Mitsui & Co., Ltd.

TSE:8031.T

3217 (JPY) • At close November 5, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 1,063,6841,154,627937,670350,381411,312431,763441,302326,150-66,914326,924373,863331,975472,679310,940168,296177,607408,914.155301,030.918203,625.239121,387.59868,598.83631,144.9355,290.47351,578.89635,552.81530,010.71833,006.33236,143.98230,416.42626,006.34311,911.84617,526.12826,999.37541,130.49
Afschrijvingen & Amortisatie 303,573272,689296,396273,639256,125186,322192,587193,329253,168268,367219,147198,852153,475147,388136,951147,126138,897.292,488.95172,975.51966,698.83966,305.25858,514.71758,214.48861,541.56865,351.41764,546.86165,347.21555,453.7853,764.24554,950.27970,424.55856,735.95950,703.55147,127.216
Uitgestelde Inkomstenbelasting 0000000000000000000000000000000000
Aandelen Gebaseerde Vergoedingen 0000000000000000000000000000000000
Verandering in Werkkapitaal -200,655-157,233-400,70958,062-142,309-162,256-108,516-90,675115,624-25,439-148,3432,438-206,618-15,229285,71069,889-24,528.867-141,030.923-140,772.131,608.493-92,160.138-92,019.1123,854.384-14,880.953-40,382.24315,005.359118,849.41532,059.21745,731.738-102,038.176399,113.533-192,971.172-316,711.173102,254.771
Vorderingen -37,128216,139-416,102-40,799105,425-60,026-198,407-121,022338,168151,918-44,45727,8840000000000000000000000
Voorraden 53,91553,699-291,352-34,11638,159-54,4669,813-60,272107,124-161-13,508106,338-33,045-49,02779,03558,943-75,281.6849,425.626-69,209.041-73,561.742-32,839.868-27,487.7632,562.899-37,832.9311,130.29220,007.14527,549.642,475.615-7,282.806-27,475.1437,849.096-33,926.725-61,067.48459,205.329
Crediteuren 30,955-295,922369,080139,474-178,92179,34399,814111,917-228,2580000000000000000000000000
Overig Werkkapitaal -248,397-131,149-62,335-6,497-106,972-127,107-118,329-30,4038,500-25,278-134,835-103,900-173,57333,798206,67510,94650,752.818-150,456.549-71,563.0975,170.235-59,320.27-64,531.351-28,708.51522,951.978-41,512.535-5,001.78691,299.77429,583.60253,014.545-74,563.036361,264.437-159,044.446-255,643.68943,049.442
Overige Niet-Contante Posten 257,221-222,546-26,46190,6141,248-45,15928,272-24,633285,11370,1154,576-71,835-38,55261,37541,403188,044-108,684.816-13,549.33711,417.13810,830.51957,547.9654,503.62816,347.904-2,648.305-12,946.97928,343.456-39,927.0151,609.15-1,713.601-6,566.386-10,177.90830,940.622105,061.05222,406.593
Kasstroom uit Operationele Activiteiten 864,4191,047,537806,896772,696526,376410,670553,645404,171586,991639,967449,243461,430380,984504,474632,360582,666414,597.673238,939.609147,245.765200,525.448100,291.91552,144.163133,707.24995,591.20647,575.009137,906.394177,275.947125,266.129128,198.808-27,647.939471,272.029-87,768.462-133,947.195212,919.07
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -294,771-228,065-185,525-215,690-287,839-307,719-174,154-191,472-300,832-378,374-406,516-398,918-340,864-313,498-188,359-253,638-281,284.28-326,951.388-248,587.574-170,393.015-113,427.862-123,164.042-89,049.559-76,548.63-159,987.667-132,666.427-153,852.098-156,087.538-111,598.294-97,372.586-188,363.12-133,145.744-153,877.836-138,785.419
Netto Overnames 86,602-103,428-27,067-56,5189,101-389,628-114,995-226,787-172,229-155,355-294,495-230,59200-44,8493,48053,943.564-11,428.57174,387.948-72,918.345-47,018.351-11,207.456-164,409.41-169,743.75-157,110.5677,646.77869,473.00676,248.94834,807.52949,247.89260,215.8719,536.00511,812.2270
Aankoop van Beleggingen -550,715-100,431-106,017-73,208-28,931-99,192-83,507-79,293-65,769-68,157-165,784-3820-170,523-12,891-345,543-399,840.468-458,556.685-371,351.23-93,185.355-131,567.98-287,264.791112,308.77345,399.5170-220,316.778-176,876.676-283,581.721-48,623.441-271,295.403-94,894.629-88,618.353-130,904.450
Verkoop/verval van Beleggingen 296,800171,34563,05052,590103,50372,55768,352142,52488,565123,496159,3119,1550064,262270,239415,794.203261,561.11177,730.7102,192.916176,501.26331,268.802103,137.997203,415.0590263,784.682245,950.412313,289.104161,935.336212,197.933159,871.133156,299.528322,703.6520
Overige Investeringsactiviteiten 24,01582,23874,368-29,64818,9364,94656,0931,72942,20691,99347,666-132,560-97,32701,74434,570106,890.02117,938.1418,361.5829,865.423-18,974.14677,154.486-70,176.36943,129.541353,678.58158,151.719-211,080.8198,417.092247,722.50851,580.687-245,808.793529,654.29818,854.386-186,307.714
Kasstroom uit Investeringsactiviteiten -438,069-178,341-181,191-322,474-185,230-719,036-248,211-353,299-408,059-386,397-659,818-753,297-438,191-484,021-180,093-290,892-104,496.96-417,437.394-349,458.574-224,438.376-134,487.08-13,213.001-108,188.56945,651.73736,580.353146,599.975-226,386.175-41,714.116284,243.639-55,641.478-308,979.539483,725.73568,587.979-325,093.133
Financieringsactiviteiten:
Schuldaflossingen -546,945-1,258,804-1,261,549-1,040,086-884,505-695,941-599,029-603,447-522,716-554,949-537,806-162,38900-212,413-314,094000000000000000000
Uitgifte van Gewone Aandelen 01,144,3811,068,421778,144884,883960,6480000000058,108000205,037.6682,573.58900000000003,950.0950797.2264,501.072
Terugkoop van Gewone Aandelen -139,259-270,246-174,915-71,337-58,092-17-49,992-48,647-14-23-50,216-1300-31-724-1,595.373-1,296.024-823.917-750.63-312.761-1,061.759000000000000
Uitgekeerde Dividenden -242,368-198,082-148,206-135,476-139,071-139,038-105,844-102,187-114,737-118,323-83,970-91,270-98,571-56,589-12,779-101,719-71,891.516-53,372.605-31,779.662-14,261.97-12,718.933-12,623.135-12,626.43-12,610.977-12,638.717-12,861.736-12,643.555-12,378.076-12,423.61-10,799.976-10,896.107-10,830.366-10,815.695-10,765.888
Overige Financieringsactiviteiten -10,522-51,934-98,076-18,208-7,7761,72452,581655,369586,905547,079608,539312,905155,96590,409-47,330406,763-111,077.876326,597.927-79,566.856184,118.821729.77531,498.85-113,372.051-178,445.325-70,694.614-235,679.407-377,310.292-37,629.351-134,517.713-74,476.636-463,895.097-155,288.847-641,368.027160,472.404
Kasstroom uit Financieringsactiviteiten -1,002,556-634,685-614,325-486,963-204,561127,376-652,292-50,265-50,548-126,193-13,237221,63557,39433,820-214,445-9,774-184,564.765271,929.29992,867.233171,679.809-12,301.91917,813.956-125,998.481-191,056.302-83,333.332-248,541.143-389,953.847-50,007.427-146,941.323-85,276.612-470,841.109-166,119.214-651,386.496154,207.589
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 84,28027,75153,33841,158-33,9595,717-24,52912,438-38,37947,07617,59564,294-10,134-14,61315,768-33,455-26,622.7949,425.62614,006.5926,112.273-10,216.848-4,482.9823,189.83522,951.978-29,182.079-8,217.2213,974.4558,912.2158,889.307-8,035.182-32,298.442-51,717.009-16,781.6-96,850.662
Netto Kasstroomverandering -491,926262,26264,7184,417102,626-175,273-372,44013,04590,005174,453-206,217-5,938-9,94739,660253,590248,54599,012.864102,857.139-95,338.985153,879.154-56,713.93152,262.136-97,289.966-26,861.381-28,360.04927,748.005-425,089.6242,456.801274,390.431-176,601.212-340,847.061178,121.051-733,527.311-54,817.136
Kaspositie aan het Einde van de Periode 898,2041,390,1301,127,8681,063,1501,058,733956,1071,131,3801,503,8201,490,7751,400,7701,226,3171,425,1741,431,1121,441,0591,401,3991,147,809896,699.584798,821.77701,271.197793,523.164639,804.036660,060.166607,530.65705,962.492730,374.01767,536.017733,592.3561,155,864.7371,116,411.338835,399.7631,024,972.8011,357,849.9991,180,810.7572,994,581.847