329.5281,734.3841,576.363325.605300.723313.3611,179.7761,092.91,069.682
Totaal niet-vlottende verplichtingen 5,519.0595,860.4655,814.726,580.5624,441.7492,939.1133,202.7593,188.4533,036.3052,792.5012,650.2732,739.9313,045.4363,502.7482,679.7761,092.91,069.682
Totaal passiva 13,001.30112,482.08212,106.54812,884.48910,542.9036,908.3037,667.4166,959.9776,772.0796,544.3316,070.8836,054.5565,672.5885,879.5028,527.0453,559.2083,833.792
Eigen vermogen:
Preferente aandelen 00000000000000000
Gewone aandelen 3,058.6513,058.6513,058.6513,058.6513,058.6513,058.653,058.653,058.653,058.653,058.653,058.653,058.653,058.653,058.653,058.653,058.653,058.034
Ingehouden winsten 18,871.29917,853.84416,994.93817,032.54118,162.03516,960.44718,368.64317,236.3516,104.33117,084.79816,330.95416,159.09816,923.66516,501.55816,650.06915,988.40315,794.042
Overige gereserveerde algehele resultaten 1,186.5631,064.206941.708721.958348.191369.265707.19487.07472.29343323728000000
Overige totale aandeelhoudersvermogen 2,418.5922,418.6392,425.2722,609.473882.4531,448.187-664.477618.0091,216.892183.8992,059.3752,135.7441,848.3671,808.361,860.641,686.3133,289.711
Totaal eigen vermogen van aandeelhouders 25,535.10524,395.3423,420.56923,422.62322,451.3321,836.54921,470.00621,400.07920,852.16620,760.34721,685.97921,633.49221,830.68221,368.56821,569.35920,733.36622,141.787
Totaal eigen vermogen 25,582.67724,436.14323,453.23723,452.41522,506.24121,885.50821,470.00621,400.07920,852.16620,934.09821,819.87721,758.0121,943.221,473.51321,666.50220,823.89322,247.978
Totaal passiva en aandeelhoudersvermogen 38,583.97736,918.22535,559.78536,336.90433,049.14428,793.81129,137.42228,360.05627,624.24527,478.42927,890.7627,812.56627,615.78827,353.01530,193.54724,383.10126,081.77