Ten Allied Co.,Ltd.

TSE:8207.T

267 (JPY) • At close November 12, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 3,928.3983,398.113,167.7661,524.8491,449.5881,521.5951,824.2221,746.8392,488.9463,002.5742,467.1332,749.1312,688.0911,876.8982,602.8433,072.3273,312.263
Kortetermijnbeleggingen 0-1,655.164-1,844.496-1,909.437-3,729.904-3,911.1100100100-3,994.461-4,350.598-4,471.04500000
Liquide middelen en kortetermijnbeleggingen 3,928.3983,398.113,167.7661,524.8491,449.5881,521.5951,824.2221,746.8392,488.9463,002.5742,467.1332,749.1312,688.0911,876.8982,602.8433,072.3273,312.263
Nettovorderingen 0358.336209.655788.578117.124183.09167.677155.365145.957138.632122.031118.142125.93599.069124.299126.059120.959
Voorraad 146.042169.533147.101201.055190.233174.935201.18180.229178.057198.95176.934151.277143.051142.793158.023218.275293.546
Overige vlottende activa 173.305165.835142.518122.363364.129478.984309.892333.207337.925319.733399.873318.188423.667388.77406.538402.018449.049
Totaal vlottende activa 4,688.7774,091.8143,667.042,636.8452,121.0742,358.6042,502.9712,415.643,150.8853,659.8893,165.9713,336.7383,380.7442,507.533,291.7033,818.6794,175.817
Niet-vlottende activa:
Materiële vaste activa, netto 1,382.471,466.3511,635.9571,808.5822,259.2852,512.1162,705.6242,476.1652,497.9141,949.8642,766.0082,816.5592,849.0293,283.5783,878.1444,137.5544,389.763
Goodwill 000000000000.93500000
Immateriële activa 58.86873.84451.56943.56784.526159.092165.611154.764127.39747.126111.3917300000
Goodwill en immateriële activa 58.86873.84451.56943.56784.526159.092165.611154.764127.39747.126111.39173.93572.04112.993168.147225.031162.309
Langetermijnbeleggingen 423.1841,9162,0782,0973,8694,0754,242.3594,372.0724,484.2484,1864,4984,60700000
Belastingvorderingen 0.87-16.17-23.775-11.412-10.256-18.454-4,242.359-4,372.072-4,484.248-4,186-4,498-4,60700000
Overige niet-vlottende activa 1,649.40116.2823.92512.33411.18318.8794,256.6044,395.1494,508.2834,186.6734,498.554,607.544,627.2355,056.4485,447.5275,503.2515,606.391
Totaal niet-vlottende activa 3,514.7933,456.3053,765.6763,950.0716,213.7386,746.6337,127.8397,026.0787,133.5946,183.6637,375.9497,498.0347,548.3048,453.0199,493.8189,865.83610,158.463
Totaal activa 8,203.577,548.1217,432.7196,586.9198,334.8149,105.249,630.819,441.71810,284.4799,843.55210,541.9210,834.77210,929.04810,960.54912,785.52113,684.51514,334.28
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 264.079272.024191.539156.252230.568382.033389.54766.914838.793762.618703.47839.613775.717781.73865.89909.0221,053.191
Kortlopende schulden 2,199.3912,540.0292,650.5132,665.1011,199.585349.173449.132443.649541.173469.947356.746341.375550.0571,007.39644.073543.204744.4
Belastingschulden 41.396350.67368.002144.975221.046196.986345.513262.74233.39329.87120.227194.669192.88171.203132.342173.013218.045
Uitgestelde opbrengsten 0905.656462.4471,116.09979.912898.9031,006.445569.665545.738598.849344.077434.672415.607580.325391.574439.197519.167
Overige kortlopende verplichtingen 867.4-601.715-239.78127.601-429.267-526.288-676.275-1,000.355-1,049.997-1,070.634-807.622-1,012.707-947.511-926.914-975.461-1,057.662-1,242.509
Totaal kortlopende verplichtingen 3,372.2663,738.6913,324.2594,266.2712,432.4121,682.841,903.8951,809.5271,947.891,853.2681,420.3681,637.2351,762.4672,395.4641,924.3081,915.7962,345.485
Langlopende verplichtingen:
Langetermijnschulden 680.612680.4720.587151.863134.895834.4811,183.6541,302.3791,735.2971,099.717811.47571.534665.648424.7431,051.0181,146.6761,215
Uitgestelde opbrengsten niet-vlottend 01,242.7031,280.5121,317.4991,264.8761,233.4551,182.651,206.0121,290.1881,153.656987.24924.016927.752912.697798.397770.4745.329
Uitgestelde belastingverplichtingen niet-vlottend 149.10396.34687.85170.64653.58665.44172.40773.81463.03555.14145.35344.2737.12847.75241.22641.22672.922
Overige niet-vlottende verplichtingen 1,261.29942.00442.00542.00242.00242.00242.00442.00242.00342.00242.00242.00242.00342.00442.00342.20325.203
Totaal niet-vlottende verplichtingen 2,091.0142,061.4532,130.9551,582.011,495.3592,175.3792,480.7152,624.2073,130.5232,350.5161,886.0651,581.8221,672.5311,427.1961,932.6442,000.5052,058.454
Totaal passiva 5,463.285,800.1445,455.2145,848.2813,927.7713,858.2194,384.614,433.7345,078.4134,203.7843,306.4333,219.0573,434.9983,822.663,856.9523,916.3014,403.939
Eigen vermogen:
Preferente aandelen 2,5002,5002,5001,00000002.6200000000
Gewone aandelen 505050505,257.2015,257.2015,257.2015,257.2015,257.2015,257.2015,257.2015,257.2015,257.2015,257.2015,257.2015,257.2015,257.201
Ingehouden winsten -8,716.86-8,744.508-7,597.073-7,257.324-2,089.131-1,243.323-1,263.9-1,404.95-1,134.397-779.043774.3631,167.4031,041.235700.0692,480.0653,443.3383,553.343
Overige gereserveerde algehele resultaten 324.9182.531159.29180.60280.78975.312116.44869.956-2.627411610400000
Overige totale aandeelhoudersvermogen 8,582.2467,759.9546,865.2876,865.361,158.1841,157.8311,136.4511,085.7771,083.2621,087.611,087.9231,087.1111,195.6141,180.6191,191.3031,067.6751,119.797
Totaal eigen vermogen van aandeelhouders 2,740.2861,747.9771,977.505738.6384,407.0435,247.0215,246.25,007.9845,206.0665,639.7687,235.4877,615.7157,494.057,137.8898,928.5699,768.2149,930.341
Totaal eigen vermogen 2,740.2861,747.9771,977.505738.6384,407.0435,247.0215,246.25,007.9845,206.0665,639.7687,235.4877,615.7157,494.057,137.8898,928.5699,768.2149,930.341
Totaal passiva en aandeelhoudersvermogen 8,203.5667,548.1217,432.7196,586.9198,334.8149,105.249,630.819,441.71810,284.4799,843.55210,541.9210,834.77210,929.04810,960.54912,785.52113,684.51514,334.28