Yamaha Corporation

TSE:7951.T

1078 (JPY) • At close November 14, 2024
Overzicht | Financiële gegevens

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Operationele Activiteiten:
Nettowinst -4,1579,4188,9237,72511,69610,0398,70411,72417,55112,57311,14612,39210,78318,68911,33515,65611,845-1,7341,77516,59917,85011,0019,42521,16816,23813,6547,54342,65913,29410,9759,66113,9548,04611,2373,08115,98514,2308,2823,27510,4578,9525,8423,3398,0927,1337,254382,3301,7323,695-2,1884,1962,3462,617-6,2616,2683,3213,474-8,6805,8673,194-582-32,4337,355
Afschrijvingen & Amortisatie 5,5485,5335,3305,3295,3345,0304,8684,9024,8394,6614,5504,3244,2364,2044,5064,2044,2284,1184,4044,3824,2334,3032,7012,7342,7592,6652,6992,7642,7002,6755,3502,6832,6272,79212,8813,2283,0973,0286,3043,2993,0082,8993,5683,3183,0452,9233,3832,9272,7592,6493,3903,0472,8722,8093,5833,2323,0693,0753,9573,6413,3733,3315,7694,755
Uitgestelde Inkomstenbelasting 0000000000000000000000000000000000000000000000000000000000000000
Aandelen Gebaseerde Vergoedingen 00-202000-266000000000000000000000000000000000000000000000000000000000
Verandering in Werkkapitaal 12,8105,1398,895-7,367-4,794-3,8892,489-20,951-11,776-15,511-10,182-8,7213,044-3,2558,178-6,7549,6908258,148696-7,075-6,0808,562-8,392-7,727-2,06014,237-3,632-9,695-5,06915,509-2,263-12,676-7,42112,489-2,113-15,0178818,069-4,139-8,457-9510,011-972-5,708-3,38911,236-1,816-9,077-6,00510,358-5,640-8,723-4,03715,248-1,414-10,335-4,61614,9182,944-5,507-1,77620,005-4,718
Vorderingen 3087,748-5,312-4,080-4,2716,660-5,046-7,459-673809-3,315-2,3263,1083,1152,7240010,7918,495006,0238,753-6,90502,1399,280-6,409-8,292-33511,329-4,329-8,829-1,20713,991-3,871-6,8776,7045,830-4,492-6,2534,4426,591-4,686-4,171-1067,392-3,892-3,928000000000000000
Voorraden -1,056-2,60912,7951,468-7,079-5,0726,263-7,431-16,760-10,323-1,682-6,578-5,421-703,6873,554972-5471,2364,680-2,911-5,8462,3812,214-6,344-4,7622,4674,698-2,061-5,4162,1864,919-2,187-8,3051933,860-4,948-7,6284,1484,117-2,642-5,8904,2886,397-856-5,0464,8546,423-3,929-5,3441,596670-3,593-5,1241,8765,507-5,163-7,2923,6227,599466446,736-138
Crediteuren 4,735-6,407849-4,7556,556-5,4771,925-6,0615,657-5,9974,7101835,357-6,3003,6520000000000000000000000000000000000000000000000000
Overig Werkkapitaal 8,823-1,4285634,498-3,477109-6532,547-5,33542-8,500-2,1438,465-3,1854,491-10,3088,7181,3726,912-3,984-4,164-2346,181-10,606-1,3832,70211,770-8,330-7,63434713,323-7,182-10,48988412,296-5,973-10,0698,5093,921-8,256-5,8155,7955,723-7,369-4,8521,6576,382-8,239-5,148-6618,762-6,310-5,1301,08713,372-6,921-5,1722,67611,296-4,655-5,973-1,82013,269-4,580
Overige Niet-Contante Posten -153-8,993-3,085716-1,323-2,395-3,845-8,411-8,691-17,967-4,298-1,216-2,732-6,948-7281,104-3,615-4,6332,549-355-3,247-2,0212,036-12,476-1,161-19,892-60-28,2961,395-6,691-10,406-3,4704,791-1,272-6,977-4,367-959-5,350957-3,004-663-4,9752,577-1,0211,621-8,578-2,156-3,5403,388-3,788402-9383,393-3,0244,361-1482,653-2,8646,808-2,22112,608-2,00521,911-10,072
Kasstroom uit Operationele Activiteiten 14,04811,09717,7356,40310,9138,78512,216-12,7361,923-16,2441,2166,77915,33112,69023,29114,21022,148-1,42416,87621,32211,7617,20322,7243,03410,109-5,63324,41913,4957,6941,89020,11410,9042,7885,33621,47412,7331,3516,84118,6056,6132,8403,67119,4959,4176,091-1,79012,501-99-1,198-3,44911,962665-112-1,63516,9317,938-1,292-93117,00310,23113,668-1,03215,252-2,680
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -7,820-4,159-5,190-3,209-11,468-3,053-9,061-3,586-5,318-2,761-4,817-3,518-3,193-3,002-3,129-2,726-3,305-3,412-7,539-4,578-3,720-4,636-3,967-3,594-9,045-3,586-7,350-3,258-5,299-7,055-4,290-2,683-2,850-3,462-3,144-2,592-2,346-3,350-3,890-2,657-3,376-2,610-2,833-1,983-3,019-3,429-4,144-3,106-2,756-3,109-2,953-1,970-2,573-2,200-2,434-2,062-6,442-2,378-3,225-2,380-4,353-4,148-6,661-4,110
Netto Overnames 8216984619567-5,2373,58632547653405,942131000143000000000003,5891,651004,3457,34000016812473349027868-1,1060078810000061100544000-1,168729
Aankoop van Beleggingen 0-187-3,531-610-19-1-1-32-5400000000-3,24400000000000-40-15-111-25-50-1500-500-100-50-69-15,416-100-16-100000-159-4200000-3500-10000-40-420
Verkoop/verval van Beleggingen 21,5767910,321110313,9863422905,72224846,13506,266418025117330001,201521629657827,38400139177002837300721174801,2012,13103823964800014765946110430056015
Overige Investeringsactiviteiten -14-6203,236-1,782-1,298-197-3,534-1,6241,107735-4,3451,14447,2898,179-4,062-2,0361,0185,4552,572-3,3062,406531-6,241-4,695-192-1,713-324-1074582391,8021,546-1713114,7337,6541,417-1,5991,382629-524-528-630453336941,033488449-490526275951689141,756-6642342,987-115-2,119644-691966
Kasstroom uit Investeringsactiviteiten 13,824-4,7794,919-4,980-12,671-3,171-13,847-1,591-4,189-1,936-3,440-2,12644,0965,177-925-4,721-2,2072,068-8,094-7,554-1,314-4,105-5,040-4,643-9,075-4,334-7,59624,019-4,841-6,816-2,380-975-3,132-3,1761,5674,949-926-4,999-2,505-2,056-3,949-3,190-18,815-1,630-1,801-704-4,217-2,580-2,068-3,752-2,799-1,695-2,478-2,032-1,373318-6,645-2,040-245-2,495-6,472-3,499-7,332-3,549
Financieringsactiviteiten:
Schuldaflossingen 2,201-1,622-3,045-702,096369-1,708500-7,386-2,261624678-584467-2,282-562-2,3662,607-4,012-6,7168,7252,665-10,344003,865-13,446-1,6519,0996,484-12,205-2,665-86,767-8-75,9615-7,206-3,1138,746-8-7,992-3,7446,4753,148-10,0363515,474877-7,528-4917,976-754-5,944-4,4688,798-918-1,592-3,5961,150814-10,740-810
Uitgifte van Gewone Aandelen 0000000000000000000000000000000000000000000000000000000000000000
Terugkoop van Gewone Aandelen -1,552-5,106-9,894-1-2-8,407-6,595-2-2-1-3-8,111-19,894-1-4-4-10-8,481-6,527-1-6,303-13,702-4-5-2-18,187-6,820-3-22,774-3-1-1-17,225-3-4-2-2-1-20-1-2-1-1-1-1-700000-1,024-2,6300-1-1-1-1-1-1-5
Uitgekeerde Dividenden 0-6,1420-6,2450-5,6240-5,6650-5,6600-5,7000-5,8010-5,8010-5,8020-5,8850-5,3890-5,4560-5,0910-5,2500-4,8730-4,8730-4,8950-3,4850-4,3560-2,6140-3,7750-1,4520-9680-9680-9680-9680-9680-9860-2,4650-2,9590-2,9580-5,424
Overige Financieringsactiviteiten -2,715-1,003-2,605-1,479-1,601-1,679-2,175-1,607-1,553-1,649-1,556-706-2,209-1,630-1,667-1,427-1,612-1,681-1,119-283-1,618-1,478-32-4602,913-1611,007-1,653-56-233-707-4,69610,867-166-14,489-437273,674-1,199-35363,264-85-2445-143-4345-146-113-112-124-73-205-68-60-72-242-299-12-118-293-124-135
Kasstroom uit Financieringsactiviteiten -2,066-13,873-14,620-7,795493-15,341-10,001-6,774-8,941-9,571-935-13,839-22,687-6,965-3,953-7,794-3,979-4,876-13,612-19,4117,106-10,505-24,078-5,9202,908-1,389-30,626-15,3749,0401,376-12,914-12,23710,8581,705-31,722-3,9325,984-679-8,407-5,7638,780-519-8,078-5,2226,5192,036-10,080-5735,321-204-7,640-1,5837,903-1,927-7,036-8,1448,726-3,626-1,892-6,5681,031-2,438-10,865-6,374
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 03,9803,529-1,4767724,1011,465-4,6831,4174,8844,1142,5453458484,10746220166-1,7301,182-783-1,485104-1,125547224-2,3869491,027463-1,1345,131-896-4,339-2,105-538-2,1511,012-1,6933,5012,426-661-1,0032,485-5141,3552,3823,329-230-1,6561,90069-2,182-5111,207-1,159-663-3,00073530-1,104584506-4,555
Netto Kasstroomverandering 19,178-3,57511,564-7,744-492-5,627-10,166-25,784-9,792-22,867955-6,64137,08611,75022,5202,15616,163-4,165-6,560-4,46116,770-8,893-6,290-8,6574,492-11,133-16,18923,08912,920-3,0866,4622,8229,618-3,251-10,78612,3534,2583,0345,9982,29710,088252-8,4025,05010,2961,116586791,826-8,9463,423-2,5442,912-6,3189,730-1,047127-9,59914,9401,1606,989-5,077-2,438-17,000
Kaspositie aan het Einde van de Periode 117,19098,012101,58790,02397,76798,259103,886114,052139,836149,628172,495171,540178,181141,095129,345106,825104,66988,50692,67199,231103,69286,92295,815102,105110,762106,270117,403133,592110,50397,583100,66994,20791,38581,76785,01895,80483,45179,19376,15970,16167,86457,77657,52465,92660,87650,58049,46448,87848,79946,97355,91952,49655,04052,12858,44648,71649,76349,63659,23544,29543,13536,14641,22343,661