Unicharm Corporation

TSE:8113.T

4767 (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 253,770217,153187,547199,522128,787135,065169,903175,742138,503138,781108,90174,32166,956118,56999,87574,62586,85065,47146,35867,812
Kortetermijnbeleggingen 80,60590,450119,75297,58886,41853,52059,11929-2,1603,0133,01311,21219,9087011,4995,5346,90613,11211,91412,743
Liquide middelen en kortetermijnbeleggingen 334,375307,603307,299297,110215,205188,585229,022175,771138,503138,781111,91485,53386,864119,270101,37480,15993,75678,58358,27280,555
Nettovorderingen 151,561152,971129,367112,698121,784100,15998,821101,097112,50088,44280,95174,26663,15457,49147,12844,71141,81140,64931,12335,802
Voorraad 102,965117,59089,81161,61765,24071,93960,52957,40164,02862,43251,62744,78433,66022,39220,08522,69019,29920,37612,07216,176
Overige vlottende activa 50,00125,59221,26619,53724,89123,75818,80417,98116,66229,10420,6996,1456,9595,5663,6646,7302,8852,9803,1902,450
Totaal vlottende activa 638,902603,756547,743490,962427,120384,441407,176352,250331,693321,772265,191210,728190,637204,719172,251154,290157,751142,588104,657134,983
Niet-vlottende activa:
Materiële vaste activa, netto 285,585271,662271,689258,814284,105240,628228,521244,325247,808240,082204,417163,129116,82198,38995,35684,24786,46386,72572,79677,109
Goodwill 45,32544,97942,44645,53547,55647,93723,13162,07567,35972,14873,46376,68678,90565,02212,02912,7342,5422,72402,677
Immateriële activa 95,72790,52385,40790,00694,162100,12146,56321,00722,46924,03022,02220,70818,8042,4672,5823,4931,2021,30200
Goodwill en immateriële activa 95,72790,52385,40790,00694,162100,12146,56383,08289,82896,17895,48597,39497,70967,48914,61116,2273,7444,02602,677
Langetermijnbeleggingen 90,651-24,100-52,934-58,954-43,137-2,751-24,75523,64625,77133,76119,0928,452-5,60912,32616,55310,07513,45416,49216,83116,856
Belastingvorderingen 13,89414,86013,91113,07813,1419,4189,4512,8432,195027,77636,61645,14653,1071,103785646222012,969
Overige niet-vlottende activa 8,86892,517121,83999,50788,61163,62669,6875,3935,3027,3158,45718,73327,7937,9857,89912,68913,37718,71021,0815,761
Totaal niet-vlottende activa 494,725445,462439,912402,451436,882411,042329,467359,289370,904377,336355,227324,324281,860239,296135,522124,023117,684126,175110,708115,372
Totaal activa 1,133,6271,049,218987,655893,413864,003795,483736,643711,538702,598699,108620,415535,052472,497444,015307,773278,313275,435268,763215,365250,355
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 125,156171,035167,241145,316150,007153,494138,48093,25793,79991,58678,43353,18575,52066,41364,24462,30364,01023,82819,88920,876
Kortlopende schulden 20,94210,78733,8828,97510,26418,8346,1896,7533,84627,9797,7096,2288,2678,3716,3054,6663,4276,98130,75938,223
Belastingschulden 15,60714,60013,63916,1837,04113,57911,0709,3377,66705,7393,2344,3481,95310,3904,3326,6963,0472,8466,723
Uitgestelde opbrengsten 15,607019,09421,94813,03914,21211,30956,00053,864046,03444,7768,3516,42514,2487,6319,97539,1202,8466,723
Overige kortlopende verplichtingen 108,36874,84154,23356,97643,55844,95838,00119,98417,12170,61816,72717,35814,2238,9347,5275,9215,0215,4416,2516,823
Totaal kortlopende verplichtingen 270,073256,663274,450233,215216,868231,498193,979175,994168,630190,183148,903121,547106,36190,14392,32480,52182,43375,37059,74572,645
Langlopende verplichtingen:
Langetermijnschulden 13,58816,2354,43224,20227,60121,42858,00065,52565,1785,42021,00076,333115,804127,9969431,2061,4511,738344677
Uitgestelde opbrengsten niet-vlottend 26,812044,70048,22650,67312,57010,3367,6485,29504,9952,9252,7542,6232,3256,1606,1057,48300
Uitgestelde belastingverplichtingen niet-vlottend 18,02524,94024,28521,11620,68221,08418,2279,0938,16001,4601,5761,3656881,3781,5562,5144,74202,476
Overige niet-vlottende verplichtingen 16,87942,7674,3504,0015,2795,2333,0733,3074,24710,66311,9093,4733,0062,9333,3903,2803,7622,38117,58023,375
Totaal niet-vlottende verplichtingen 75,30483,94277,76797,545104,23560,31589,63685,57382,88016,08339,36484,307122,929134,2408,03612,20213,83216,34417,92426,528
Totaal passiva 345,377340,605352,217330,760321,103291,813283,615261,567251,510206,266188,267205,854229,290224,383100,36092,72396,26591,71477,66999,173
Eigen vermogen:
Preferente aandelen 004,45328,88512,17715,276002,25900000000000
Gewone aandelen 15,99315,99315,99315,99315,99315,99315,99315,99315,99215,992015,99215,99215,99215,99215,99215,99215,99215,99215,992
Ingehouden winsten 710,792644,859599,946547,259513,066480,457434,298401,388366,777334,558306,974275,609238,568217,111188,696168,283154,331117,428114,411128,106
Overige gereserveerde algehele resultaten 59,24726,521-4,453-28,885-12,177-15,2764,510-2,043-18,25151,649012,09100000000
Overige totale aandeelhoudersvermogen -90,313-68,490-58,300-70,250-55,986-54,994-67,234-27,69220,69217,69167,455-13,249-40,527-30,879-20,799-16,608-8,07227,7467,2937,084
Totaal eigen vermogen van aandeelhouders 695,719618,883557,639493,002473,073441,456387,567387,646387,469419,890374,429290,443214,033202,224183,889167,667162,251161,166137,696151,182
Totaal eigen vermogen 788,250708,613635,438562,653542,900503,670453,028449,971451,088492,842432,148329,198243,207219,632207,413185,590179,170177,049137,696151,182
Totaal passiva en aandeelhoudersvermogen 1,133,6271,049,218987,655893,413864,003795,483736,643711,538702,598699,108620,415535,052472,497444,015307,773278,313275,435268,763215,365250,355