SBI Holdings, Inc.

TSE:8473.T

3300 (JPY) • At close September 19, 2024
Overzicht | Financiële gegevens

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

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Operationele Activiteiten:
Nettowinst 21,37227,62729,84727,23343,00852,645-4,57929,16523,52239,275264,17376,24733,02946,64239,22626,75527,7571,10416,66627,83220,21720,1318,71125,53028,66521,18722,88612,98714,7509,73416,1197,15210,13421,56610,7555,04514,86113,51817,05128,3324,1661,7454,1572,54030,4575,2819,228-3,7283,43210,0037,436-7288412,527124-9483,727
Afschrijvingen & Amortisatie 14,24313,13813,89613,85214,54614,35615,01713,41613,34013,6856,2566,2056,0616,3835,8655,8476,1964,8033,9323,7883,3812,8472,5552,4172,2632,8962,7932,7342,7202,8302,6752,5742,6112,8482,7822,6592,8142,7862,8832,9342,9122,9162,9712,8802,6672,0581,8421,8611,8634,3864,6963,4853,7554,3183,0363,9863,811
Uitgestelde Inkomstenbelasting 000000000000000000000000000000000000000000000000000000000
Aandelen Gebaseerde Vergoedingen 000000000000000000000000000000000000000000000000000000000
Verandering in Werkkapitaal -299,938580,783753,451159,255-144,707-634,881-46,050971,914553,286-204,243-168,717226,584-228,754-95,306-52,744-103,207-40,28516,094-117,900148,137-83,544-26,134-194,605124,805-27,047-70,672-63,08921,921-10,897-51,358-20,53364,602-31,20413,80959,248-107,68435,539-120,78582,373-30,4296,703-95,11569,747-31,53539,216-80,57831,632-34,78636,7706,7544,089-24,189-13,120-48,25678,628-75,29328,953
Vorderingen -642,540-234,306-213,917-234,762-283,646-702,766-429,572-447,003-266,544-310,745-117,168-145,181-26,387-69,849-59,884-58,387.5-58,387.5-36,487-90,723-14,072-63,668-128,841-34,872-46,742-57,465-81,300-13,641-16,401-23,443-41,003-35,287-22,125-31,911-39,451-28,5991,6261,461106-27,198-17,971-4,510-1,17644,38628,25624,26213,404-15,270-2,920000000000
Voorraden 0060,614-42,507-53,743-51,76861,750-307,21244200000000000000000000000000000000000000000-221-803289-7223,824-135-350
Crediteuren 67,810-78,979112,89453,78953,743-104,17334,26027,853-442-131,38952,05352,50852,481-14,5820000000000000000000000000000000000000000000
Overig Werkkapitaal 274,792894,068793,860382,735138,939223,826287,5121,698,276819,830106,502-51,549371,765-232,46263,705-109,103-16,736.5-16,736.5110,671-82,918163,308-34,129200,942-201,483148,158-10,68994,302-67,649-14,644-17,22419,686-22,06659,137-11,237119,33168,281-149,33930,930-77,57584,543-56,12410,775-90,55323,180-59,79114,954-94,53900004,310-23,386-13,409-47,53474,804-75,15829,303
Overige Niet-Contante Posten 615,907343,278-77,25622,805-110,19019,782-47,038287,685-300,837-144,020-196,024-30,480-13,323-3,576-23,961-1,693-22,3021,302-14,830-1,107-3,0268,515-15,441-12,254-22,6237,42712,656-1,418-12,116-4,566-17,329-6,191-5,202-276-13,660317-18,145-3,197-10,273-23,964-11,2072,703-5,1302,296-3,114-3,733-5,5231,345-3,948-12,8875851,679-1,757-1,242-5,5644,353-2,902
Kasstroom uit Operationele Activiteiten -251,632625,265719,938223,145-197,343-548,098-82,6501,302,180289,311-295,303-94,312278,556-202,987-45,857-31,614-72,298-28,63423,303-112,132178,650-62,9725,359-198,780140,498-18,742-39,162-24,75436,224-5,543-43,360-19,06868,137-23,66137,94759,125-99,66335,069-107,67892,034-23,1272,574-87,75171,745-23,81969,226-76,97237,179-35,30838,1178,25616,806-19,753-10,281-42,65376,224-67,90233,589
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -12,970-9,987-12,974-10,409-10,110-11,094-8,378-8,978-9,118-10,184-5,354-5,232-5,195-5,008-3,456-3,605-3,350-3,099-2,482-5,379-3,290-4,425-387-1,544-1,976-1,891-1,221-2,308-1,664-2,085-1,103-1,671-1,382-3,237-1,492-1,333-1,161-2,313-1,389-1,114-956-1,588-1,074-1,584-1,163-1,347-1,009-912-1,011-2,139-412-2,005-771-1,094-1,865-883-925
Netto Overnames -7026,269-8,130-1,206-1,4642,618209-8,232-1,176441,739,624-5,8201,6003-1,555309-6,783-464-4,426-5-5,182-522-21,544-3,050-21-81,047-1362,0855733,009-2,206-3,6348201,333142-2,0831,58323,93157-9341,584805-21,8464,912-4,45513,000-1,569-4,2921491-683,811-3,028-742
Aankoop van Beleggingen -784,781-543,385-227,814-437,777-671,439-674,256-1,148,033-1,021,566-182,645-256,835-14,196-13,446-36,673-13,461-43,111-10,995-9,825-13,815-7,322-9,143-6,605-5,013-65,747-10,905-43,694-2,863-10,487-7,737-14,468-9,333-15,169-9,143-32,878-22,084-18,682-9,144-7,783-7,347-5,805-8,075-2,939-2,461-2,880-2,809-1,641-571-5,932-644-2,729-302-2,569-3,061-6,237-992-2,464-1,616-8,549
Verkoop/verval van Beleggingen 181,299187,664399,540448,390821,033886,216888,643192,341137,358463,42317,99114,56216,36710,61915,9207,6006,59611,8866,6117,18913,71814,02352,3747,41633,34411,4006,78311,72018,61111,5478,47713,47929,35114,1797,35237,75611,2467,35936,1103,2763,7355,9154,5605,6445,4633,308704226342953-1,988303,0015,5704,705317620
Overige Investeringsactiviteiten 23,843-6,872-9,072-16,95332,540-37,627-13,585-25,102-32,649-32,781-44,64117,000-12,3237,619-21,140-7,387-1,061-26,750-19,861-4,5112,043-14,836-6,739-2,088-2,5041,422-475-3,0783,255-4,9348,6826,417-1,279-1,1494,2323,605213-4,0109,7897871,7099,643-1,794-744910-182-2,4333151,204-9,4174,493-677-223-7,572-5,425-2,7316,289
Kasstroom uit Investeringsactiviteiten -549,072-392,847141,550-17,955170,560165,857-281,144-871,537-88,230163,6671,698,77812,296-36,224-228-53,342-14,078-14,423-32,242-27,480-11,849684-10,773-20,501-5,577-17,8808,047-5,408-3565,598-2,7201,46012,091-8,394-15,925-7,77032,2172,657-8,39440,28818,8051,60611,500-1,1542,0914,374-20,638-3,758-5,47010,806-12,474-4,768-5,564-4,229-4,156-1,238-7,941-3,307
Financieringsactiviteiten:
Schuldaflossingen -297,966-368,338-445,750-403,221-425,999-322,509-262,474-197,075-352,084-119,094-29,372-44,584-50,331-59,508-15,676-35,411-23,934-34,528-19,111-26,325-4,610-15,497-2,434-84,876-14,453-24,425-2,993-54,034-33,609-23,162-24,807-31,934-20,601-17,161-1,255-26,101-19,552-34,661-60,107-27,799-6,294-22,097-23,027-10,828-6,606-23,237-18,793-12,105-49,373-19,171-18,658-22,479-22,631-44,621-41,968-13,985-56,345
Uitgifte van Gewone Aandelen 5312,5438156,502371024379,69624182118341521,88456436,27219,51830,3722,766851850100000000168,22327,483-1,6362000009143,68480,43620,000179-62233827-3,5321,498122,028321-20,97748638,7851,55221,74978917,488
Terugkoop van Gewone Aandelen -3-5-3-2-2-5-4-4-3-3-7-6-7-14-14-5-6-5-2-3-4-3,035-16,410-10,004-12-13-22-9,598-4-7-9-8,001-2-5,001-7-5-10,017-9-13-7-5-9-16-8-31-8-1345,545-2,00038,71517,61616,34524,612-1-1,78131,62229,367
Uitgekeerde Dividenden -38,858-94-8,176-366-32,293-120-8,060-872-28,528-67-7,292-278-24,158-50-4,821-242-18,200-51-4,572-271-17,966-56-4,677-256-15,180-40-3,215-194-7,941-36-1,973-204-7,053-44-2,077-213-7,350-3-4-185-4,130-2-3-128-2,029-3-2-129-2,079-3-714-143-1,523-3-707-139-2,238
Overige Financieringsactiviteiten -2,988-6,15689,170465,155452,255401,919329,446715,207455,726224,16288,986-80,232204,892270,99734,1882,0413,2396,185119,53510,916119,030-44,12937,424443,510-31,921107,235-61-3,813-122,8209,0431,1775,58067,186-61,268-55,22428,559-25,142-614474-348-26,11829,933-1,91342,194-24,79672,20111,1125913,986-279-280-229-26455,7241,66427,262-275
Kasstroom uit Financieringsactiviteiten 256,648364,626-363,94468,068-6,00279,38758,951596,95275,135105,18052,433-124,759130,448213,30914,2412,655-19,3831,97398,616-15,59896,635-62,71713,903518,126-61,566131,607-30540,429-97,156154,0611,871-36,19539,730-49,152-58,56354,442-22,9578,39720,786-8,339-36,36852,01921,09552,886-33,46245,421-6,19833,914-47,43819,583-23,013-6,02038,97912,651-21,04345,549-12,003
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -10,24930,76518,324-4,55325,087-8,788-8,2193,20219,23710,0403,975-4,585-5357,9741,710-2,077992-5,6014,917-3,200-3,923-403-3,980148-289-6,6082,977865-8794608,49932-9,421-5,310475-6,3821,014-6297,8445,6791,127-2,7784,6006331,6543,1703,097-334-2,0591,672-1,349-552-1,426611-19-2,695-790
Netto Kasstroomverandering -594,353602,544515,868268,705-7,698-311,642-313,0621,030,797295,453-16,4161,660,874161,508-109,298175,198-69,005-85,798-61,448-12,567-36,079148,00330,424-68,534-209,358653,195-98,47793,884-27,49077,162-97,980108,441-7,23844,065-1,746-32,440-4,489-19,69413,847-105,400158,048-1,935-36,108-27,01096,28631,79141,792-49,01930,320-7,198-57417,125-5,236-31,91823,042-32,19047,013-32,98818,165
Kaspositie aan het Einde van de Periode 3,985,9824,580,3353,977,7913,461,9233,193,2183,200,9163,512,5583,825,6202,794,8232,499,3702,515,786854,912693,404802,702627,504696,509782,307843,755856,322892,401744,398713,974782,508991,866338,671437,148343,264370,754293,592391,572283,131290,369246,304248,050280,490284,979304,673290,826396,226238,178240,113276,221303,231206,945175,154133,362182,381152,061159,259145,594128,469133,705165,623148,786180,976133,963166,951