Nipro Corporation

TSE:8086.T

1358 (JPY) • At close September 19, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 96,58289,67895,34290,27495,925129,438141,940123,188126,667112,87184,957106,00095,73781,11559,26649,20049,46947,93453,39556,153
Kortetermijnbeleggingen 3,085-23,958-24,898-8,042-5,920-6,2866,341-227-253-140-9800000-223-303-2,405-2,459
Liquide middelen en kortetermijnbeleggingen 99,66789,67895,34290,27495,925129,438141,940123,188126,667112,87184,957106,00095,73781,11559,26649,20049,46947,93453,39556,153
Nettovorderingen 154,878160,271140,285140,521152,462148,970147,470127,442119,615121,440110,53389,04073,47065,44159,45253,79356,40954,00547,94542,347
Voorraad 227,063207,793176,144164,219153,279137,924129,217115,328102,701102,47490,48581,65471,60360,94154,70351,11348,07740,21340,55833,649
Overige vlottende activa 42,55831,54725,68826,35431,36426,62117,42020,81719,13413,56110,14411,2809,6259,5246,5076,7598,7915,0813,9653,216
Totaal vlottende activa 524,166489,289437,459421,368433,030442,953436,047386,775368,117350,346296,119287,974250,435217,021179,928160,865162,746147,233145,863135,365
Niet-vlottende activa:
Materiële vaste activa, netto 481,508432,550377,752335,906307,551284,483270,273244,222223,756220,195191,593174,702145,678128,505124,208126,739118,811104,881106,19398,786
Goodwill 15,60714,51415,06013,56514,73819,32727,35827,99628,87626,36428,49322,74011,8947,8335618511,4252401112
Immateriële activa 19,53119,49017,75016,23818,66320,07118,63615,84016,03718,00513,72311,5257,2555,7331,8141,5971,7371,6611,180939
Goodwill en immateriële activa 35,13834,00432,81029,80333,40139,39845,99443,83644,91344,36942,21634,26519,14913,5662,3752,4483,1621,9011,291941
Langetermijnbeleggingen 33,04661,17869,90655,24145,21267,65162,93669,11558,81364,21665,60563,14171,829105,56472,87536,86960,14877,60770,71844,165
Belastingvorderingen 22,26410,37712,39312,07712,67011,3353,7061,4593,9477,8998,4538,8056,5972,48933414015961431238
Overige niet-vlottende activa 22,84700-1-1-17,8007,4309,3338,27915,66510,4145,9989,3653,6763,5794,2764,97614,24414,253
Totaal niet-vlottende activa 594,803538,109492,861433,026398,833402,866390,709366,062340,762344,958323,532291,327249,251259,489203,468169,775186,556189,426192,877158,383
Totaal activa 1,118,9691,027,399930,321854,396831,865845,821826,759752,839708,882695,306619,654579,302499,686476,510383,396330,640349,302336,659338,740293,748
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 81,50276,14173,54467,21969,53969,64662,10557,58756,18551,75045,66140,87843,75739,35234,99532,76935,3966,1234,6264,614
Kortlopende schulden 189,814157,201162,642147,899170,710152,521141,383154,550151,907177,668160,440143,260127,956117,97188,78968,84363,60950,26963,19450,443
Belastingschulden 6,1254,8975,5283,2183,3945,3504,9934,3044,2663,93410,7344,2663,2763,1654,9322,2812,2268,4043,3313,493
Uitgestelde opbrengsten 34535,02238,06332,36021,16727,86826,27722,33620,47119,79325,78917,7027,73411,5058,8715,8535,78342,25139,08036,918
Overige kortlopende verplichtingen 94,81434,54637,74424,02327,98824,24221,42117,31923,58429,19018,82411,9189,6427,5735,5497,3304,0475,4614,3854,266
Totaal kortlopende verplichtingen 366,475302,910311,993271,501289,404274,277251,186251,792252,147278,401250,714213,758189,089176,401138,204114,795108,835104,104111,28596,241
Langlopende verplichtingen:
Langetermijnschulden 414,969448,730402,210397,384370,610390,546383,061314,265271,407229,340224,346228,993190,294179,635116,937114,264106,70584,21592,06886,183
Uitgestelde opbrengsten niet-vlottend 25,3126,0146,7376,6167,2205,9515,3795,8065,5884,3764,7753,8142,8592,4532,7562,6892,9982,5642,9782,867
Uitgestelde belastingverplichtingen niet-vlottend 10,7671,2766172152282047831,7661,9852,1621,9762,2121,7617,4657,7719139,83317,41715,0546,753
Overige niet-vlottende verplichtingen 31,65326,2968,8984,6293,1683,0142,8662,8052,2502,2191,8851,7631,7331,5191,6581,4191,3871,3393,3533,396
Totaal niet-vlottende verplichtingen 482,701482,316418,462408,844381,226399,715392,089324,642281,230238,097232,982236,782196,647191,072129,122119,285120,923105,535113,45399,199
Totaal passiva 849,176785,226730,455680,345670,630673,992643,275576,434533,377516,498483,696450,540385,736367,473267,326234,080229,758209,639224,738195,440
Eigen vermogen:
Preferente aandelen 0169,171168,316160,980148,343164,2890000018,98200000000
Gewone aandelen 84,39784,39784,39784,39784,39784,39784,39784,39784,39784,39784,39784,39784,39728,66328,66328,66328,66328,66328,66328,663
Ingehouden winsten 104,32195,52194,66787,32674,76890,71983,57078,42273,06758,88552,56754,78848,38946,63147,21941,45739,47639,14834,54532,181
Overige gereserveerde algehele resultaten 54,69437,14616,92244440-2,80110,6599,50610,00725,4275,773-18,98200000000
Overige totale aandeelhoudersvermogen -10,747-179,918-179,064-171,723-159,165-175,116-6,005-6,245-1,475-1,051-17,312-19,212-22,96531,21638,42724,92950,01757,84049,18235,856
Totaal eigen vermogen van aandeelhouders 232,665206,317185,238161,024148,783161,488172,621166,080165,996167,658125,425119,973109,821106,510114,30995,049118,156125,651112,39096,700
Totaal eigen vermogen 269,788242,173199,866174,051161,235171,829183,484176,405175,505178,808135,958128,762113,950109,037116,07096,560119,544127,020114,00298,308
Totaal passiva en aandeelhoudersvermogen 1,118,9641,027,399930,321854,396831,865845,821826,759752,839708,882695,306619,654579,302499,686476,510383,396330,640349,302336,659338,740293,748