Hokushin Co., Ltd.

TSE:7897.T

103 (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 1,007.6781,673.6141,674.0791,808.361,714.5121,655.0231,756.0261,764.459953.132983.953967.0171,109.0181,309.8661,300.0921,765.5611,769.912956.131
Kortetermijnbeleggingen 700700700604.536700700700-1.7493.686000676.1970000
Liquide middelen en kortetermijnbeleggingen 1,707.6781,673.6141,674.0791,808.361,714.5121,655.0231,756.0261,764.459953.132983.953967.0171,109.0181,309.8661,300.0921,765.5611,769.912956.131
Nettovorderingen 3,889.9052,053.1622,154.7341,586.0071,851.0072,445.8122,607.3411,685.0622,157.221,549.7251,586.4571,529.6271,711.3661,110.8021,044.4531,185.3921,664.797
Voorraad 2,448.622,969.5422,007.7541,939.1352,146.9552,189.2281,798.8371,607.0341,864.1091,873.4851,703.8891,832.3661,456.8661,514.2091,559.2272,599.7942,655.683
Overige vlottende activa 61.4831,489.9441,603.291,080.221554.421430.868486.691525.101349.76753.33118.88860.054123.38105.015106.14733.30936.372
Totaal vlottende activa 8,107.6868,186.2627,439.8576,413.7236,266.8956,720.9316,648.8955,581.6565,324.2284,460.4944,276.2514,531.0654,601.4784,030.1184,475.3885,588.4075,312.983
Niet-vlottende activa:
Materiële vaste activa, netto 5,477.315,553.365,553.1315,627.3175,511.1415,507.9565,551.2575,448.4275,084.5325,099.6355,097.3544,931.7034,931.5695,000.0035,161.2715,247.4725,343.66
Goodwill 00014.7670000000000000
Immateriële activa 19.22715.14412.410.01419.34921.03311.24912.37215.95113.20314.99215.7928.43737.61781.035129.35177.573
Goodwill en immateriële activa 19.22715.14412.4114.78119.34921.03311.24912.37215.95113.20314.99215.7928.43737.61781.035129.35177.573
Langetermijnbeleggingen 713.819609.911585.2830.619572.216681.158822.69770.258681.9830000.7140000
Belastingvorderingen 0.002-609.911-585.2834.233-572.216-681.158-822.69-770.258-681.983000-0.7140000
Overige niet-vlottende activa 23.105623.428598.766618.302578.929688.074829.847778.032696.242801.013680.812726.817723.577687.456721.954685.368795.942
Totaal niet-vlottende activa 6,233.4636,191.9326,164.3076,265.2526,109.4196,217.0636,392.3536,238.8315,796.7255,913.8515,793.1585,674.3125,663.5835,725.0765,964.266,062.196,317.175
Totaal activa 14,341.14914,378.19713,604.16712,678.97712,376.31812,937.99713,041.24811,820.48711,120.95310,374.34510,069.40910,205.37710,265.0619,755.19410,439.64811,650.59711,630.158
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 2,604.453,043.222,381.0671,768.8252,118.7382,813.2082,797.6582,204.7592,249.7771,922.7171,932.3282,077.0112,128.2731,405.5521,360.5141,488.2611,674.936
Kortlopende schulden 3,061.62,934.722,565.982,149.42,2202,2202,1802,040.82,202.2321,998.3311,911.8372,544.9212,444.2162,835.3272,439.2942,851.6643,116.132
Belastingschulden 121.00857.494195.58252.39457.05229.018151.263142.314108.53537.10625.27435.46713.628.2536.4762.01317.669
Uitgestelde opbrengsten 0255.942418.368163.694279.194339.671417.322337.227275.184169.711185.924194.49188.4731.05351.78684.669160.669
Overige kortlopende verplichtingen 544.15667.02628.391185.555107.11922.07289.426130.44593.3168.69443.63143.89218.503196.653199.092249.559561.193
Totaal kortlopende verplichtingen 6,210.2066,300.9085,393.8064,267.4744,725.0515,394.9515,484.4064,713.2314,820.5034,159.4534,073.724,860.3134,879.4624,468.5854,050.6864,674.1535,512.93
Langlopende verplichtingen:
Langetermijnschulden 1,990.22,148.42,538.122,984.12,4352,2902,2602,1001,9252,0601,8301,510.0031,814.3711,816.3042,626.5312,664.3051,609.302
Uitgestelde opbrengsten niet-vlottend -030.52624.79632.38186.38138.133191.763198.977330.856288.634437.001351.104366.556361.797272.684257.371335.365
Uitgestelde belastingverplichtingen niet-vlottend 174.97798.39197.465122.04677.64869.617173.079144.412163.31192.553196.862196.241190.28205.591205.59145.286205.591
Overige niet-vlottende verplichtingen 21.1679.31114.49521.9230.00412.24312.28312.2833.266.07411.63117.67350.18192.766218.524316.798298.575
Totaal niet-vlottende verplichtingen 2,186.3442,286.6282,674.8763,160.452,599.0322,509.9932,637.1252,455.6722,422.4262,547.2612,475.4942,075.0212,421.3882,476.4583,323.333,283.762,448.833
Totaal passiva 8,396.558,587.5368,068.6827,427.9247,324.0837,904.9448,121.5317,168.9037,242.9296,706.7146,549.2146,935.3347,300.856,945.0437,374.0167,957.9137,961.763
Eigen vermogen:
Preferente aandelen 00000000000000000
Gewone aandelen 2,343.8712,343.8712,343.8712,343.8712,343.8712,343.8712,343.8712,343.8712,343.8712,343.8712,343.8712,343.8712,343.8712,343.8712,343.8712,343.8712,343.871
Ingehouden winsten 3,386.4153,341.0893,122.0912,827.4692,695.1082,611.82,465.5272,204.5231,545.4051,239.241,142.2411,001.924719.493606.284982.081,712.1691,830.044
Overige gereserveerde algehele resultaten 217.921109.29873.1183.284129.648186.659209.644183.99858.16200000000
Overige totale aandeelhoudersvermogen -3.61-3.597-3.587-3.571-116.392-109.277-99.325-80.808-69.41484.5234.083-75.752-99.153-140.004-260.319-363.356-522.061
Totaal eigen vermogen van aandeelhouders 5,944.5975,790.6615,535.4855,251.0535,052.2355,033.0534,919.7174,651.5843,878.0243,667.6313,520.1953,270.0432,964.2112,810.1513,065.6323,692.6843,651.854
Totaal eigen vermogen 5,944.5975,790.6615,535.4855,251.0535,052.2355,033.0534,919.7174,651.5843,878.0243,667.6313,520.1953,270.0432,964.2112,810.1513,065.6323,692.6843,668.395
Totaal passiva en aandeelhoudersvermogen 14,341.14714,378.19713,604.16712,678.97712,376.31812,937.99713,041.24811,820.48711,120.95310,374.34510,069.40910,205.37710,265.0619,755.19410,439.64811,650.59711,630.158