Astena Holdings Co., Ltd.

TSE:8095.T

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

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

2023202220212020201920182017201620152014201320122011201020092008
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 6,758.2676,925.82110,927.0617,567.7034,915.9914,746.3854,929.1174,175.8764,562.554,341.5923,835.5274,426.0914,554.2123,512.7781,679.8611,479.601
Kortetermijnbeleggingen 123.003122.003-568.508-240.925-190.727-191.8200.068225.562-21.575209.235-93.705-84.075-32.085-51.131-42.024-37.019
Liquide middelen en kortetermijnbeleggingen 6,881.276,925.82110,927.0617,567.7034,915.9914,746.3854,929.1174,175.8764,562.554,550.8273,835.5274,426.0914,554.2123,512.7781,679.8611,479.601
Nettovorderingen 19,558.1316,059.40514,234.41513,097.92415,940.04215,374.55614,533.12414,155.46313,688.25315,689.2915,681.06414,460.89614,621.96314,750.09914,404.11616,235.418
Voorraad 10,795.9319,489.4689,338.1718,369.4356,690.7475,771.5375,134.6134,683.525,246.024,999.014,571.0154,385.2274,428.6134,219.9393,813.2673,865.886
Overige vlottende activa 658.7254,274.843,557.3352,841.2462,829.7782,263.492,368.2152,040.0691,757.2652,027.366946.863498.915486.741508.606118.387190.252
Totaal vlottende activa 37,894.05636,749.53438,056.98231,876.30830,376.55828,155.96826,965.06925,054.92825,254.08827,266.49325,034.46923,771.12924,091.52922,991.42220,015.63121,771.157
Niet-vlottende activa:
Materiële vaste activa, netto 14,812.15813,119.79911,950.03210,136.0417,934.7787,377.767,115.6486,685.5428,111.8038,048.677,405.4857,479.4647,460.0028,737.215,302.5785,450.611
Goodwill 4,031.9684,512.0674,394.8123,967.287369.686389.6690000000330.57141.761
Immateriële activa 3,426.7513,773.0514,017.0323,500.5411,093.096741.28178.29979.28246.856311.244351.726340.78273.197317.146326.391329.085
Goodwill en immateriële activa 7,458.7198,285.1188,411.8447,467.8281,462.7821,130.9578.29979.28246.856311.244351.726340.78273.197320.146356.962370.846
Langetermijnbeleggingen 4,842.2723,814.2344,181.363,934.6564,044.7024,122.7783,550.3393,164.7543,515.7182,732.1313,738.1632,614.9222,229.6892,216.1144,241.3534,618.966
Belastingvorderingen 1,048.915583.145423.226448.319442.974209.85205.556202.369209.734479.667466.379459.372491.62519.772257.717289.756
Overige niet-vlottende activa 1,198.63999.987530.203455.96453.757481.232618.926641.206702.62878.275682.749618.349573.089733.891569.93496.711
Totaal niet-vlottende activa 29,360.69426,802.28325,496.66522,442.80414,338.99313,322.5711,568.76810,773.15112,786.73112,449.98712,644.50211,512.88711,027.59712,527.13310,728.5411,226.89
Totaal activa 67,254.7563,551.81963,553.6554,319.11344,715.55541,478.54138,533.83735,828.07938,040.81939,716.4837,678.97135,284.01635,119.12635,518.55530,744.17132,998.047
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 12,073.4588,475.1558,851.8438,180.5339,706.7969,586.857120.391134.51244.2029,797.339,559.5629,266.35211,371.82711,596.62412,284.80313,493.998
Kortlopende schulden 12,352.07210,101.1999,134.4455,999.3963,950.7393,335.042,641.4452,067.7222,302.8683,758.6382,717.282,393.0923,055.9494,132.3113,809.3354,413.716
Belastingschulden 572.641,118.3391,147.85732.403670.517564.756377.246566.786364.841424.58277.383315.327525.847294.428284.43269.032
Uitgestelde opbrengsten 572.6405,062.0814,672.6152,653.14564.75611,042.9110,446.18810,441.1511,744.8471,613.0331,552.1261,862.3831,513.9171,162.9021,014.969
Overige kortlopende verplichtingen 4,983.459,215.723,590.8764,073.6494,531.3175,548.1583,634.2693,333.5493,786.7513,332.623,170.0242,514.877112.999193.2169.31472.855
Totaal kortlopende verplichtingen 29,981.6227,792.07426,639.24522,926.19320,841.99219,034.81117,439.01515,981.96916,774.97218,633.43517,059.89915,726.44716,403.15817,436.06217,326.35418,995.538
Langlopende verplichtingen:
Langetermijnschulden 4,493.3324,914.3195,999.1976,172.3631,022.028689.351777.2721,268.2551,484.361,335.1541,157.51,315.51,477.58409801,220
Uitgestelde opbrengsten niet-vlottend 146.28302,665.1512,448.7341,793.5791,778.0751,579.5651,681.1541,591.5291,713.0941,655.0561,603.5641,473.221,495.016655.621907.989
Uitgestelde belastingverplichtingen niet-vlottend 965.738728.789936.999815.148448.91556.793538.737452.64599.846404.022365.992194.449114.877181.495153.466150.834
Overige niet-vlottende verplichtingen 3,066.253,047.938306.787305.424177.229199.957271.826212.142231.445250.875559.347573.095412.256548.3323.847163.488
Totaal niet-vlottende verplichtingen 8,671.6038,691.0469,908.1349,741.6693,441.7463,224.1763,167.43,614.1913,907.183,703.1453,737.8953,686.6083,477.8533,064.8112,112.9342,442.311
Totaal passiva 38,653.22336,483.1236,547.37932,667.86224,283.73822,258.98720,606.41519,596.1620,682.15222,336.5820,797.79419,413.05519,881.01120,500.87319,439.28821,437.849
Eigen vermogen:
Preferente aandelen 0000000000000000
Gewone aandelen 4,581.3974,557.44,528.3042,687.0782,663.6792,637.082,604.9812,572.3822,572.3822,572.3822,572.3822,572.3822,572.3822,572.3822,572.3822,572.382
Ingehouden winsten 15,462.23815,031.85315,027.32213,942.57512,431.6211,285.39310,189.1828,545.8839,234.549,659.099,466.9528,914.9268,412.0536,951.9066,577.5196,840.404
Overige gereserveerde algehele resultaten 2,328.4191,390.2461,181.5581,164.6051,556.9631,606.0721,515.691,115.9781,4331,02771800000
Overige totale aandeelhoudersvermogen 6,048.2326,007.1066,262.5013,856.9933,771.063,658.923,595.3613,994.5354,118.7454,121.4284,123.8434,383.6534,253.682,168.5572,154.9822,147.412
Totaal eigen vermogen van aandeelhouders 28,420.28626,986.60526,999.68521,651.25120,423.32219,187.46517,905.21416,228.77817,358.66717,379.916,881.17715,870.96115,238.11511,692.84511,304.88311,560.198
Totaal eigen vermogen 28,601.52227,068.69927,006.27121,651.25120,431.81719,219.55417,927.42216,231.91917,358.66717,379.916,881.17715,870.96115,238.11515,017.68211,304.88311,560.198
Totaal passiva en aandeelhoudersvermogen 67,254.74563,551.81963,553.6554,319.11344,715.55541,478.54138,533.83735,828.07938,040.81939,716.4837,678.97135,284.01635,119.12635,518.55530,744.17132,998.047