Kokuyo Co., Ltd.

TSE:7984.T

2765.5 (JPY) • At close November 8, 2024
Overzicht | Financiële gegevens

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

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Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 115,16168,46770,68865,78565,56576,71858,94157,80330,61719,74416,73217,52614,85613,07711,18611,56910,10812,6589,2709,44011,085
Kortetermijnbeleggingen 45829,99630,60424,99818,4987,79711,28111,52819,88327,41821,95518,52611,51813,06712,8145,8533,4392,0002594,5395,176
Liquide middelen en kortetermijnbeleggingen 115,61998,463101,29290,78384,06384,51570,22269,33150,50047,16238,68736,05226,37426,14424,00017,42213,54714,6589,52913,97916,261
Nettovorderingen 68,46068,99763,91362,68064,67264,72767,36561,87662,51158,27254,14854,41853,97552,37951,89963,04773,69194,84288,29787,89088,561
Voorraad 39,71740,00533,24631,34034,09331,74731,77330,44632,00431,13231,82029,41327,41525,86625,55931,62231,22631,82630,14227,44422,748
Overige vlottende activa 6,3617,5364,7034,3794,8124,5154,8174,9624,4624,8815,7434,4004,9755,1985,2786,3248,2156,6446,3591,1701,086
Totaal vlottende activa 230,157215,001203,154189,182187,640185,504174,177166,615149,477141,447130,398124,283112,739109,587106,736118,415126,679147,970134,327130,483128,656
Niet-vlottende activa:
Materiële vaste activa, netto 61,54261,10259,57558,54559,92561,01261,68961,64462,87863,99165,55667,83270,86677,13478,04979,53381,19479,34989,73294,77897,134
Goodwill 5,4167,1458610514317623025530535508099061,0661,2421,4218,6088,7499,08800
Immateriële activa 11,1988,9887,1747,2977,4017,3138,0289,2809,1959,72910,51210,6859,9983,4054,0494,9795,7545,6986,9118,7458,638
Goodwill en immateriële activa 16,61416,1337,2607,4027,5447,4898,2589,5359,50010,08410,51211,49410,9044,4715,2916,40014,36214,44715,9998,7458,638
Langetermijnbeleggingen 40,4625,57814,43630,53536,17235,68941,39437,73636,88220,39627,39118,55527,64828,22428,66336,39758,08859,88060,64239,20034,556
Belastingvorderingen 721800479400366723062581071465631,5582,0732,2862,7583,1921,3711,9251,6405,1608,445
Overige niet-vlottende activa 8,91638,54639,66834,22726,76515,01619,31918,17827,46437,70436,31534,73528,56431,17730,55622,48119,49316,46112,23213,28511,765
Totaal niet-vlottende activa 128,255122,159121,418131,109130,772119,278130,966127,351136,831132,321140,337134,174140,055143,292145,317148,003174,508172,062180,245161,168160,538
Totaal activa 358,412337,166324,576320,296318,416304,788305,147293,971286,313273,772270,738258,461252,794252,879252,053266,418301,187320,032314,572291,651289,194
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 55,15753,97152,47551,46953,79251,59452,56748,44347,34546,83342,60542,76941,44239,79139,41647,00153,46965,11257,89150,28251,621
Kortlopende schulden 10,3304,4674,2017,7504,8125,4135,53515,3669,2186,81317,66812,24017,2226,6666,5317,36517,9189,1598,2404,2706,526
Belastingschulden 6,5488185,9761,1873,6852,4803,0162,7936221291,7931,0168321,0586581,0446813,7443,9464,3761,951
Uitgestelde opbrengsten 3,4124,2246,7831,9274,4653,2503,7613,4951,4886962,3281,5141,3891,6071,2131,6061,2976,1406,1586,5594,145
Overige kortlopende verplichtingen 22,38216,83214,02815,14513,93514,08815,63115,14514,70713,31311,18310,97311,39710,92210,09311,6889,41211,43911,30510,8868,574
Totaal kortlopende verplichtingen 91,28179,49477,48776,29177,00474,34577,49482,44972,75867,65573,78467,49671,45058,98657,25367,66082,09691,85083,59471,99770,866
Langlopende verplichtingen:
Langetermijnschulden 05,0005,1195,2158,3898,4808,2248,32115,08119,08514,24324,35919,38225,53025,99427,89528,36828,36128,25022,50011,251
Uitgestelde opbrengsten niet-vlottend 00105798344,3121338481,3483,2764,24700002,7712,6942,2581,8963,03318,147
Uitgestelde belastingverplichtingen niet-vlottend 5,6314,2323,8654,7643,5204,2156,3065,2707,2164,7644,1840000401413371782152
Overige niet-vlottende verplichtingen 8,0718,6977,8957,6138,142-35,5258,4989,0449,1188,6418,62513,53712,38111,73110,7328,2337,4817,3197,1456,5233,427
Totaal niet-vlottende verplichtingen 13,70217,92916,98417,67120,13421,48223,16123,48332,76335,76631,29937,89631,76337,26136,72638,93938,68438,27537,46932,27132,827
Totaal passiva 104,98397,42394,47193,96297,13895,827100,655105,932105,521103,421105,083105,392103,21396,24793,979106,599120,780130,125121,063104,268103,693
Eigen vermogen:
Preferente aandelen 000000000000000000000
Gewone aandelen 15,84715,84715,84715,84715,84715,84715,84715,84715,84715,84715,84715,84715,84715,84715,84715,84715,84715,84715,84715,84715,847
Ingehouden winsten 210,677207,910195,747186,877183,313172,090161,582149,903139,790135,019131,728128,643128,289135,679136,639137,818151,390158,490154,731153,828154,697
Overige gereserveerde algehele resultaten 19,38515,20016,95118,06416,46915,47921,42216,62119,75012,67811,3090000000000
Overige totale aandeelhoudersvermogen 5,932-1,087-753,8273,7843,7453,7503,9013,5844,7294,7316,1433,1354,3984,9895,41411,94614,33621,25417,36814,597
Totaal eigen vermogen van aandeelhouders 251,841237,870228,470224,615219,413207,161202,601186,272178,971168,273163,615150,633147,271155,924157,475159,079179,183188,673191,832187,043185,141
Totaal eigen vermogen 253,426239,743230,105226,334221,278208,961204,492188,039180,792170,351165,655153,069149,581156,632158,074159,819180,407189,907193,509187,383185,501
Totaal passiva en aandeelhoudersvermogen 358,409337,166324,576320,296318,416304,788305,147293,971286,313273,772270,738258,461252,794252,879252,053266,418301,187320,032314,572291,651289,194