ITOCHU Corporation

TSE:8001.T

7979 (JPY) • At close November 12, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995
Operationele Activiteiten:
Nettowinst 801,770844,681878,973440,883559,209545,689431,720374,593276,368295,621254,425302,670321,893174,218139,684165,390218,585177,059145,14677,792-31,94420,07830,19170,507-88,271-34,088-95,00112,49011,694
Afschrijvingen & Amortisatie 415,803409,962404,184424,297422,624154,944114,102107,046123,417108,807104,73687,16977,17175,43876,37764,98871,56956,38344,06240,08640,18433,79435,83931,85438,65445,55544,34936,70328,444
Uitgestelde Inkomstenbelasting 00000000000000000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000000000000000
Verandering in Werkkapitaal -88,646-205,728-143,536-13,46418,234-73,983-67,725-52,39188,25623,21229,550-89,943-134,76853,74293,630-5,040-194,514-25,0849,906-29,779108,52665,656124,01178,544156,391102,039-53,01965,381-108,744
Vorderingen -193,369-58,394-304,709-4,876252,470-11,645-185,873-117,284216,24479,1332,733-55,81800000000000000000
Voorraden 3,628-197,452-153,20038,527-11,349-32,287-53,414-65,08535,373-19,86715,021-53,0620049,255-7,188-13,473-45,132-26,045-42,90726,59220,78048,361-8,592105,35515,543-73,216-10,2711,919
Crediteuren 231,41950,118314,373-47,115-222,887-30,051171,562129,978-163,36100000000000000000000
Overig Werkkapitaal -130,32422,010-98,11472,4405,34036,245-14,31112,69452,88343,07914,529-14,8160044,3752,148-181,04120,04835,95113,12881,93444,87675,65087,13651,03686,49620,19775,652-110,663
Overige Niet-Contante Posten 639,109-110,857-338,45844,184-121,934-150,099-89,885-39,555-68,637-24,01139,390-54,235-51,46633,470-14,31551,516-30,08827,559-13,96738,52568,01449,31526,462-20,570118,04214,814125,70022,13832,465
Kasstroom uit Operationele Activiteiten 978,108938,058801,163895,900878,133476,551388,212389,693419,404403,629428,101245,661212,830336,868295,376276,85465,552235,917185,147126,624184,780168,843216,503160,335224,816128,32022,029136,712-36,141
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -202,546-194,081-157,142-165,022-199,527-113,572-107,829-89,317-95,866-115,844-120,352-113,387-132,821-81,431-95,123-131,189-118,800-79,159-68,809-68,656-71,735-47,310-38,257-46,633-103,549-139,321-135,567-183,176-144,912
Netto Overnames -357,863-250,76236,610-20,694-36,980236,617-164,036-17,115173,334-155,876-136,833-69,71900-2,42710,2869,6845,877-43,22418,79923,789-4,173-37,613168,911184,84372,625070,77497,279
Aankoop van Beleggingen -126,739-60,776-72,920-92,864-173,921-84,399-76,641-43,933-99,951-60,977-117,062-10,021-291,3320-201,188-311,607-180,214-168,263-136,064-173,686-46,611-100,132-127,639-184,526-286,294-472,255-784,103-619,186-726,902
Verkoop/verval van Beleggingen 80,42443,488184,15835,54588,41294,69358,69838,65659,26235,33096,35201,072090,65392,939147,240129,939126,86584,10248,767126,114166,682578,861327,583855,228648,456577,400435,146
Overige Investeringsactiviteiten 12,8858,32547,93135,73973,25067,81033,45830,403-594,03921,2647,518-6,8636,766-148,98911,76713,53876,31628,21241,36111,841-9,51030,754250,83548,09475,075-9,87289,983-5,845-6,318
Kasstroom uit Investeringsactiviteiten -593,839-453,80638,637-207,296-248,766201,149-256,350-81,306-557,260-276,103-270,377-199,990-416,315-230,420-196,318-326,033-65,774-83,394-79,871-127,600-55,3005,253214,008564,707197,658306,405-181,231-160,033-345,707
Financieringsactiviteiten:
Schuldaflossingen 00000000000000000000000000000
Uitgifte van Gewone Aandelen 0495,59980,070675,667627,204995,320745,1651,020,7181,568,314970,920525,900000461,718640,6161,08200274,077056,1826,4757,53854,2870000
Terugkoop van Gewone Aandelen -100,083-60,181-60,036-14,266-62,016-68,700-27,895-16,756-1,315-101,709-36-1200-111-119-67800-2040-276405,914000000
Uitgekeerde Dividenden -225,458-188,372-135,356-129,008-133,537-116,437-92,845-83,037-75,922-77,529-64,852-75,13400-31,693-38,703-34,040-20,633-20,491-3,266-7,226-10,685-13,878-2,2220-4,276-8,552-8,552-8,552
Overige Financieringsactiviteiten -21,40454,766-14,093-531,774-5,77418,947-3,806670-64,531-6,138-12,291-11,323101,69152,905-2,9702,118324,994600,863514,1931,586555,456461,272-4332,433492,262691,8781,168,9271,146,5711,134,553
Kasstroom uit Financieringsactiviteiten -413,329-500,081-846,706-728,767-575,482-538,318-296,136-335,39681,770-97,896-77,855-11,32384,70452,905-258,987258,322-81,294-100,920-85,193-125,342-79,695-114,041-232,047-717,602-320,418-418,241214,43040,898390,848
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 23,49310,11630,28117,280-14,692508-9,175-273-11,33516,9233,53521,879-1,486-4,3056,783-26,634-5,0293,5464,690-313-4,376-5,6336,3343,309-5,992-3,9403,4242,538885
Netto Kasstroomverandering -5,567-5,71323,375-67,21439,193139,890-173,449-27,282-67,42146,55383,40456,227-120,267155,048-153,146182,509-86,54555,14924,773-126,63145,40954,422204,79810,74996,06412,54458,65220,1159,885
Kaspositie aan het Einde van de Periode 600,435606,002611,715544,009611,223572,030432,140605,589632,871700,292653,739569,716513,489630,722475,674628,820446,311532,856477,707452,934579,565534,156479,734274,936264,187168,123155,57996,92776,812