Keihanshin Building Co., Ltd.

TSE:8818.T

1607 (JPY) • At close January 6, 2025
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 8,668.7145,312.9569,876.28221,550.64913,205.08815,918.5477,051.257,202.1416,552.6163,576.612,283.06810,180.4554,771.511,183.0221,500.0191,625.5661,556.512
Kortetermijnbeleggingen 0-2,614.397-2,657.272-2,625.361-2,643.651-2,661.181-2,198.80700009.99300000
Liquide middelen en kortetermijnbeleggingen 8,668.7145,312.9569,876.28221,550.64913,205.08815,918.5477,051.257,202.1416,552.6163,576.612,283.06810,190.4484,771.511,183.0221,500.0191,625.5661,556.512
Nettovorderingen 0560.39381.901331.797408.75473.037277.141284.857258.18628142035500000
Voorraad 00000073.91961.089158.489101.3343.62169.59800000
Overige vlottende activa 716.538829.1962,002.495720.948129.072128.935131.113129.052126.658139.032133.522137.9971,012.152553.337916.125401.508529.636
Totaal vlottende activa 9,385.2526,702.54212,260.67822,603.39413,742.9116,520.5197,533.4237,677.13817,095.9494,097.96212,880.21110,753.0435,783.6621,736.3592,416.1442,027.0742,086.148
Niet-vlottende activa:
Materiële vaste activa, netto 137,152133,273.075125,159.437116,765.755107,460.63698,400.90297,543.5588,711.16880,266.11296,637.10489,847.86592,839.45894,863.64192,311.14292,591.11765,218.96462,505.142
Goodwill 0.4360.720.8380.9120.3230.3570.6550000000000
Immateriële activa 107109126125116793047.18260.59753.51769.37579.81379.733141.64472.39629.62919.665
Goodwill en immateriële activa 107.436109.72126.838125.912116.32379.35730.65547.18260.59753.51769.37579.81379.733141.64472.39629.62919.665
Langetermijnbeleggingen 17,382.86312,22212,43314,53615,27317,76617,488.50614,123.96811,364.57311,806.149,450.437,571.2085,808.2296,020.8416,977.8796,341.7169,077.485
Belastingvorderingen 12.58713.79314.80812.66812.11113.2899.2869.2869.2869.2869.286464.9621,170.6181,185.644591.6521,024.822136.346
Overige niet-vlottende activa 2,575.9560.173-0.195-0.350.1310.278429.5952,635.3762,622.0062,639.1582,758.4732,868.9032,965.7233,045.8413,130.3182,871.4274,358.707
Totaal niet-vlottende activa 157,230.842145,618.761137,733.888131,439.985122,862.201116,259.826115,501.592105,526.9894,322.574111,145.205102,135.429103,824.344104,887.944102,705.112103,363.36275,486.55876,097.345
Totaal activa 166,616.097152,321.306149,994.569154,043.383136,605.113132,780.347123,035.015113,204.119111,418.523115,243.167115,015.64114,577.387110,671.606104,441.471105,779.50677,513.63278,183.493
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 00.8490.3423.5338.3567.74623.83663.634111.7411.375168.428153.319149.069152.17535.57525.9878.679
Kortlopende schulden 4,676.6163,922.44,090.554,285.24,1469,422.910,042.810,198.312,54815,384.1426,937.898,805.29,545.86411,065.67611,080.0769,603.9369,654.396
Belastingschulden 940.767498.139514.3393,043.7441,013.61,006.19975.179442.0151,294.2541,155.278371.933668.703679.946685.289692.421513.089217.834
Uitgestelde opbrengsten 0542.95558.0693,082.3531,046.5721,040.181,004.225473.31,321.1161,181.022420.434688.456700.118704.499710.231531.161236.154
Overige kortlopende verplichtingen 3,113.6983,466.4573,603.0652,246.4543,210.7332,041.5331,649.7361,502.1381,920.3781,673.2631,423.72,443.2275,127.2722,170.7083,472.2991,863.9831,540.635
Totaal kortlopende verplichtingen 8,731.0817,887.8458,208.2969,578.9318,378.68912,478.36912,691.55112,206.08715,874.37218,224.05628,901.95112,070.44915,502.15114,073.84815,280.37112,006.99511,421.544
Langlopende verplichtingen:
Langetermijnschulden 70,853.37263,234.1560,769.462,359.9554,255.9546,286.8538,209.7532,760.0532,558.3535,606.3529,431.9453,869.8349,345.0345,350.89445,708.3723,465.60623,346.222
Uitgestelde opbrengsten niet-vlottend 0180.49182.115178.34189.547180.531170.024168.206243.932243.185227.86700173.87600156.417
Uitgestelde belastingverplichtingen niet-vlottend 3,190.1462,363.0312,308.212,974.1793,113.5043,888.5933,856.7243,468.9112,621.9882,624.6651,773.5250066.00900181.102
Overige niet-vlottende verplichtingen 8,966.9317,784.8578,016.0758,412.2946,289.6685,717.1475,879.8135,738.0195,563.0186,694.3966,430.176,903.447,032.3587,205.9987,767.6216,847.0237,237.8
Totaal niet-vlottende verplichtingen 83,010.44973,562.52871,275.873,924.76363,848.66956,073.12148,116.31142,135.18640,987.28845,168.59637,863.50260,773.2756,377.38852,796.77753,475.99130,312.62930,921.541
Totaal passiva 91,741.5381,450.37379,484.09683,503.69472,227.35868,551.4960,807.86254,341.27356,861.6663,392.65266,765.45372,843.71971,879.53966,870.62568,756.36242,319.62442,343.085
Eigen vermogen:
Preferente aandelen 0282.60212.95250,938.63145,281.22243,029.00440,187.90237,544.827209.6041421,7651,89500000
Gewone aandelen 9,827.6119,827.6119,827.6119,827.6119,827.6119,827.6112,522.4119,827.6119,827.6119,827.6119,827.6117,688.1587,688.1587,688.1587,688.1587,688.1587,688.158
Ingehouden winsten 54,459.35152,436.79251,728.26650,938.63145,281.22243,029.00440,187.90237,544.82735,162.33732,388.52930,411.35128,779.52626,987.80125,787.51224,832.75723,541.58822,550.834
Overige gereserveerde algehele resultaten 0-282.602-12.9521,271.2631,269.5352,712.80762,227.15358,862.846-209.604-142-1,765-1,89500000
Overige totale aandeelhoudersvermogen 10,587.6058,889.1328,967.5489,773.4479,268.9228,659.43512,211.63911,490.4089,357.3119,492.3759,776.2257,162.3347,162.4047,162.5147,162.8777,165.5617,496.87
Totaal eigen vermogen van aandeelhouders 74,874.56770,870.93370,510.47370,539.68964,377.75564,228.85762,227.15258,862.84654,556.86351,850.51548,250.18741,733.66838,792.06737,570.84637,023.14435,194.00835,840.408
Totaal eigen vermogen 74,874.567132,714.527125,494.141115,634.19109,574.617104,020.06103,470.75294,745.89654,556.86351,850.51548,250.18741,733.66838,792.06737,570.84637,023.14435,194.00835,840.408
Totaal passiva en aandeelhoudersvermogen 166,616.097152,321.306149,994.569154,043.383136,605.113132,780.347123,035.014113,204.119111,418.523115,243.167115,015.64114,577.387110,671.606104,441.471105,779.50677,513.63278,183.493