Axial Retailing Inc.

TSE:8255.T

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

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 21,01919,54118,45217,02512,37610,87012,13710,36611,31012,21210,946.5255,792.746,715.5516,229.5874,611.2395,528.8995,757.4076,008.7993,750.8483,962.109
Kortetermijnbeleggingen 25406347228249301,0621,2121,4331,6751,934.1561,862.1322,044.0881,902.2011,501.491,231.0065.8785.88432.90145.7
Liquide middelen en kortetermijnbeleggingen 21,02120,08119,08617,74713,20011,80013,19911,57812,74313,88712,880.6817,654.8728,759.6398,131.7886,112.7296,759.9055,763.2856,014.6833,783.7494,007.809
Nettovorderingen 6,5585,3884,6123,3953,1671,9812,7272,6712,3172,1622,059.2591,351.7631,422.7151,281.8331,138.707919.616880.0741,351.345446.41426.814
Voorraad 5,7125,8015,2875,3775,0734,9825,1475,1164,9884,8914,709.72,786.8222,840.1422,345.0672,456.6342,267.6172,331.4882,584.6851,810.7551,692.962
Overige vlottende activa 3,9653,5343,4383,4593,5213,3563,3203,5253,3953,3713,391.7162,440.5892,332.5942,391.2352,301.5052,454.0982,074.2412,392.2681,530.2411,493.836
Totaal vlottende activa 37,25634,80432,42329,97824,96122,11924,39322,89023,44324,31123,041.35614,234.04615,355.0914,149.92312,009.57512,401.23611,049.08812,342.9817,571.1557,621.421
Niet-vlottende activa:
Materiële vaste activa, netto 75,22677,42674,33273,42569,86168,50566,33163,91660,84659,69357,941.43435,427.29629,170.45729,079.23227,373.0727,956.49126,166.92324,745.05618,921.27918,416.582
Goodwill 222000014243343.4850.32747.964153.414389.883725.4631,061.04300.0380.076
Immateriële activa 3,0072,6242,4532,3432,2472,1091,9991,9361,8211,5341,431.5941,229.1971,489.1451,593.4561,807.9782,041.741,462.9571,190.4461,278.4091,109.044
Goodwill en immateriële activa 3,0092,6262,4552,3432,2472,1091,9991,9501,8451,5671,475.0791,229.5241,537.1091,746.872,197.8612,767.2032,5241,190.4461,278.4471,109.12
Langetermijnbeleggingen 3,61510,99711,07511,64211,57912,3132,8132,4091,8892,112785.537235.019-513.549-435.181103.268231.2611,490.1811,650.2291,563.961,739.241
Belastingvorderingen 5,5713,6993,4393,5063,2893,0782,0292,1532,4192,0222,373.9321,345.8541,554.2871,605.373749.552883.001416.938337.887158.533270.06
Overige niet-vlottende activa 8,245-6,800-6,872-7,079-7,224-7,6532,1402,3112,5532,8463,072.982,841.3358,022.7117,979.6348,705.5857,812.6177,017.3257,360.5494,273.564,331.631
Totaal niet-vlottende activa 95,66687,94884,42983,83779,75278,35275,31272,73969,55268,24065,648.96241,079.02839,771.01539,975.92839,129.33639,650.57337,615.36735,284.16726,195.77925,866.634
Totaal activa 132,922122,756116,855113,819104,717100,47499,71095,63493,00192,55788,690.3255,313.0855,126.10554,125.85151,138.91152,051.80948,664.45547,627.14833,766.93433,488.055
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 18,89516,04615,57615,59615,91515,15615,21814,33514,25013,39213,345.6148,873.029,100.4287,898.8767,423.0057,108.8366,777.6126,943.8124,815.5654,590.449
Kortlopende schulden 2663013753654007923,3334,8935,1095,4316,387.0063,305.0134,382.3815,154.5444,335.1967,140.9365,538.935,718.5461,2681,870
Belastingschulden 2,3682,2371,2542,9881,8961,6811,8461,5011,8821,4781,655.698674.348912.5281,125.995858.454729.086670.7571,657.711666.03790.398
Uitgestelde opbrengsten 6675,3654,4736,0144,2503,99003,7614,0763,4693,314.4041,772.7431,982.8732,079.0571,600.3131,441.2041,451.7972,361.9711,076.681,173.939
Overige kortlopende verplichtingen 13,5167,5507,8428,1937,6497,12712,3266,7736,4696,9505,528.083,757.653,619.6942,694.4822,477.9032,155.4851,945.0172,498.2952,962.453,325.374
Totaal kortlopende verplichtingen 33,34429,26228,26630,16828,21427,06530,87729,76229,90429,24228,575.10417,708.42619,085.37617,826.95915,836.41717,846.46115,713.35617,522.62410,122.69510,959.762
Langlopende verplichtingen:
Langetermijnschulden 2,2872,5472,8392,8992,9593,3583,5495,2807,18910,75210,851.8235,784.8195,853.1647,871.5249,340.729,436.9988,411.976,430.53,857.1414,655.906
Uitgestelde opbrengsten niet-vlottend 0-1,311-1,215-1,3780000000000000652.28300
Uitgestelde belastingverplichtingen niet-vlottend 1,5321,3111,2151,3780000000000000.12692.25800
Overige niet-vlottende verplichtingen 12,45812,24311,69411,75411,37910,97110,80210,80310,66810,73310,463.5675,469.8135,633.095,490.1333,095.5453,023.7083,296.2232,739.4333,177.4072,960.745
Totaal niet-vlottende verplichtingen 16,27714,79014,53314,65314,33814,32914,35116,08317,85721,48521,315.3911,254.63211,486.25413,361.65712,436.26512,460.70611,708.3199,914.4747,034.5487,616.651
Totaal passiva 49,62144,05242,79944,82142,55241,39445,22845,84547,76150,72749,890.49428,963.05830,571.6331,188.61628,272.68230,307.16727,421.67527,437.09817,157.24318,576.413
Eigen vermogen:
Preferente aandelen 077,15872,64567,33660,82957,42900000000000000
Gewone aandelen 3,1593,1593,1593,1593,1593,1593,1593,1593,1593,1593,159.7123,159.7123,159.7123,159.7123,159.7123,159.7123,159.7123,159.7123,159.7123,159.712
Ingehouden winsten 64,97359,47654,96349,65343,14538,58033,78729,30424,99021,25918,966.69416,748.67115,238.4613,620.86612,993.21811,963.72411,366.927000
Overige gereserveerde algehele resultaten 2,1421,5461,4111,6621,3361,6511,8461,6351,3981,71998071000000000
Overige totale aandeelhoudersvermogen 13,024-62,635-58,122-52,812-46,304-41,73915,69015,69115,69315,69315,693.425,731.6396,156.3036,156.6576,713.2996,621.2066,716.14117,030.33813,449.97911,751.93
Totaal eigen vermogen van aandeelhouders 83,29878,70474,05668,99862,16559,08054,48249,78945,24041,83038,799.82626,350.02224,554.47522,937.23522,866.22921,744.64221,242.7820,190.0516,609.69114,911.642
Totaal eigen vermogen 83,29878,70474,05668,99862,16559,08054,48249,78945,24041,83038,799.82626,350.02224,554.47522,937.23522,866.22921,744.64221,242.7820,190.0516,609.69114,911.642
Totaal passiva en aandeelhoudersvermogen 132,919122,756116,855113,819104,717100,47499,71095,63493,00192,55788,690.3255,313.0855,126.10554,125.85151,138.91152,051.80948,664.45547,627.14833,766.93433,488.055