Takashimaya Company, Limited

TSE:8233.T

1219.5 (JPY) • At close November 12, 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 92,89990,84190,672106,67589,82097,09099,541107,15975,48787,887106,45169,49561,12455,50356,01131,16635,13155,01052,59361,304
Kortetermijnbeleggingen 1,853-31,624-31,3318-30,285-32,537-29,2272,0002,0032,00043,099-41,28815,00015,0003,000205,0006009002,001
Liquide middelen en kortetermijnbeleggingen 94,75290,84190,672106,68389,82097,09099,541109,15977,49089,887149,55069,49576,12470,50359,01131,18640,13155,61053,49363,305
Nettovorderingen 156,248142,70795,433100,018115,264116,772150,201132,187128,483128,881113,892105,579128,403126,423109,481115,562114,38585,05873,46078,410
Voorraad 37,13436,35439,29843,30945,97345,51944,74545,04946,15142,39839,23938,23437,86338,56643,21844,89043,73041,49441,14844,071
Overige vlottende activa 39,71130,85843,73832,93336,05237,40933,01439,10538,50126,98129,44022,95520,00430,38628,10614,98014,64376,69622,78817,747
Totaal vlottende activa 327,845301,530269,828283,607287,764307,568327,501325,500290,625288,147332,121236,263262,394265,878239,816206,618212,889258,858190,889203,533
Niet-vlottende activa:
Materiële vaste activa, netto 757,240711,992712,275711,205720,994621,224550,755413,699417,304412,471394,435378,753375,748381,920381,943426,597384,609281,394273,341281,896
Goodwill 2,4672,3942,3802,3542,7691,545971934045186317456697648599551,050000
Immateriële activa 26,53828,21127,57629,41129,97627,40517,937106,979107,922108,98728,08428,23329,12925,68618,55700000
Goodwill en immateriële activa 29,00530,60529,95631,76532,74528,95018,034107,172108,326109,50528,71528,97829,79826,45019,4169551,0506009002,001
Langetermijnbeleggingen 101,495110,323105,894103,964106,883114,280124,45887,114100,547125,04062,791137,38862,47464,52876,39479,30086,836185,636182,286150,108
Belastingvorderingen 17,06223,74626,37519,95920,1126,1024,9468,2569,7716,1334,2927,13113,46716,65517,84019,15010,8893,7386,93217,395
Overige niet-vlottende activa 37,828-1-1-2-1-110,10744,71647,84338,31079,7802,16860,03661,65749,68918,33862,59852,770111,139116,551
Totaal niet-vlottende activa 942,630876,665874,499866,891880,733770,555708,300660,957683,791691,459570,013554,418541,523551,210545,282544,340545,982524,138574,598567,951
Totaal activa 1,270,4751,178,2011,144,3351,150,5061,168,5031,078,1301,035,807986,464974,421979,611902,139790,687803,917817,088785,098750,958758,871782,996765,487771,484
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 124,137110,66393,69886,965102,626108,560102,428101,320103,363101,55895,90187,88387,29787,24885,684103,2850000
Kortlopende schulden 51,92620,02827,15756,29175,03614,13150,7779,51617,88538,08748,22420,02840,46314,58324,71838,48116,07360,89951,77350,245
Belastingschulden 4,5743,2191,0408,3565,0765,0526,2365,59710,0459,7847,8224,0454,1773,0353,2023,5720000
Uitgestelde opbrengsten 98,646102,380120,089127,341110,670111,428107,695102,16496,84892,39089,23584,21983,45784,07583,96411,3310000
Overige kortlopende verplichtingen 13,89518,77817,13336,7071,8811,4851,324-124-6,422-6,674-1,48410,58720,21928,00919,19253,877285,961280,159275,567281,121
Totaal kortlopende verplichtingen 417,315365,731352,815402,625397,915349,216370,888319,793325,082336,703335,599294,645322,910304,198302,444313,831302,034341,058327,340331,366
Langlopende verplichtingen:
Langetermijnschulden 165,371283,779275,077237,251213,840183,472124,519147,113138,662127,683121,94281,78389,634119,63496,82263,95268,92155,606112,875146,492
Uitgestelde opbrengsten niet-vlottend 128,51556,34257,34558,66263,71153,49059,07264,56969,68965,45344,51345,80751,78752,82655,63400000
Uitgestelde belastingverplichtingen niet-vlottend 11,31711,26711,10510,7009,2478,1127,1656,9237,1669,8059,0818,8308,7339,9599,90510,33910,19410,3087,7664,470
Overige niet-vlottende verplichtingen 69,15124,60427,50826,16127,92222,25924,64126,18026,43831,49126,09424,18223,37229,37229,05480,92586,46989,19589,18792,938
Totaal niet-vlottende verplichtingen 374,354375,992371,035332,774314,720267,333215,397244,785241,955234,432201,630160,602173,526211,791191,415155,216165,584155,109209,828243,900
Totaal passiva 791,669741,723723,850735,399712,635616,549586,285564,578567,037571,135537,229455,247496,436515,989493,859469,047467,618496,167537,168575,266
Eigen vermogen:
Preferente aandelen 00000000000000000000
Gewone aandelen 66,02566,02566,02566,02566,02566,02566,02566,02566,02566,02556,02556,02556,02556,02556,02556,02556,02556,02539,16239,086
Ingehouden winsten 320,867294,129271,973270,615308,397296,977284,320265,033249,145229,185221,857206,440193,362185,272174,741169,705161,524145,975127,264109,728
Overige gereserveerde algehele resultaten 45,08531,06921,77218,87721,24532,06539,96932,23834,82451,37435,775000000000
Overige totale aandeelhoudersvermogen 22,10322,10038,79638,79739,03348,84948,85548,92548,93254,52244,53566,96052,76654,94156,63152,67070,32181,59160,82946,594
Totaal eigen vermogen van aandeelhouders 454,080413,323398,566394,314434,700443,916439,169412,221398,926401,106358,192329,425302,153296,238287,397278,400287,870283,591227,255195,408
Totaal eigen vermogen 478,802436,478420,485415,107455,868461,581449,522421,886407,384408,476364,910335,440307,481301,099291,239281,911291,253286,829227,787195,813
Totaal passiva en aandeelhoudersvermogen 1,270,4711,178,2011,144,3351,150,5061,168,5031,078,1301,035,807986,464974,421979,611902,139790,687803,917817,088785,098750,958758,871782,996765,487771,484