Mitsui Fudosan Co., Ltd.

TSE:8801.T

1334.5 (JPY) • At close October 23, 2024
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995
Operationele Activiteiten:
Nettowinst 224,647295,930262,403191,820261,217242,043224,748192,257181,317166,840126,710110,94594,50083,68897,690115,98187,37875,21456,54128,69314,45525,55429,80726,112-58,418-35,794-31,524-43,9914,174
Afschrijvingen & Amortisatie 133,726125,298111,50098,19691,43479,03470,16771,35767,46061,24256,03059,02253,23152,95450,28648,89044,31240,12240,15938,51340,41539,78247,54044,41845,77742,24942,28341,14842,677
Uitgestelde Inkomstenbelasting 0-190,412-153,489-138,7470000000000000000000000000
Aandelen Gebaseerde Vergoedingen 071846424900013816216718216100000000000000000
Verandering in Werkkapitaal -79,265-941-31,708-12,893-250,195-32,374-220,641-68,810-168,778-141,519-503-63,643-1,89042,621-49,219-122,411-4,008-4,3632,1683,1221,251-14,618-6,41650,66137,68990,39746,523196,346160,188
Vorderingen -5,770-9,247-13,693-5087,414-4,323-4,961-121-1,385-271-5,071-3,09300000000000000000
Voorraden -193,644-169-26,383-4,635-255,846-31,877-217,384-59,571-173,928-141,399-3,007-64,7390000000000000031,561228,71185,116
Crediteuren 6,3028,4748,367-7,751-1,7633,8261,704-9,1186,53500000000000000000000
Overig Werkkapitaal 113,84711153,1039,419-3,257-9,2395,150-1202,5041,0960000000000000014,962-32,36575,072
Overige Niet-Contante Posten 423,15367,11582,29949,237-15,362-71,994-44,13132,628-47,845-56,2207,666-6,6402,3205,792-14,368-83,456-29,919-53,003-76,35829,80785,47967,76771,19152,473109,15245,95029,22243,870-9,707
Kasstroom uit Operationele Activiteiten 241,697297,708271,469187,86287,094216,70930,143227,43232,15430,343189,90399,684148,161185,05584,389-40,99697,76357,97022,510100,135141,600118,485142,122173,664134,200142,80286,504237,373197,332
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -220,832-362,744-241,567-276,337-473,818-338,318-360,075-168,581-205,149-304,187-123,160-76,664-105,534-178,965-70,658-152,971-346,765-219,798-99,757-70,401-45,120-55,071-57,124-80,199-87,870-129,420-137,324-54,074-79,020
Netto Overnames -79,198-6,76756,653-77,929195-3,3012,742-11,025-6,2022,4361,082-11,434-2,4253,4152375,16135,922139,00038,7308,71013,44216,19139,31016,42500000
Aankoop van Beleggingen -136,176-96,157-66,970-65,769-69,077-68,779-11,776-16,156-9,263-10,687-12,977-30,482-25,065-12,307-13,896-37,164-129,478-27,493-30,737-10,362-14,957-20,266-38,243-48,27800000
Verkoop/verval van Beleggingen 78,99753,73973,95772,23550,92321,7872,02759815,8382,4231,6944,3372,85021,62326,3405,3274,5315,26224,1846,40111,5263,7704,642100,90700000
Overige Investeringsactiviteiten -10,901-10,105-32,130216,765-41,029-2841,618-6,419-34,94348,37589,30543,1115,821-4,318-6,85738,01443,63026,0226,746-11,21813,987-5,376-30,243-20,94455,421-12,810104,303-18,93954,701
Kasstroom uit Investeringsactiviteiten -368,112-422,034-210,057-131,035-532,806-388,895-365,464-201,583-239,719-261,640-44,056-71,132-124,353-170,552-64,834-141,633-392,160-77,007-60,834-76,870-21,122-60,752-81,658-32,089-32,449-142,230-33,021-73,013-24,319
Financieringsactiviteiten:
Schuldaflossingen -217,497-2,246,544-2,002,690-1,656,794-3,171,241-3,952,291-3,568,171-3,447,054-3,292,100-1,231,213-2,454,169-2,693,627-1,595,797-1,789,981-1,434,692-1,820,098-154,718-237,630-187,270-171,252-219,781-316,057-187,982-229,846-234,396-391,485-436,592-273,633-274,944
Uitgifte van Gewone Aandelen 02,461,8411,921,7491,641,9013,735,2614,248,805003,519,784329,12500233160134800153,629-434434150000000
Terugkoop van Gewone Aandelen -21-45,008-30,013-16,828-24,193-15,013-18-290-225-266-486-165-69-224-198-63200-786-381204,390170000000
Uitgekeerde Dividenden -62,551-59,853-42,331-42,522-45,048-41,363-35,573-31,621-27,673-20,537-19,332-19,321-19,316-19,313-19,317-19,323-15,812-8,794-6,983-5,501-6,311-6,222-5,690-4,070-4,465-4,071-4,062-7,312-7,303
Overige Financieringsactiviteiten -13,8091,01213,6857,678-27,028-8,9003,892,8943,493,7461,3241,144,3992,349,7882,705,0041,596,3001,788,9581,434,4322,022,220446,666284,50928,96572,970-71,242262,35090,37383,915142,284421,182376,480129,572134,902
Kasstroom uit Financieringsactiviteiten 141,113111,448-139,600-66,565467,751231,238289,15015,071201,110221,508-123,713-7,944-18,649-20,400-19,762182,215276,13638,085-12,445-104,598-92,510-59,897-103,299-150,001-96,57725,626-64,174-151,373-147,345
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 32,2404,99733,14717,989-249-2,078-1,668-2,339-2,5401,4113,614588-107-16655-189-59180278179-1,083-5631,9581,545-6,124-676000
Netto Kasstroomverandering 51,881-10,372-45,0418,25121,79056,974-47,83838,580-8,994-8,37725,74939,8625,051-6,064-152-604-18,32019,228-50,491-28,63826,885-2,727-40,877-6,881-87926,304-10,69112,98725,668
Kaspositie aan het Einde van de Periode 184,192132,310142,682187,723179,472157,682100,708148,546109,966118,960127,337101,58861,72656,67562,73962,89163,49681,81662,588113,079141,717114,832117,559158,436165,317166,196141,645152,336139,349