Hasegawa Co., Ltd.

TSE:8230.T

310 (JPY) • At close November 5, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,9912,940.8163,786.7263,640.9892,445.3341,577.4651,870.1732,052.9312,070.8961,303.542,468.862,770.093,796.9253,766.3143,036.7883,569.1623,809.497
Kortetermijnbeleggingen 62-4,784.788417.646391.549311.803-1,769.874-1,894.235-548.269-479.479-401.306-373.5160-377.842-504.965-387.706-194.956-345.968
Liquide middelen en kortetermijnbeleggingen 2,0532,940.8163,786.7263,640.9892,445.3341,577.4651,870.1732,052.9312,070.8961,303.542,468.862,770.093,796.9253,766.3143,036.7883,569.1623,809.497
Nettovorderingen 1,0041,158.168913.247824.679724.1251,151.5911,237.6631,214.0741,022.424950.51,256.787923.299959.574995.6341,236.708759.493836.271
Voorraad 3,6243,835.8813,245.3372,834.0833,070.9972,661.6652,737.5692,877.8663,124.5913,196.7362,599.852,894.4563,021.7323,366.7413,505.9483,342.1383,514.824
Overige vlottende activa 23821.618168.606172.775320.06866.36451.58354.55936.708220.99534.114362.525358.411487.288618.993554.546775.552
Totaal vlottende activa 6,9197,956.4838,113.9167,472.5266,560.5245,457.0855,896.9886,199.436,254.6195,671.7716,359.6116,950.378,136.6428,615.9778,398.4378,225.3398,936.144
Niet-vlottende activa:
Materiële vaste activa, netto 1,8031,733.5611,912.4432,056.9742,130.8622,378.5762,390.2982,338.9682,515.7442,610.5982,572.432,578.3082,665.3662,866.3212,992.8113,186.2293,449.873
Goodwill 00000000000000000
Immateriële activa 3,5493,702.2153,968.8034,196.0776,267.1196,074.375204.898212.331203.985162.655127.759191.333233.771250.818223.09658.47118.627
Goodwill en immateriële activa 3,5493,702.2153,968.8034,196.0776,267.1196,074.375204.898212.331203.985162.655127.759191.333233.771250.818223.09658.47118.627
Langetermijnbeleggingen 7175,242.8468.067.8047.3232,234.6542,438.3211,085.307960.2171,191.067968.772605.322890.5111,015.451998.862796.4751,470.876
Belastingvorderingen 258177.13174.304286.25490.39284.6847.204203.778250.965121.581370.19493.213515.191625.306708.81,508.121,033.606
Overige niet-vlottende activa 5,078-593.5814,183.8563,724.2471,440.646-462.4646,170.0057,873.5358,352.8597,858.0997,323.3557,943.3638,694.2169,808.8810,408.99310,322.0867,738.62
Totaal niet-vlottende activa 11,40510,262.17110,247.46610,271.35210,336.3410,509.82111,250.72611,713.91912,283.7711,94411,362.50611,811.53912,999.05514,566.77615,332.56215,871.3813,811.602
Totaal activa 18,32418,218.66218,361.38517,743.8816,896.86715,966.91517,147.71417,913.34918,538.38917,615.77117,722.11718,761.90921,135.69723,182.75323,730.99924,096.71922,747.746
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 548830.707520.496523.945435.013516.516477.8431,022.5361,106.9211,023.5781,438.9051,219.8911,563.621,641.0091,619.0621,586.6772,238.161
Kortlopende schulden 1,1051,317.8091,475.1391,207.9911,508.8261,454.3611,744.2771,576.4431,746.7782,361.6792,643.5863,248.7144,202.5175,663.4636,225.7155,965.0725,828.171
Belastingschulden 153642.787420.073255.79345.507131.704295.899281.608467.232155.643627.283442.666760.453180.928119.918120.799145.134
Uitgestelde opbrengsten 1,0502,914.0662,582.5081,116.886921.3731,846.1231,971.8231,361.0191,572.2851,176.3481,785.888697.9611,018.83408.89335.936308.609338.798
Overige kortlopende verplichtingen 1,63493.958449.5642,714.7281,040.204130.846140.22987.16558.04258.3275.7811,056.233981.773927.25884.296825.778963.854
Totaal kortlopende verplichtingen 4,3375,156.545,027.7075,563.553,905.4163,947.8464,334.1724,047.1634,484.0264,619.9255,944.166,222.7997,766.748,640.6129,065.0098,686.1369,368.984
Langlopende verplichtingen:
Langetermijnschulden 1,2301,585.1582,902.9672,468.5853,588.0491,315.0491,891.783,248.0423,802.8732,799.9871,669.3773,506.5455,214.9766,798.4727,249.9298,003.0366,220.406
Uitgestelde opbrengsten niet-vlottend 28-137.8-150.862-140.812-48.133-96.027-137.9790000000000
Uitgestelde belastingverplichtingen niet-vlottend 306137.8150.862140.81248.13396.027137.9790000000000
Overige niet-vlottende verplichtingen 516531.649542.903494.099492.273421.557553.934729.513706.71702.1431,180.5011,429.7961,485.3561,533.1731,300.7431,419.8391,130.999
Totaal niet-vlottende verplichtingen 2,0802,116.8073,445.872,962.6844,080.3221,736.6062,445.7143,977.5554,509.5833,502.132,849.8784,936.3416,700.3328,331.6458,550.6729,422.8757,351.405
Totaal passiva 6,4177,273.3478,473.5778,526.2347,985.7385,684.4526,779.8868,024.7188,993.6098,122.0558,794.03811,159.1414,467.07216,972.25717,615.68118,109.01116,720.389
Eigen vermogen:
Preferente aandelen 00000000000000000
Gewone aandelen 4,0374,037.644,037.644,037.644,037.644,037.644,037.644,033.5084,026.574,009.1753,988.2793,922.7293,916.8123,915.7683,915.7683,915.7683,915.768
Ingehouden winsten 6,1235,338.324,325.9093,700.3993,484.8384,708.9584,711.1354,289.2894,015.8243,797.3073,465.5622,262.1321,455.2211,016.236889.203747.095630.988
Overige gereserveerde algehele resultaten 1,4301,261.0231,215.85786.7022.057152.051239.325194.777138.5750015100000
Overige totale aandeelhoudersvermogen 313308.332308.4021,392.9051,386.5941,383.8141,379.7251,371.0571,363.8111,687.2341,474.2381,266.9081,296.5921,278.4921,310.3471,324.8451,480.601
Totaal eigen vermogen van aandeelhouders 11,90310,945.3159,887.8089,217.6468,911.12910,282.46310,367.8259,888.6319,544.789,493.7168,928.0797,602.7696,668.6256,210.4966,115.3185,987.7086,027.357
Totaal eigen vermogen 11,90310,945.3159,887.8089,217.6468,911.12910,282.46310,367.8259,888.6319,544.789,493.7168,928.0797,602.7696,668.6256,210.4966,115.3185,987.7086,027.357
Totaal passiva en aandeelhoudersvermogen 18,32018,218.66218,361.38517,743.8816,896.86715,966.91517,147.71117,913.34918,538.38917,615.77117,722.11718,761.90921,135.69723,182.75323,730.99924,096.71922,747.746