Arealink Co., Ltd.

TSE:8914.T

1860 (JPY) • At close November 8, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 14,995.67214,299.55613,440.5329,776.96811,702.2549,672.8956,594.467,158.6156,415.0735,431.563,590.9683,084.9722,818.771,033.981,860.9741,267.299
Kortetermijnbeleggingen 00-1,412.168-1,416.978-1,389.387-1,377.37630,074.87923,950.82532.5940-250.644-640.3370-59.942-136.4830
Liquide middelen en kortetermijnbeleggingen 14,995.67214,299.55613,440.5329,776.96811,702.2549,672.8956,594.467,158.6156,447.6675,431.563,590.9683,084.9722,818.771,033.981,860.9741,267.299
Nettovorderingen 106.63445.824398.3461,364.164512.391667.686666.675430.469412.636652.277839.853793.9520525.874465.04421.444
Voorraad 6,321.0735,156.7543,356.5184,673.5837,501.36415,390.99510,087.6794,246.0821,864.3133,720.286,323.8081,816.33702,814.1043,678.3735,230.606
Overige vlottende activa -21,423.375130.228124.516132.42187.228216.27183.676333.491397.015311.14473.80657.3722,410.591555.146377.22548.354
Totaal vlottende activa 21,887.23120,032.36217,319.91215,947.13519,903.23725,947.84617,532.4912,168.6579,121.63110,115.26110,828.4355,752.6335,503.6894,929.1046,381.6077,467.703
Niet-vlottende activa:
Materiële vaste activa, netto 24,236.4221,851.99121,217.3920,356.31918,069.9939,741.55210,648.35910,004.7378,870.838,169.36610,543.75810,888.02510,529.32112,524.43612,696.49912,690.35
Goodwill 0000000002.1658.03218.47365.275135.091249.416436.862
Immateriële activa 58.03649.57649.34755.5168.235177.721134.735107.43886.26464.49575.60284.41317.3114.57182.76142.634
Goodwill en immateriële activa 58.03649.57649.34755.5168.235177.721134.735107.43886.26466.6683.634102.88682.585149.662332.177479.496
Langetermijnbeleggingen 23.153129.9961,548.8221,660.0241,698.681,622.784-29,904.759-23,791.656125.8610407.404797.6567.43467.233153.3050
Belastingvorderingen 1,776.9621,921.9782,025.7922,642.9033,239.129331.38229,904.75923,791.65627.8550353.432302.256218.35663.8757.6060
Overige niet-vlottende activa 1,694.3841,657.44741.13240.92241.02241.1621,589.1741,510.8241,080.4061,187.715800.783769.505924.634966.765839.7871,060.547
Totaal niet-vlottende activa 27,788.95525,610.98824,882.48324,755.67823,117.05911,914.60112,372.26811,622.99910,191.2169,423.74112,189.01112,860.32811,762.3313,771.96614,079.37414,230.393
Totaal activa 49,676.18945,643.35442,202.39740,702.81643,020.337,862.4529,904.75823,791.65619,312.84719,539.00223,017.44618,612.96117,266.01918,701.0720,460.98121,698.096
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 164.889146.815162.253158.624169.204540.642315.268777.42556.622626.4577.33318.8260241.028313.931352.544
Kortlopende schulden 3,142.2122,448.5982,252.8362,086.6632,713.9833,551.2092,739.8752,536.007599.019348.1231,700.671709.5019.3631,094.5512,695.6472,954.582
Belastingschulden 648.556715.76557.95501,362.609495.281567.932316.58715.203110.606170.42224.63323.61923.87732.4590.585
Uitgestelde opbrengsten 554.044573.7793,107.8814,502.0768,605.164495.2811,789.2321,127.7881,366.271716.108799.075561.8520475.736515.732465.984
Overige kortlopende verplichtingen 3,200.9193,049.69344.9138.49425.122,019.935847.307518.153358.647771.993130.087189.8782,128.479325.417355.388392.353
Totaal kortlopende verplichtingen 7,062.0646,218.8825,867.886,785.85311,913.4716,607.0675,691.6824,959.3682,880.5592,462.6243,207.1631,780.0572,137.8422,136.7323,880.6984,165.463
Langlopende verplichtingen:
Langetermijnschulden 12,308.78411,599.4119,691.63510,290.911,372.87910,961.5346,412.6882,257.461712.3472,410.8856,136.4734,835.6934,267.8445,984.7897,061.5969,647.133
Uitgestelde opbrengsten niet-vlottend 1,552.4171,242.9361,529.5311,796.672,063.80919,112.552728.967585.3435.42321.515323.151211.0990000
Uitgestelde belastingverplichtingen niet-vlottend -2,615.7321,574.8043,785.7083,295.611808.711336.21131.43425.004-35.4248.104253.585186.3870000.809
Overige niet-vlottende verplichtingen 6,347.4881,934.716364.406394.428442.314-17,904.809688.56680.9561,093.551781.427814.787664.364873.0041,362.8931,020.5921,188.707
Totaal niet-vlottende verplichtingen 17,592.95716,351.86715,371.2815,777.60914,687.71312,505.4887,861.6493,548.7611,805.8983,561.9317,527.9965,897.5435,140.8487,347.6828,082.18810,836.649
Totaal passiva 24,655.01622,570.74921,239.1622,563.46226,601.18419,112.55513,553.3318,508.1294,686.4576,024.55510,735.1597,677.67,278.699,484.41411,962.88615,002.112
Eigen vermogen:
Preferente aandelen 12,956.01211,009.328,917.5666,137.4324,417.6016,751.9575,432.24,363.78700000000
Gewone aandelen 6,111.5396,111.5396,111.5396,111.5396,111.5396,111.5398.0245,568.2225,568.2225,568.2225,568.2225,568.2225,568.2225,568.2225,568.2224,951.721
Ingehouden winsten 12,956.01211,009.328,917.5666,137.4324,417.6016,751.9575,432.24,363.7873,700.2542,591.4291,357.3310.676-937.367-1,707.947-2,408.227-2,977.969
Overige gereserveerde algehele resultaten 11.77512.05717.4818.9148.40118,749.89516,351.42815,283.52710,924.3570000000
Overige totale aandeelhoudersvermogen -7,014.168-5,069.631-3,000.915-255.9631,463.974-19,615.453-10,872.425-14,295.796-5,566.4435,354.7965,356.7355,356.4635,356.4745,356.3815,338.14,722.232
Totaal eigen vermogen van aandeelhouders 25,021.1723,072.60520,963.23718,139.35416,419.11618,749.89516,351.42715,283.52714,626.3913,514.44712,282.28710,935.3619,987.3299,216.6568,498.0956,695.984
Totaal eigen vermogen 26,780.60922,821.05819,467.17620,739.94918,803.72423,589.74318,909.5312,918.3814,626.3913,514.44712,282.28710,935.3619,987.3299,216.6568,498.0956,695.984
Totaal passiva en aandeelhoudersvermogen 49,676.18645,643.35442,202.39740,702.81643,020.337,862.4529,904.75823,791.65619,312.84719,539.00223,017.44618,612.96117,266.01918,701.0720,460.98121,698.096