Relo Group, Inc.

TSE:8876.T

1817 (JPY) • At close September 18, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 49,48443,69544,43950,19834,05227,32027,93313,30912,92811,0019,2766,6104,7743,450.4633,356.5173,225.8973,021.7382,877.3882,913.277
Kortetermijnbeleggingen 2,7427,9915,758-18,115-18,240-16,942-12,597-11,639-10,5582234446161122.246102.304100.654122.4642.685-134.674
Liquide middelen en kortetermijnbeleggingen 49,48451,68650,19750,19834,05227,32027,93313,30912,92811,2249,3206,6564,9353,572.7093,458.8213,326.5513,144.2022,880.0732,913.277
Nettovorderingen 80,65385,19799,40861,38668,56032,56030,15826,14821,83518,56515,44512,17612,16611,535.610,971.39411,227.95410,031.4478,245.3437,065.559
Voorraad 6,9806,4105,61320,98823,30717,90910,7327,2305,7142,1911,7491,138770783.854485.831543.4131,008.451,606.389560.845
Overige vlottende activa 290,1654,0056,22113,16412,4049,5588,6439,8935,9654,4392,7133,0982,5722,864.4162,494.199397.147241.647211.99372.868
Totaal vlottende activa 147,701147,298161,439145,736138,32387,34777,46656,58046,44236,41929,22723,06820,44318,756.57917,410.24515,495.06514,425.74612,943.79810,612.549
Niet-vlottende activa:
Materiële vaste activa, netto 46,27543,87232,96122,46222,57017,2748,2547,4866,1836,1583,9833,5263,6123,819.594,432.0994,333.5714,669.772,992.4882,075.434
Goodwill 16,45815,79517,46714,21915,7569,1528,5218,8627,0705,7203,3443,2822,3092,445.0042,589.614223.54242.979262.4170
Immateriële activa 8,8468,42920,38618,28216,8723,1602,4391,6621,3981,3431,3291,2311,009833.46791.538710.322918.1571,774.0291,706.2
Goodwill en immateriële activa 10,90924,22437,85332,50132,62812,31210,96010,5248,4687,0634,6734,5133,3183,278.4643,381.152933.8621,161.1362,036.4461,706.2
Langetermijnbeleggingen 15,31195,58453,70732,33631,28730,02826,74522,22420,2028,7237,9027,9507,0406,681.9786,295.4644,232.068868.2641,509.7141,499.792
Belastingvorderingen 290,16511,70715,6373,1033,0621,4793264713893604527358451,107.1481,516.985307.324274.071233.403427.171
Overige niet-vlottende activa -220,1975211893332,4742,0591,72311,79410,4838,8509,5689,619.3759,285.5847,839.4756,841.7055,553.9034,114.882
Totaal niet-vlottende activa 142,463175,392140,16090,52089,64061,12648,75942,76436,96534,09827,49325,57424,38324,506.55524,911.28417,646.313,814.94612,325.9549,823.479
Totaal activa 100,937322,691301,599236,259227,965148,477126,22899,34783,41070,52056,72348,64444,82643,263.13442,321.52933,141.36528,240.69225,269.75220,436.029
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 61,38220,76516,7798,4438,7413,8423,8663,4253,2953,2562,6041,9512,0051,715.7841,673.5462,161.6432,201.8521,606.8211,664.984
Kortlopende schulden 45,04582,32863,10524,96055,2387,5188,75114,3589,0525,7063,3442,1221,3632,481.0361,632.3961,767.5752,511.8851,808.8915.978
Belastingschulden 4,0996,2652,8963,0973,4843,5992,8372,4902,0961,9051,0011,4301,255319.9781,983.621881.115486.0711,085.871752.909
Uitgestelde opbrengsten 8,70732,64529,58125,71525,65723,78921,11519,37016,60914,01212,01010,06410,8659,220.46710,286.2827,891.9846,621.6257,370.8765,763.38
Overige kortlopende verplichtingen -113,8134,9589,27723,00122,20711,0359,4788,5676,9515,7663,8703,3872,3862,292.9112,251.518597.701593.003123.4155.395
Totaal kortlopende verplichtingen 1,321140,696118,74282,119111,84346,18443,21045,72035,90728,74021,82817,52416,61915,710.19815,843.74212,418.90311,928.36510,909.9987,489.737
Langlopende verplichtingen:
Langetermijnschulden 26,96374,05085,98980,06350,27439,53533,4067,2407,8724,6233,1272,2103,4934,631.36,843.73,393.5033.03288.004
Uitgestelde opbrengsten niet-vlottend 249,81018,97919,68127,002175,81227634438632732100000003,436.933,452.999
Uitgestelde belastingverplichtingen niet-vlottend 18,5211,8275,8533,4683,345392352261199100000035.20768.23106.301
Overige niet-vlottende verplichtingen -192,68717,32116,193-16,306-165,4577,9386,2276,0355,7125,3925,1094,8854,3794,451.6884,546.7723,758.7353,789.09558.08960.7
Totaal niet-vlottende verplichtingen 102,607112,177127,71694,22763,97447,78840,21213,88714,03010,4278,2367,0957,8729,082.98811,390.4727,152.2353,824.3023,596.2813,708.004
Totaal passiva 2,667252,873246,458176,346175,81793,97283,42259,60749,93739,16730,06424,61924,49124,793.18627,234.21419,571.13815,752.66714,506.27911,197.741
Eigen vermogen:
Preferente aandelen 25,31461,02444,18149,12451,36751,57543,36936,34200000000000
Gewone aandelen 10,1422,6672,6672,6672,6672,6672,6672,6672,6672,6672,6672,6672,6632,561.2932,561.2932,561.2932,561.2932,532.2432,481.367
Ingehouden winsten 38,62458,14141,57053,43748,64452,73043,36936,34230,42127,10822,51518,83215,45712,956.72410,687.3198,860.8737,564.9666,464.055,046.046
Overige gereserveerde algehele resultaten 40,3507,59110,3037,774-2,02066542,80839,742458622185960000000
Overige totale aandeelhoudersvermogen 175,730-60,808-44,237-56,104-51,311-55,397-89,915-75,743-4076621,2462,3822,1742,913.1461,803.0392,111.5232,323.1081,725.8881,671.906
Totaal eigen vermogen van aandeelhouders 290,16068,61554,48456,89849,34752,24042,29839,35033,13931,05926,61323,97720,29418,431.16315,051.65113,533.68912,449.36710,722.1819,199.319
Totaal eigen vermogen 405,17969,81855,14159,91352,14854,50542,80639,74033,47331,35326,65924,02520,33518,469.94815,087.31513,570.22712,488.02510,763.4739,238.288
Totaal passiva en aandeelhoudersvermogen 164,503322,691301,599236,259227,965148,477126,22899,34783,41070,52056,72348,64444,82643,263.13442,321.52933,141.36528,240.69225,269.75220,436.029