Iwatani Corporation

TSE:8088.T

1980 (JPY) • At close November 5, 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 33,93733,73029,97538,78225,52519,94718,23321,67723,30922,23720,99514,38219,24719,95719,24320,63518,67816,84420,65822,359
Kortetermijnbeleggingen 322-18,670-13,417-11,869-10,238-10,603-1,380-1,858-2,637-2,920-4,758-716-636-1,188-1,591-2,094-2,935-2,570-3,077-3,038
Liquide middelen en kortetermijnbeleggingen 33,93733,73029,97538,78225,52519,94718,23321,67723,30922,23720,99514,38219,24719,95719,24320,63518,67816,84420,65822,359
Nettovorderingen 172,656150,389131,094108,425107,041122,179125,079115,399106,632110,254124,325111,128119,436113,132107,756102,750132,946131,629127,008121,077
Voorraad 74,46369,61056,13741,04042,23241,01939,36637,14433,66037,59145,33840,99537,06332,32631,46833,92942,00539,97840,38932,913
Overige vlottende activa 28,51749,46042,26531,36628,97414,69011,90610,24412,27711,72710,83712,27410,02710,7138,67211,6959,1229,2678,53312,100
Totaal vlottende activa 309,573303,189259,471219,613203,772197,835194,584184,464175,878181,809201,495178,779185,773176,128167,139169,009202,751197,718196,588188,449
Niet-vlottende activa:
Materiële vaste activa, netto 225,412207,442185,747178,023171,793164,441160,249156,639145,003136,979132,436127,188124,177125,016120,679122,118120,276120,157116,738120,578
Goodwill 19,56923,95812,22913,79112,90414,13514,31312,67214,08714,15714,02715,04216,04411,37311,61512,28010,1978,6271,7851,808
Immateriële activa 16,93312,9103,9503,7043,8633,5973,3403,0122,7892,8552,8902,6632,8652,8703,3584,0895,0095,5889,7189,510
Goodwill en immateriële activa 36,50236,86816,17917,49516,76717,73217,65315,68416,87617,01216,91717,70518,90914,24314,97316,36915,20614,21511,50311,318
Langetermijnbeleggingen 225,901104,35993,20890,78274,00774,14771,12166,71456,16162,40654,72943,25037,35337,36740,30034,84842,69750,23552,53439,979
Belastingvorderingen 3,6663,6253,2413,4873,2333,2632,1252,4222,6893,0232,7312,3632,1272,0642,0373,7042,5012,3371,3353,972
Overige niet-vlottende activa 33,3375166321161391829,7018,7647,8707,5947,90717,01417,78819,12220,98220,26021,38623,93723,17517,894
Totaal niet-vlottende activa 524,818352,810299,007289,903265,939259,765260,849250,223228,599227,014214,720207,520200,354197,812198,971197,299202,066210,881205,285193,741
Totaal activa 834,391656,003558,479509,518469,715457,603455,436434,690404,479408,824416,219386,302386,127373,940366,110366,308404,817408,599401,873382,190
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 101,00273,07166,48065,54167,84472,51271,78270,68076,46497,987103,40198,500107,11594,19797,83595,737123,811129,128118,012109,568
Kortlopende schulden 142,77638,75444,28734,63158,95535,48444,29347,67146,78963,10470,83069,97462,96064,62059,15968,22175,13775,12481,24179,400
Belastingschulden 12,5428,3628,5188,1686,6505,4366,3696,7193,5673,3477,0384,8805,5684,9633,7642,0774,7064,0914,8022,013
Uitgestelde opbrengsten 7,20125,29613,90713,91811,80210,47511,27811,4478,0587,71111,5229,16310,0169,3688,0896,4328,8298,26310,0205,558
Overige kortlopende verplichtingen 61,53475,34861,62656,89152,53054,25151,16652,47141,17823,87619,45321,30117,03720,19619,65520,77217,99118,09917,59119,383
Totaal kortlopende verplichtingen 312,513212,469186,300170,981191,131172,722178,519182,269172,489192,678205,206198,938197,128188,381184,738191,162225,768230,614226,864213,909
Langlopende verplichtingen:
Langetermijnschulden 110,100100,44166,68861,52867,62090,87487,76087,61389,72278,68790,26881,40296,436101,48699,824103,554103,930104,078105,530106,573
Uitgestelde opbrengsten niet-vlottend 1,3898,1727,0426,8437,2717,5667,3817,0207,1026,9066,4335,5715,4665,3365,2154,7434,1323,3893,2472,834
Uitgestelde belastingverplichtingen niet-vlottend 21,83614,90410,83010,9045,2075,8068,8356,9434,1465,4833,0933,9282,1542,1272,5136345045657321,019
Overige niet-vlottende verplichtingen 15,6207,7887,3137,4137,3366,6497,0435,9666,4387,1296,1625,5625,3925,3615,8215,0425,3875,1774,5954,701
Totaal niet-vlottende verplichtingen 148,945131,30591,87386,68887,434110,895111,019107,542107,40898,205105,95696,463109,448114,310113,373113,973113,953113,209114,104115,127
Totaal passiva 461,458343,774278,173257,669278,565283,617289,538289,811279,897290,883311,162295,401306,576302,691298,111305,135339,721343,823340,968329,036
Eigen vermogen:
Preferente aandelen 0269,272242,051214,637166,071148,22400000000000000
Gewone aandelen 35,09635,09635,09635,09620,09620,09620,09620,09620,09620,09620,09620,09620,09620,09620,09620,09620,09620,09620,09620,096
Ingehouden winsten 245,694203,801176,672149,289130,762112,96896,45580,84966,17455,53452,33943,63737,31728,26724,14819,85018,68414,71410,66110,044
Overige gereserveerde algehele resultaten 51,03832,70328,07627,78616,19417,18521,28616,84111,83616,7127,7002,75500000000
Overige totale aandeelhoudersvermogen 30,501-238,897-211,768-184,385-150,858-133,06416,57016,62916,67416,66416,59016,63213,74114,96416,68614,22321,44325,10825,50017,947
Totaal eigen vermogen van aandeelhouders 362,329301,975270,127242,423182,265165,409154,407134,415114,780109,00696,72583,12071,15463,32760,93054,16960,22359,91856,25748,087
Totaal eigen vermogen 372,930312,229280,306251,849191,150173,986165,898144,879124,582117,941105,05790,90179,55171,24967,99961,17365,09664,77660,90553,154
Totaal passiva en aandeelhoudersvermogen 834,391656,003558,479509,518469,715457,603455,436434,690404,479408,824416,219386,302386,127373,940366,110366,308404,817408,599401,873382,190