Okamura Corporation

TSE:7994.T

2004 (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 38,21638,53439,95245,15632,59427,27927,45226,53628,93324,02126,54527,26027,65226,59323,71919,48820,51417,51324,67623,095
Kortetermijnbeleggingen 957491-6,85410510500-5,1121053021331321531322122172122807584614
Liquide middelen en kortetermijnbeleggingen 39,17339,02539,95245,16633,10427,77927,45226,54629,46324,04226,87627,58128,18326,91523,84119,66020,63618,32025,26023,709
Nettovorderingen 81,26073,57168,92766,83471,58164,93870,13966,58368,44162,79457,18053,13254,76144,24444,03548,83759,41564,12256,61257,413
Voorraad 21,34721,16420,64814,79718,13519,11317,70115,96415,10915,74214,05012,49912,66612,71611,52015,78816,84815,32614,93513,677
Overige vlottende activa 3,2103,6832,4822,5161,9812,5892,5032,2292,0192,6691,9021,7161,7741,5261,3391,4991,4411,7831,7511,607
Totaal vlottende activa 144,990137,443132,009129,313124,801114,419117,795111,322115,032105,247100,00894,92897,38485,40180,73585,78498,34099,55198,55896,406
Niet-vlottende activa:
Materiële vaste activa, netto 76,76671,08064,32858,24558,09757,17156,34356,27351,35050,23748,47145,91343,42344,77347,79051,09051,11849,77547,57748,328
Goodwill 2,5282,1612,4080005181764011,2921,6411,1031,3901,5261,7830000
Immateriële activa 3,3823,0523,1403,3763,7623,9784,0404,5055,1074,6453,5952,7042,1522,0872,2462,3472,6902,9892,7181,889
Goodwill en immateriële activa 5,9105,2135,5483,3763,7623,9784,0454,5235,2835,0464,8874,3453,2553,4773,7724,1302,6902,9892,7181,889
Langetermijnbeleggingen 47,02743,68548,07954,35348,56952,65354,52632,62231,56532,75225,82323,13419,03518,64518,85315,94822,65928,28329,24818,676
Belastingvorderingen 16,5862222161841,0951,0531,5551,6651,9201,5421,5051,5461,5481,6501,6142,1652,0952,0742,0132,406
Overige niet-vlottende activa 7,059-4,735-4,813-1-1-31,49812,33412,33212,56210,2158,0898,0337,8997,6588,7778,9537,0825,8545,917
Totaal niet-vlottende activa 153,348115,465113,358116,157111,522114,852117,967107,417102,450102,13990,90183,02775,29476,44479,68782,11087,51590,20387,41077,216
Totaal activa 298,338252,914245,372245,473236,327229,276235,765218,741217,485207,387190,913177,959172,678161,845160,422167,894185,855189,754185,968173,622
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 42,87128,90629,21327,85027,32425,11528,76430,00732,10534,20931,36129,03730,14334,08329,52937,43246,74247,85650,49049,298
Kortlopende schulden 11,7757,50811,7627,7828,79611,83512,69312,2628,4079,22812,37414,3309,69212,75117,17516,55212,98413,04616,57020,840
Belastingschulden 6,7476,1466,4996,7246,0254,0603,8963,7294,8603,7103,6093,2054,6931,0121,0499252,8894,2211,9172,583
Uitgestelde opbrengsten 1,76113,92612,55710,65010,4448,0547,7467,4148,5986,9606,8535,9177,3382,0241,9562,4605,8347,1974,6265,411
Overige kortlopende verplichtingen 19,88416,13016,74222,68920,84921,94725,65520,67920,31515,52215,05311,80712,1043,5522,7332,9263,3813,4962,5812,717
Totaal kortlopende verplichtingen 76,29166,47070,27468,97167,41366,95174,85870,36269,42565,91965,64161,09159,27752,41051,39359,37068,94171,59574,26778,266
Langlopende verplichtingen:
Langetermijnschulden 9,46813,6509,83013,93813,34310,69510,30711,22716,04115,05912,98812,60117,34516,17913,73415,63916,29414,80112,6709,140
Uitgestelde opbrengsten niet-vlottend 40115,16915,94215,90915,57315,66515,50215,67415,86113,70113,42713,34112,41112,53312,05211,71011,4799,6559,86516,605
Uitgestelde belastingverplichtingen niet-vlottend 19,4767278872,7354081,8935,7652,9673,3444,5472,3331,5935147321,5926683,4516,1736,504367
Overige niet-vlottende verplichtingen 17,9044,1974,3194,1454,0953,6703,7504,2634,3244,6183,2982,9683,2133,3533,3573,5682,5692,5595,5145,280
Totaal niet-vlottende verplichtingen 47,24933,74330,97836,72733,41931,92335,32434,13139,57037,92532,04630,50333,48332,79730,73531,58533,79333,18834,55331,392
Totaal passiva 123,540100,213101,252105,698100,83298,874110,182104,493108,995103,84497,68791,59492,76085,20782,12890,955102,734104,783108,820109,658
Eigen vermogen:
Preferente aandelen 0139,892132,174125,566125,521119,13700000000000000
Gewone aandelen 18,67018,67018,67018,67018,67018,67018,67018,67018,67018,67018,67018,67018,67018,67018,67018,67018,67018,67018,67018,670
Ingehouden winsten 125,234112,162100,36790,24292,52886,13778,99170,81965,39258,36553,53248,85344,79741,90342,12642,54740,90936,79532,13525,089
Overige gereserveerde algehele resultaten 19,40110,86310,45713,1908,76010,79513,2239,8609,58711,7976,2964,27900000000
Overige totale aandeelhoudersvermogen 9,050-130,832-119,037-108,912-111,198-104,80714,33714,34014,34714,34514,35314,37016,27515,95716,91215,11819,75625,88922,85116,954
Totaal eigen vermogen van aandeelhouders 172,355150,755142,631138,756134,281129,932125,221113,689107,996103,17792,85186,17279,74276,53077,70876,33579,33581,35473,65660,713
Totaal eigen vermogen 174,795152,701144,120139,775135,495130,402125,583114,248108,490103,54393,22686,36579,91876,63878,29476,93983,12184,97177,14863,964
Totaal passiva en aandeelhoudersvermogen 298,335252,914245,372245,473236,327229,276235,765218,741217,485207,387190,913177,959172,678161,845160,422167,894185,855189,754185,968173,622