Credit Saison Co., Ltd.

TSE:8253.T

3607 (JPY) • At close September 19, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 108,745159,671108,970101,001109,76182,64274,61263,26664,86951,83652,74257,52460,08564,11164,23267,36657,24555,96266,31454,30873,42175,725
Kortetermijnbeleggingen 0-70,805-52,468-40,610-21,320-27,607267,709260,859256,761251,556244,312233,417235,005233,095214,756199,253000000
Liquide middelen en kortetermijnbeleggingen 108,745159,671108,970101,001109,76182,642342,321324,125321,630303,392297,054290,941295,090297,206278,988266,61957,24555,96266,31454,30873,42175,725
Nettovorderingen 3,344,5733,053,0402,847,5372,655,0882,614,1982,433,1701,972,7751,804,7701,635,7511,483,4891,424,1161,317,3601,408,8671,537,5471,742,8321,778,2231,760,98700000
Voorraad 153,773133,247128,462139,530135,380151,385103,587102,84499,76794,55084,61581,241185,035231,109206,196191,110198,02800000
Overige vlottende activa -3,607,0911,0302,794,5452,607,8382,565,4092,393,197-22,834-24,327-9,806-14,934-30,086-45,187-74,076-92,821-95,775-47,1082,50000000
Totaal vlottende activa 3,607,0913,284,4673,031,9772,848,3692,810,5502,627,2242,395,8492,207,4122,047,3421,866,4971,775,6991,644,3551,814,9161,973,0412,132,2412,188,8442,018,76055,96266,31454,30873,42175,725
Niet-vlottende activa:
Materiële vaste activa, netto 46,12439,79742,70643,94546,97929,34176,49071,15061,95059,28562,83364,83763,13659,56960,59747,918212,242205,952199,940185,737162,711145,814
Goodwill 1,6591,6511,1523632831,0850000000000000000
Immateriële activa 138,569150,458162,317171,421181,058219,972210,605200,622175,749149,626138,941114,296000047,82641,04929,453000
Goodwill en immateriële activa 138,569150,458162,317171,421181,058219,972210,605200,622175,749149,626138,941114,29698,93776,63157,69343,20847,82641,04929,453000
Langetermijnbeleggingen 343,550317,242279,402260,688221,936263,801-75,485-92,520-93,696-93,397-113,911-124,059-150,640-163,465-143,956-133,808000000
Belastingvorderingen 34,33741,61541,37737,56947,91032,1488,40221,39733,17154,89564,72168,44576,17432,45331,25536,81344,65700000
Overige niet-vlottende activa 166,17662,52152,99247,25048,78939,973324,162311,987326,470336,389357,811373,923253,383253,017236,299224,089127,152-247,001-229,393-185,737-162,711-145,814
Totaal niet-vlottende activa 728,756611,633578,794560,873546,672585,235544,174512,636503,644506,798510,395497,442340,990258,205241,888218,220431,877247,001229,393185,737162,711145,814
Totaal activa 4,335,8523,896,1053,610,7783,409,2473,357,2293,212,4652,940,0252,720,0482,550,9892,373,2992,286,0982,141,8012,155,9062,231,2462,374,1292,407,0642,450,6372,299,6072,062,7351,512,9491,352,7101,280,823
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 322,746253,329244,349229,962230,927314,729295,523238,190239,719235,157273,444256,283240,949171,065206,655205,375000000
Kortlopende schulden 777,315830,194772,200798,091885,872781,446713,226708,369607,545573,205543,158414,777511,591559,662565,478698,143406,901208,390199,700156,304123,644206,719
Belastingschulden 12,31110,38513,0386,0799,3643,1205,1739,5892,38112,62111,7567,7449,4651,53510,9741,900000000
Uitgestelde opbrengsten -777,315-830,194-772,200-798,091-885,872-781,44626,78930,53422,70133,23931,23625,54130,87029,59136,05626,345000000
Overige kortlopende verplichtingen 12,31110,38513,0386,0799,3643,12050,32739,53644,91139,69637,39039,29241,30337,34838,38842,372507,48200000
Totaal kortlopende verplichtingen 335,057263,714257,387236,041240,291317,8491,085,8651,016,629914,876881,297885,228735,893824,713797,666846,577972,235914,383208,390199,700156,304123,644206,719
Langlopende verplichtingen:
Langetermijnschulden 1,815,1832,813,0502,569,0402,439,3112,423,7712,212,1231,243,6171,129,1081,101,520941,630877,580915,076878,209984,7671,087,3471,012,6211,019,780888,209739,822481,098420,626351,694
Uitgestelde opbrengsten niet-vlottend 7,791165,157172,265155,648161,008152,6962,456,1262,273,1668,2410000000000000
Uitgestelde belastingverplichtingen niet-vlottend 188869741,0059031,0251,1271,2092420000000000001
Overige niet-vlottende verplichtingen 1,460,02254,05847,37445,18545,78137,031-2,327,377-2,146,943107,123103,290100,30595,96597,257100,89898,800101,61397,81300000
Totaal niet-vlottende verplichtingen 3,283,1843,032,3512,789,6532,641,1492,631,4632,402,8751,373,4931,256,5401,217,1261,044,920977,8851,011,041975,4661,085,6651,186,1471,114,2341,117,593888,209739,822481,098420,626351,695
Totaal passiva 3,161,2803,296,0653,047,0402,877,1902,871,7542,720,7242,459,3582,273,1692,132,0021,926,2171,863,1131,746,9341,800,1791,883,3312,032,7242,086,4692,031,9761,899,7791,685,5461,207,7151,094,0261,043,916
Eigen vermogen:
Preferente aandelen 542,602481,163442,550414,260384,182360,303344,291302,08700000000000000
Gewone aandelen 75,92975,92975,92975,92975,92975,92935,91434,29275,92975,92975,92975,92975,92975,92975,92975,92975,68575,23174,45969,52663,66863,337
Ingehouden winsten 542,602481,163442,550414,260384,182360,303334,698302,087265,554244,902237,941217,882189,535185,628179,237165,291225,855204,130194,180155,101126,719107,687
Overige gereserveerde algehele resultaten 41,11020,31621,49218,3902,16022,004490,848446,88244,48345,58226,85218,8940000000000
Overige totale aandeelhoudersvermogen -497,190-460,270-420,134-391,868-361,783-327,541-726,624-640,28732,74978,71478,71578,72087,23183,67283,80577,08284,73993,79892,07876,68367,86665,004
Totaal eigen vermogen van aandeelhouders 705,053598,301562,387530,971484,670490,998479,127445,061418,715445,127419,437391,425352,695345,229338,971318,302386,279373,159360,717301,310258,253236,028
Totaal eigen vermogen 717,611600,040563,738532,057485,475491,741480,667446,879418,987447,082422,985394,867355,727347,915341,405320,595418,661399,828377,189305,234258,684236,907
Totaal passiva en aandeelhoudersvermogen 3,878,8913,896,1053,610,7783,409,2473,357,2293,212,4652,940,0252,720,0482,550,9892,373,2992,286,0982,141,8012,155,9062,231,2462,374,1292,407,0642,450,6372,299,6072,062,7351,512,9491,352,7101,280,823