Intellex Co., Ltd.

TSE:8940.T

745 (JPY) • At close November 1, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 4,690.0014,965.8044,428.7276,215.0184,947.245,500.1785,846.835,208.94,755.4273,035.2913,370.1271,372.065968.2681,032.21,237.388998.1351,233.063
Kortetermijnbeleggingen 290.414-857.351-694.327-1,011.907-712.79100.173643.438616.038643.61700000000
Liquide middelen en kortetermijnbeleggingen 4,980.4154,965.8044,428.7276,215.0184,947.245,600.3515,846.835,208.94,755.4273,035.2913,370.1271,372.065968.2681,032.21,237.388998.1351,233.063
Nettovorderingen 399.665417.972623.229528.302260.952457.195536.51536.282590.056771.289322.718390.046281.717467.403713.219396.089474.311
Voorraad 20,308.88425,751.14119,769.71713,642.85822,918.78818,648.34317,333.16522,646.4619,302.73417,346.62311,645.31710,977.84414,154.44315,807.33213,773.38215,905.2131,194.545
Overige vlottende activa 40,760.388498.342279.597173.395200.194396.082245.891306.357145.113273.414168.322151.251153.464144.246116.046105.842260.598
Totaal vlottende activa 26,452.02531,633.25925,101.2720,559.57328,327.17425,101.97123,962.39628,697.99924,793.3321,426.61715,506.48412,891.20615,557.89217,451.18115,840.03517,405.27633,162.517
Niet-vlottende activa:
Materiële vaste activa, netto 12,098.56511,693.03213,848.64413,667.1278,711.48710,205.9436,795.5425,445.395,750.9964,482.7373,398.1574,166.364,185.124,213.9514,257.5394,794.5484,869.747
Goodwill 77.3020000000000000000
Immateriële activa 89.69575.676555.457515.897518.602516.77486.911488.815474.321474.458471.544472.421472.486470.905471.927474.236477.337
Goodwill en immateriële activa 215.874575.676555.457515.897518.602516.77486.911488.815474.321474.458471.544472.421472.486470.905471.927474.236477.337
Langetermijnbeleggingen 1,9041,5411,2551,350880786759245.581319.35206.092159.6465.4968.83210.973213.399201.065216.423
Belastingvorderingen 40,760.388187.957172.027203.936159.99145.15832,005.2013.61720.9419.9727.66928.141187.89670.5151.6774.20392.583
Overige niet-vlottende activa -40,720.036-0.9450.13-0.236-0.5210.663-32,004.466829.12674.018565.257420.351414.264315.773251.532236.156309.026411.385
Totaal niet-vlottende activa 14,258.79113,996.7215,831.25815,736.72410,269.55811,654.5348,042.1887,012.5237,239.6265,738.5164,457.3615,146.6765,230.1055,217.8765,180.6985,783.0786,067.475
Totaal activa 13,745.44245,629.98240,932.5336,296.29938,596.73436,756.50732,004.58435,710.52232,032.95627,165.13319,963.84518,037.88220,787.99722,669.05721,020.73323,188.35439,229.992
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 619.664676.618530.571548.524605.503477.747463.609546.886493.604484.78584.615249.528310.253215.303235.12304.648365.647
Kortlopende schulden 11,944.84321,169.30116,799.77312,219.4315,249.45113,177.34310,587.35515,200.92711,581.11211,532.3457,710.3887,292.25210,159.11111,573.07811,437.57412,834.51422,771.802
Belastingschulden 103.03299.179286.213772.385100.112193.205249.546416.653428.24772.37363.9936.24934.34231.0441.7264.64186.144
Uitgestelde opbrengsten -25,049.008371.896508.126955.178230.205373.052249.546652.539635.084249.877456.942147.346153.866128.593158.795140.363243.991
Overige kortlopende verplichtingen 12,534.0731,153.22936.9081,887.8091,613.066835.2881,031.9649.75602.562545.18396.803443.054382.358350.608405.304724.458785.851
Totaal kortlopende verplichtingen 49.57223,371.03518,775.37815,610.94117,698.22514,863.4312,332.4117,050.10213,312.36212,812.1829,148.7488,132.1811,005.58812,267.58212,236.79314,003.98324,167.291
Langlopende verplichtingen:
Langetermijnschulden 179.649,917.5649,563.4248,531.3939,675.48610,702.5499,058.5938,662.919,436.7645,808.7152,553.7013,392.7933,436.573,851.9582,566.6315,337.4478,753.643
Uitgestelde opbrengsten niet-vlottend 28,887.737216.012-2.424-9.498-9.516-10.53721.96526,192.13323,148.03700000000
Uitgestelde belastingverplichtingen niet-vlottend 27.89718.3012.4249.4989.51610.5377.314-26,192.133-23,148.03700000000
Overige niet-vlottende verplichtingen -16,610.669332.605614.817567.579587.308527.172446.086477.608398.911377.413392.839425.435444.557473.115487.147605.884671.437
Totaal niet-vlottende verplichtingen 12,484.60510,484.48210,178.2419,098.97210,262.79411,229.7219,533.9589,140.5189,835.6756,186.1282,946.543,818.2283,881.1274,325.0733,053.7785,943.3319,425.08
Totaal passiva 2,253.77933,855.51728,953.61924,709.91327,961.01926,093.15121,866.36826,190.6223,148.03718,998.3112,095.28811,950.40814,886.71516,592.65515,290.57119,947.31433,592.371
Eigen vermogen:
Preferente aandelen 7,604.4987,363.59514.3857,128.7836,188.8875,912.2585,383.8714,873.184,290.88669000000
Gewone aandelen 82.6232,253.7792,253.7792,253.7792,253.7792,253.77933.7432,209.3682,209.3682,209.3682,203.1381,662.8261,659.5861,656.6881,656.6881,136.1521,136.152
Ingehouden winsten 11,854.6497,363.5957,453.8987,128.7836,188.8875,912.2585,383.8714,873.184,290.8863,542.5963,258.0522,623.9062,445.8892,624.8132,294.471863.2173,295.749
Overige gereserveerde algehele resultaten 11,872.64933.146-14.3857.87626.02130.32810,138.2189,519.9028,884.919-6-93100000
Overige totale aandeelhoudersvermogen 9,345.967-5,257.652,253.234-4,932.835-4,021.859-3,445.267-10,801.487-11,955.728-10,791.142,414.8592,407.3671,769.7421,795.8071,794.9011,779.0031,241.6711,205.72
Totaal eigen vermogen van aandeelhouders 40,760.38611,756.46511,960.91111,586.38610,635.71510,663.35610,138.2169,519.9028,884.9198,166.8237,868.5576,087.4745,901.2826,076.4025,730.1623,241.045,637.621
Totaal eigen vermogen 61,498.15311,774.46511,978.91126,172.75730,684.3728,957.08723,955.48428,174.83925,147.3688,166.8237,868.5576,087.4745,901.2826,076.4025,730.1623,241.045,637.621
Totaal passiva en aandeelhoudersvermogen 25,718.18245,629.98240,932.5336,296.29938,596.73436,756.50732,004.58435,710.52232,032.95627,165.13319,963.84518,037.88220,787.99722,669.05721,020.73323,188.35439,229.992