Nagase & Co., Ltd.

TSE:8012.T

3257 (JPY) • At close November 14, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 59,18540,89754,21149,25451,40844,06843,30339,83043,28340,57534,98046,69329,18447,20242,80726,13723,49021,92223,53917,853
Kortetermijnbeleggingen 225-7,945-8,613-7,507-6,632-4,975-109-483-1,023-1,139-1,281-837-1,122-599-5110,000-102-118-42-183
Liquide middelen en kortetermijnbeleggingen 59,41040,89754,21149,25451,40844,06843,30339,83043,28340,57534,98046,69329,18447,20242,80736,13723,49021,92223,53917,853
Nettovorderingen 320,186301,084288,614241,995220,384230,104225,397206,208195,445207,403202,060194,944196,467184,922185,034164,404229,859216,569193,299171,459
Voorraad 147,990169,720157,52497,24195,68581,00173,67063,11962,91969,01257,45851,86245,25836,71431,05140,07142,94643,37240,26836,316
Overige vlottende activa 14,88418,43113,93713,26111,86010,65413,73912,05810,68712,85811,86412,25211,3718,4668,8838,53513,3209,7639,1939,032
Totaal vlottende activa 542,470530,132514,286401,751379,337365,827356,109321,215312,334329,848306,362305,751282,280277,304267,775249,147309,615291,626266,299234,660
Niet-vlottende activa:
Materiële vaste activa, netto 87,39282,06572,55470,89674,30866,46767,22567,62066,47466,77363,91360,96856,72739,91640,32239,20735,83731,83330,81929,673
Goodwill 27,88429,00429,49230,21635,24623,86625,47823,03424,58227,62629,78030,72632,0790000000
Immateriële activa 41,46539,92435,57834,38237,35113,41315,61217,70819,93421,21823,25024,56925,3743,6742,5222,7683,3752,9441,506520
Goodwill en immateriële activa 69,34968,92865,07064,59872,59737,27941,09040,74244,51648,84453,03055,29557,4533,6742,5222,7683,3752,9441,506520
Langetermijnbeleggingen 78,20277,68884,213101,22682,75695,238100,51295,03182,36893,77767,55657,70750,13651,32553,73933,56962,64888,18393,37066,080
Belastingvorderingen 4,5963,8573,5721,9032,0852,2901,6141,5241,5442,3812,7022,2498961,046968919836757712827
Overige niet-vlottende activa 10,32716212103892444,8914,6414,8434,8994,5744,7783,3502,0712,76215,3587,5587,5164,0673,530
Totaal niet-vlottende activa 249,866232,554225,430238,833232,135201,518215,332209,558199,745216,674191,775180,997168,56298,032100,31391,821110,254131,233130,474100,630
Totaal activa 792,336762,688739,720640,587611,477567,346571,445530,775512,081546,525498,141486,747450,842375,336368,088340,968419,869422,859396,773335,290
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 156,352140,438149,036119,941108,285117,256118,028102,07697,800105,737105,014107,941109,163101,679108,64390,007134,864141,461118,810110,648
Kortlopende schulden 104,67794,904101,62843,26551,94948,67740,49435,11525,38140,95127,39335,46950,24616,13810,41219,88824,34814,20719,31110,532
Belastingschulden 5,1952,9137,1003,5654,6253,5941,7381,8494,3052,2683,7202,9473,1703,9471,9921,1824,3423,9974,0103,677
Uitgestelde opbrengsten 010,26915,2459,8109,9189,2367,5076,5698,7366,8148,0217,1557,0507,5394,9873,7478,0147,2614,0103,681
Overige kortlopende verplichtingen 36,45127,41019,58219,74815,73913,86717,76614,31611,16013,84011,47719,45519,11016,75316,06715,17820,38317,44918,11616,390
Totaal kortlopende verplichtingen 302,675286,203307,836206,139200,434201,866193,040166,494156,118176,424163,646165,812181,689138,517137,114126,255183,937177,114160,247141,247
Langlopende verplichtingen:
Langetermijnschulden 60,02572,46048,24465,80674,03827,68338,01240,33453,36950,32257,14062,61438,4643,55811,10411,0522,3026,2845,5233,487
Uitgestelde opbrengsten niet-vlottend 013,26213,23813,29213,67712,46114,51814,62514,06010,80311,87510,28310,0327,2956,8156,8886,6916,8516,8358,347
Uitgestelde belastingverplichtingen niet-vlottend 13,56710,36012,31016,0779,28012,07516,36513,5038,43320,27212,5069,2517,2518,8109,4983,99310,75919,79021,4979,803
Overige niet-vlottende verplichtingen 14,7502,0163,0028448076537076239551,2051,0849846628438048491,1121,151297472
Totaal niet-vlottende verplichtingen 88,34298,09876,79496,01997,80252,87269,60269,08576,81782,60282,60583,13256,40927,50328,22122,78227,55534,07634,15222,109
Totaal passiva 391,017384,301384,630302,158298,236254,738262,642235,579232,935259,026246,251248,944238,098166,020165,335149,037211,492211,190194,399163,356
Eigen vermogen:
Preferente aandelen 0309,065298,821284,764272,342262,89200000000000000
Gewone aandelen 9,6999,6999,6999,6999,6999,6999,6999,6999,6999,6999,6999,6999,6999,6999,6999,6999,6999,6999,6999,699
Ingehouden winsten 303,328290,279280,015265,920257,067247,617232,534219,721213,572205,203206,351199,160186,907181,665171,286168,257165,664156,749145,709134,778
Overige gereserveerde algehele resultaten 81,23158,60945,43944,92232,97844,78253,35850,54239,30555,06927,34716,76300000000
Overige totale aandeelhoudersvermogen -1939,08654,54654,06738,55450,3588,04410,25311,38511,42630,67219,6944,5814,5814,8484,9564,83838,7564,1213,740
Totaal eigen vermogen van aandeelhouders 394,065367,674344,260329,686305,320307,674303,635290,215273,961281,397246,722228,553204,817201,752195,580184,835200,738205,204196,619167,090
Totaal eigen vermogen 401,315378,387355,090338,429313,241312,608308,803295,196279,146287,499251,890237,803212,744209,316202,753191,931208,377211,669202,374171,934
Totaal passiva en aandeelhoudersvermogen 792,332762,688739,720640,587611,477567,346571,445530,775512,081546,525498,141486,747450,842375,336368,088340,968419,869422,859396,773335,290