Kenedix Office Investment Corporation

TSE:8972.T

153800 (JPY) • At close September 18, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 39,492.89920,376.03619,273.84216,128.89714,019.31314,050.53219,917.13311,268.43913,556.596,618.9794,560.3844,042.50612,349.20910,416.7127,256.4496,799.39212,323.349,488.708
Kortetermijnbeleggingen 000011,366.31210,973.6549,808.7439,442.1269,031.1829,850.936,892.6010000000
Liquide middelen en kortetermijnbeleggingen 39,492.89920,376.03619,273.84216,128.89714,019.31314,050.53219,917.13311,268.43913,556.596,618.9794,560.3844,042.50612,349.20910,416.7127,256.4496,799.39212,323.349,488.708
Nettovorderingen 377.718396.242286.109336.234422.996360.261405.661330.7753382932540000000
Voorraad 011,858.17811,543.95912,152.04411,476.08911,085.199,919.3279,546.1669,120.68610,671.0687,056.1580000000
Overige vlottende activa -39,870.61713.2438.4813.76713.22514.60815.74111.3637.996334.71165.0943.7893.3628.1887.67412.77558.16972.3
Totaal vlottende activa 41,168.19132,643.69931,112.3928,630.94225,931.62325,510.59130,257.86221,156.74323,023.27217,917.75712,035.63612,019.118,589.87216,528.8713,289.85913,465.1412,570.97110,243.869
Niet-vlottende activa:
Materiële vaste activa, netto 39,418.937436,575.843422,119.717427,912.737410,624.366408,367.919381,442.828388,845.334381,113.406365,480.232301,770.613291,662.835254,561.536233,438.73222,162.846225,510.388200,564.337149,719.621
Goodwill 000000000000000000
Immateriële activa 629.059630.644632.233634.225637.029639.671642.444356.81353.234354.862356.647358.433360.219286.377286.614285.3500
Goodwill en immateriële activa 629.059630.644632.233634.225637.029639.671642.444356.81353.234354.862356.647358.433360.219286.377286.614285.3500
Langetermijnbeleggingen 571.3711,138.4131,138.3861,137.526-10,234.359-9,858.848-8,712.32-8,348.542-7,930.948-7,171.792-5,786.262000563.393369.09100
Belastingvorderingen 389,643.329-1,138.413-1,138.386-1,137.52612,805.77112,448.63211,263.77211,017.84910,649.05911,571.2668,351.3650005.7246.39900
Overige niet-vlottende activa 3,936.7933,163.2172,463.2692,541.7768.768113.11139.0733.5619.43617.30325.1712,694.281,461.813826.0811.98512.229628.682350.852
Totaal niet-vlottende activa 434,199.489440,369.704425,215.219431,088.738413,841.575411,710.485384,675.797391,875.012384,194.187370,251.871304,717.534294,715.548256,383.568234,551.187223,030.562226,183.457201,193.019150,070.473
Totaal activa 475,367.684473,013.408456,327.613459,719.684439,773.203437,221.079414,933.663413,031.761407,217.462388,169.633316,753.174306,734.648274,973.44251,080.057236,320.421239,648.597213,763.99160,314.342
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 2,091.6361,737.3571,642.6891,496.5961,119.7671,341.5771,231.3491,366.5521,104.158743.307628.621894.16802.435711.485469.903728.70900
Kortlopende schulden 31,60014,60030,15035,50023,80019,75026,05027,20033,30046,03546,80021,20033,05041,55024,50024,00019,50015,000
Belastingschulden 295.368309.606268.916305.577133.156194.57154.028344.503408.3180.74750.089137.32181.588282.75348.76136.60900
Uitgestelde opbrengsten 3,771.5773,745.0263,424.0283,742.773,243.7853,397.4172,750.1592,812.0672,724.6032,259.6481,890.7381,811.0081,557.0521,612.4671,305.1441,416.00300
Overige kortlopende verplichtingen 76.5064.992.8583.80216.4382.31531.6515.17446.84215.6976.16518.9672.8187.1615.1086.4131,745.9121,204.463
Totaal kortlopende verplichtingen 37,539.71920,087.37335,219.57540,743.16828,179.9924,491.30930,063.15931,383.79337,175.60349,053.65249,325.52423,924.13535,412.30543,881.11226,290.15526,151.12521,245.91216,204.463
Langlopende verplichtingen:
Langetermijnschulden 183,350200,350168,600166,250161,250163,300153,550150,900140,800141,650103,758119,38177,86461,01772,72074,75056,00047,000
Uitgestelde opbrengsten niet-vlottend 00000002,143.5230000000000
Uitgestelde belastingverplichtingen niet-vlottend 0000000-2,143.5230000000000
Overige niet-vlottende verplichtingen 22,954.62423,013.72321,963.17922,061.44221,067.11120,116.19118,469.09917,922.57117,327.07816,621.22212,888.42613,039.96911,424.68210,449.57110,243.09710,659.8958,756.1436,176.582
Totaal niet-vlottende verplichtingen 206,304.624223,363.723190,563.179188,311.442182,317.111183,416.191172,019.099168,822.571158,127.078158,271.222116,646.426132,420.96989,288.68271,466.57182,963.09785,409.89564,756.14353,176.582
Totaal passiva 243,844.339243,451.096225,782.754229,054.61210,497.101207,907.5202,082.258200,206.364195,302.681207,324.874165,971.95156,345.104124,700.987115,347.683109,253.252111,561.0286,002.05569,381.045
Eigen vermogen:
Preferente aandelen 000000000000000000
Gewone aandelen 217,970.957217,970.957220,970.508220,970.508220,970.508220,970.508206,199.945206,199.945206,199.945176,632.549147,153.82147,153.82147,153.82133,129.755124,973.75124,973.75124,973.7588,729.652
Ingehouden winsten 6,571.3366,451.0965,910.0327,310.4595,844.56,107.8864,589.2384,601.7564,564.3423,569.6442,831.476225.79565.7950002,792.0842,124.112
Overige gereserveerde algehele resultaten 6,981.0485,140.2593,664.3192,384.1072,461.0942,235.1852,062.2222,023.6961010000000
Overige totale aandeelhoudersvermogen 0.00200000001,149.494642.566794.9283,009.9293,052.8382,602.6192,093.4193,113.827-3.89979.533
Totaal eigen vermogen van aandeelhouders 231,523.343229,562.312230,544.859230,665.074229,276.102229,313.579212,851.405212,825.397211,914.781180,844.759150,781.224150,389.544150,272.453135,732.374127,067.169128,087.577127,761.93590,933.297
Totaal eigen vermogen 231,523.343229,562.312230,544.859230,665.074229,276.102229,313.579212,851.405212,825.397211,914.781180,844.759150,781.224150,389.544150,272.453135,732.374127,067.169128,087.577127,761.93590,933.297
Totaal passiva en aandeelhoudersvermogen 475,367.682473,013.408456,327.613459,719.684439,773.203437,221.079414,933.663413,031.761407,217.462388,169.633316,753.174306,734.648274,973.44251,080.057236,320.421239,648.597213,763.99160,314.342