Tachikawa Corporation

TSE:7989.T

1449 (JPY) • At close January 15, 2025
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 15,46216,128.63518,078.53418,517.55215,125.83514,186.65712,503.0410,578.288,909.0869,590.8959,025.8028,876.7968,296.3297,309.096,838.8336,659.741
Kortetermijnbeleggingen 0.818-389.938-488.667-358.044-356.081-345.272-360.579-314.648-460.516-17.467000000
Liquide middelen en kortetermijnbeleggingen 15,462.81816,128.63518,078.53418,517.55215,125.83514,186.65712,503.0410,578.288,909.0869,590.8959,025.8028,876.7968,296.3297,309.096,838.8336,659.741
Nettovorderingen 16,033.57716,125.8315,879.97114,472.63116,069.08414,305.20115,214.65814,673.55215,251.45913,671.11712,832.71111,572.21811,698.33212,421.70210,713.0390
Voorraad 7,058.9497,236.1166,096.5315,830.1325,988.15,687.3115,166.3655,414.1195,218.1274,976.5824,849.9294,896.95,046.974,501.2485,565.4626,018.689
Overige vlottende activa 536.87453.065332.82313.887767.185993.7951,188.8921,098.218919.8221,066.8211,203.4071,105.0281,186.3951,411.0261,504.87513,656.198
Totaal vlottende activa 39,110.57339,966.20940,462.88639,268.42838,183.71135,948.69834,083.75231,764.16930,298.49429,305.41527,911.84926,450.94226,228.02625,643.06624,622.20926,334.628
Niet-vlottende activa:
Materiële vaste activa, netto 17,780.42116,682.85514,862.75113,439.81712,796.33812,869.57612,857.76512,943.76913,160.86513,263.113,369.35213,571.08513,376.55413,541.75613,820.51513,194.733
Goodwill 0000000000000000
Immateriële activa 305.266375.376453.749491.377495.177394.152252.987261.932367.078464.517523.688424.824266.707260.708312.171350.404
Goodwill en immateriële activa 305.266375.376453.749491.377495.177394.152252.987261.932367.078464.517523.688424.824266.707260.708312.171350.404
Langetermijnbeleggingen 3,340.8143,263.6722,681.6632,309.3982,665.2451,990.9792,669.7432,465.5952,850.1452,006.6281,953.4251,423.7211,149.091,203.1351,194.5651,326.258
Belastingvorderingen 805.51,111.3861,088.0741,187.8021,177.887779.986515.57675.51544.153874.625774.9381,118.3921,373.5711,458.6761,368.3181,242.138
Overige niet-vlottende activa 1,799.6641,187.1921,138.6621,082.4281,063.4351,080.911,068.251,054.3441,061.0811,071.1971,026.5731,075.5051,031.7581,013.8061,063.3651,131.444
Totaal niet-vlottende activa 24,031.66522,620.48120,224.89918,510.82218,198.08217,115.60317,364.31517,401.1517,983.32217,680.06717,647.97617,613.52717,197.6817,478.08117,758.93417,244.977
Totaal activa 63,142.24162,586.69360,687.78857,779.25356,381.79553,064.30451,448.06649,165.31948,281.81646,985.48245,559.82544,064.46943,425.70643,121.14742,381.14343,579.605
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 5,8553,697.6893,741.6255,941.7536,743.5736,737.5246,453.2466,388.4281,346.4356,855.268,008.3367,521.7397,759.6167,290.956,982.6288,549.733
Kortlopende schulden 37.71662.077065.21761.25359.24121.91743.28578.94187.00890.41185.94131.36110.155106.725100.065
Belastingschulden 941.379537.668876.033854.5331,109.413859.936909.432700.17667.405689.614498.862413.428352.461638.11352.241184.159
Uitgestelde opbrengsten 02,156.4572,290.0542,385.6882,762.298859.9362,537.7277,385.9397,763.1721,004.487761.653655.121581.109874.504595.311423.374
Overige kortlopende verplichtingen 3,129.0486,632.7926,300.33,000.4892,756.3522,111.3482,652.1222,831.9178,013.5592,656.0531,160.031,085.207919.6661,017.4071,259.7131,091.763
Totaal kortlopende verplichtingen 9,963.14310,969.2810,987.9589,861.99210,670.5919,768.04910,036.7179,963.810,106.3410,287.9359,757.6399,106.3159,063.1048,956.6228,701.3079,925.72
Langlopende verplichtingen:
Langetermijnschulden 77.13663.91494.679127.087155.846184.77941.99525.80370.155119.534200.254253.94394.55229.16118.0010
Uitgestelde opbrengsten niet-vlottend 0-589.935-534.119-466.057-551.9163,500.8863,338.7853,603.733,330.9370000000
Uitgestelde belastingverplichtingen niet-vlottend 0589.935534.119466.057551.91617.66514.90419.85738.0650000000
Overige niet-vlottende verplichtingen 2,659.8642,921.3422,431.6913,357.8813,358.09314.03114.44125.74223.4123,525.4463,237.7013,558.123,821.2174,012.2093,913.33,739.558
Totaal niet-vlottende verplichtingen 2,7372,985.2562,526.373,484.9683,513.9393,717.3613,410.1253,675.1323,462.5693,644.983,437.9553,812.0633,915.7694,041.373,931.3013,739.558
Totaal passiva 12,699.47113,954.53613,514.32813,346.9614,184.5313,485.4113,446.84213,638.93213,568.90913,932.91513,195.59412,918.37812,978.87312,997.99212,632.60813,665.278
Eigen vermogen:
Preferente aandelen 0000044.722045.98100000000
Gewone aandelen 4,4754,4754,4754,4754,4754,4754,4754,4754,4754,4754,4754,4754,4754,4754,4754,475
Ingehouden winsten 38,019.86135,941.55634,004.86131,701.11829,345.89827,128.46225,099.88923,110.53821,660.7120,380.06219,639.19918,850.4818,377.16817,959.15817,717.51617,761.736
Overige gereserveerde algehele resultaten 046.039346.01664.32231.554-44.722395.491-45.9818,202.16430037300000
Overige totale aandeelhoudersvermogen 3,524.8833,454.6664,068.3873,723.2843,723.8213,724.643,725.4873,726.8373,727.1643,728.023,728.4013,725.3643,532.5813,619.6233,503.7563,610.362
Totaal eigen vermogen van aandeelhouders 46,019.74443,871.22242,548.24839,963.72237,776.27335,283.3833,695.86731,266.39530,470.48128,884.10128,216.75227,050.84426,384.74926,053.78125,696.27225,847.098
Totaal eigen vermogen 50,442.77148,632.15747,173.4644,432.29342,197.26539,578.89438,001.22435,526.38734,712.90733,052.56732,364.23131,146.09130,446.83330,123.15529,748.53529,914.327
Totaal passiva en aandeelhoudersvermogen 63,142.24162,586.69360,687.78857,779.25356,381.79553,064.30451,448.06649,165.31948,281.81646,985.48245,559.82544,064.46943,425.70643,121.14742,381.14343,579.605