Mainichi Comnet Co., Ltd.

TSE:8908.T

734 (JPY) • At close November 12, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 6,798.2165,860.5125,909.7965,119.7235,972.7736,387.396,097.9424,823.3014,657.713,938.0644,111.9934,316.9663,919.6463,685.9563,038.6462,811.444
Kortetermijnbeleggingen 0-1,570.64524.10944.444-1,450.677-1,365.049-1,357.439-177.348-202.001-156.803-183.901-250.413-252.02599.971-277.158-69.527
Liquide middelen en kortetermijnbeleggingen 6,798.2165,860.5125,933.9055,164.1675,972.7736,387.396,097.9424,823.3014,657.713,938.0644,111.9934,316.9663,919.6463,785.9273,038.6462,811.444
Nettovorderingen 446.676412.374348.946364.814351.708370.39444.383437.767383.09428.568126.564113.48660.881187.946688.71,042.621
Voorraad 12,390.22112,306.39911,354.77310,390.28312,233.6949,791.7976,987.725,142.2353,322.7232,990.792,304.6971,784.5311,112.7912,741.7085,464.4647,615.188
Overige vlottende activa 1,252.798867.3161,179.1291,529.194716.4431,011.3331,408.113725.7051,135.079845.716710.971529.117594.343456.54383.001347.746
Totaal vlottende activa 20,887.91119,446.60118,816.75317,448.45819,274.61817,560.9114,938.15811,129.0089,498.6028,203.1387,254.2256,744.15,687.6617,172.1219,574.81111,816.999
Niet-vlottende activa:
Materiële vaste activa, netto 4,212.7184,111.3864,270.1364,431.0334,534.1715,234.3155,409.9865,032.285,201.8265,419.4842,408.8292,433.9962,139.5332,475.8021,808.44968.257
Goodwill 00.7330.730.9780.110.1560.17200000.4830000
Immateriële activa 843.306788659644599568557563.856582.185530.58171.9471480000
Goodwill en immateriële activa 843.306788.733659.73644.978599.11568.156557.172563.856582.185530.58171.947148.48389.8573.90488.93856.346
Langetermijnbeleggingen 207.1631,727.592130.654116.2761,609.5561,546.8361,526.165303.722293.776197.875296.813401.452397.7690.424380.989258.656
Belastingvorderingen 435.68509.298477.149445.782431.387145.3763.9323.7581.280.3180.0880.1340.05113.1754.482128.385
Overige niet-vlottende activa 2,236.925653.8952,173.412,162.418685.29637.446628.6161,656.1211,596.6391,633.9091,470.5521,327.8991,367.11,621.5251,187.5751,243.336
Totaal niet-vlottende activa 7,935.7927,790.9047,711.0797,800.4877,859.5148,132.1298,125.8717,559.7377,675.7067,782.1664,348.2294,311.9643,994.2944,274.833,470.4331,754.98
Totaal activa 28,823.70327,237.50826,527.83325,248.94927,134.13525,693.04323,064.02918,688.74517,174.30815,985.30611,602.45411,056.0659,681.95611,446.95113,045.24413,571.979
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 424.516439.458329.168322.677298.628347.571356.902177.793241.913196.132133.63197.86263.543219.015255.201327.819
Kortlopende schulden 4,189.3263,141.7953,502.3781,744.9343,723.8743,318.123,131.0731,413.3051,673.9781,812.0061,598.9331,572.4051,465.0153,593.2093,270.5095,125.096
Belastingschulden 297.588442.16424.125125.979493.134448.79267.133287.905363.698208.037229.255298.05593.327252.76976.531314.032
Uitgestelde opbrengsten 169.692963.286306.639496.181,372.979940.795747.815820.889855.552703.743495.145527.373298.417312.769104.531385.632
Overige kortlopende verplichtingen 1,198.05290.138963.982485.542245.511514.24466.682473.251200.629330.77273.82124.043182.467-228.521-97.254-436.451
Totaal kortlopende verplichtingen 6,703.6885,716.2955,855.463,497.9896,432.7545,917.0875,326.5073,350.9363,577.6833,446.822,864.4152,717.62,166.3124,368.2563,864.7196,043.947
Langlopende verplichtingen:
Langetermijnschulden 8,060.1958,770.7018,549.29710,366.6769,905.819,727.3348,634.7677,144.6926,062.6975,670.0052,626.3742,710.8072,259.5732,427.7864,766.7442,939.279
Uitgestelde opbrengsten niet-vlottend 262.18-0.601-0.726-0.809-10.122-16.474297.393287.652284.82275.095203.46194.46185.46000
Uitgestelde belastingverplichtingen niet-vlottend 2.5990.6010.7260.80910.12216.47412.0982.6173.6423.8654.5735.5382.269000
Overige niet-vlottende verplichtingen 1,534.7031,517.4111,488.6051,370.2971,229.2071,192.043822.406749.028719.544707.157691.027669.413651.597772.429674.213651.932
Totaal niet-vlottende verplichtingen 9,859.67710,288.11210,037.90211,736.97311,135.01710,919.3779,766.6648,183.9897,070.7036,656.1223,525.4343,580.2183,098.8993,200.2155,440.9573,591.211
Totaal passiva 16,563.36516,004.40715,893.36215,234.96217,567.77116,836.46415,093.17111,534.92510,648.38610,102.9426,389.8496,297.8185,265.2117,568.4719,305.6769,635.158
Eigen vermogen:
Preferente aandelen 07.0873.9370.081000000000000
Gewone aandelen 775.066775.066775.066775.066775.066775.066775.066775.066775.066775.066775.066775.066775.066775.066773.614773.526
Ingehouden winsten 11,038.6110,047.9669,170.2288,568.2138,119.7017,423.4176,569.4045,796.4625,188.3034,555.9433,925.363,469.6553,141.5372,909.4232,665.5432,820.681
Overige gereserveerde algehele resultaten 7.97-7.087-3.937-0.08120.81334.97628.2860.9250.623120000
Overige totale aandeelhoudersvermogen 211.171204.082507.229511.085511.166511.166511.166511.168511.168510.449511.179511.526500.142193.991300.411342.614
Totaal eigen vermogen van aandeelhouders 12,032.81711,027.11410,452.5239,854.3649,426.7468,744.6257,883.9227,083.6216,475.1575,844.4585,212.6054,758.2474,416.7453,878.483,739.5683,936.821
Totaal eigen vermogen 12,260.33511,233.10110,634.47110,013.9879,566.3648,856.5797,970.8587,153.826,525.9225,882.3645,212.6054,758.2474,416.7453,878.483,739.5683,936.821
Totaal passiva en aandeelhoudersvermogen 28,823.727,237.50826,527.83325,248.94927,134.13525,693.04323,064.02918,688.74517,174.30815,985.30611,602.45411,056.0659,681.95611,446.95113,045.24413,571.979