Daiwa Securities Living Investment Corporation

TSE:8986.T

102000 (JPY) • At close September 19, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 21,858.81914,773.83711,043.8099,660.1488,194.6488,548.70810,867.85111,121.94810,835.0197,512.927,809.2355,909.3556,213.6055,092.6243,740.03615,092.2567,722.9852,704.424
Kortetermijnbeleggingen 0000980.693955.1911,450.0142,130.8373,603.7863,346.5823,342.558-952.827-939.466-729.6810000
Liquide middelen en kortetermijnbeleggingen 21,858.81914,773.83711,043.8099,660.1488,194.6488,548.70810,867.85111,121.94810,835.0197,512.927,809.2355,909.3556,213.6055,092.6243,740.03615,092.2567,722.9852,704.424
Nettovorderingen 148.435150.461155.01337.598230.518214.711179.569135.25994.0769508400000287.16
Voorraad 03,417.5773,190.3012,884.6721,288.591002,730.9824,292.9994,006.57204,563.867000000.193
Overige vlottende activa -22,007.254-6.584-6.347-5.403-3.875-8.5-14.265-13.149-1.004-5.867-29.438-36.866-56.203-81.084-63.818-9.117-0.1623.064
Totaal vlottende activa 22,34418,335.29114,382.77312,877.0159,709.8829,964.16812,959.71413,975.0415,221.0911,608.62511,716.61910,520.35611,275.32610,093.8626,651.26917,320.58,006.8042,994.841
Niet-vlottende activa:
Materiële vaste activa, netto 153,158.69333,574.965320,193.775295,862.672216,250.993216,074.539217,504.625213,161.157203,688.954184,049.453150,878.951152,967.019151,178.227153,995.179104,002.856105,374.14687,481.65256,121.648
Goodwill 000000000000000000
Immateriële activa 570.845610.31611.017611.373546.519546.737546.955547.173547.207547.499547.711547.921548.133548.345547.066547.1300
Goodwill en immateriële activa 570.845610.31611.017611.373546.519546.737546.955547.173547.207547.499547.711547.921548.133548.345547.066547.1300
Langetermijnbeleggingen 10.7560000-945.219-1,440.153-2,121.087-3,593.746-3,112.778-2,813.141962.133948.661738.765696.955386.87100
Belastingvorderingen 189,782.42400001,523.0892,105.0612,957.4724,744.0314,695.634,383.8225.91524.03442.1535.99510.68910.8040
Overige niet-vlottende activa 1,665.2851,156.1051,114.414856.672680.404142.482129.486122.509106.326200.186191.0790.7181.23222.7910.18710.139473.62190.998
Totaal niet-vlottende activa 345,188335,341.38321,919.206297,330.717217,477.916217,341.628218,845.974214,667.224205,492.772186,379.99153,188.422154,483.706152,700.287155,347.232105,263.059106,328.97587,966.07656,312.646
Totaal activa 367,532.76353,676.673336,301.982310,207.735227,187.801227,305.798231,805.69228,642.267220,713.866197,988.618164,905.044165,004.062163,975.613165,441.094111,914.328123,649.47595,972.8859,307.487
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,048525.534343.13833.985525.444774.785381.924542.556313.628267.133210.074323.508468.456424.216209.809170.952234.586204.995
Kortlopende schulden 18,99018,20013,50024,71417,49921,25322,031.6622,183.40516,973.75711,352.2614,165.01130,136.35211,813.67415,201.22623,068.28531,744.2851,96019,480
Belastingschulden 026.51332.0410.605130.112.26943.04343.2990.5910.5877.7060.5640.57128.04311.2289.8510.8212.182
Uitgestelde opbrengsten -18,99001,612.7741,509.887980.459819.96986.8131,149.0021,235.0421,144.434957.249930.1451,016.3271,044.879561.143652.465334.384181.041
Overige kortlopende verplichtingen 20,8881,727.4818.5098.25414.04616.12118.43817.01918.18931.18515.80620.99718.03718.97826.02645.646443.498348.877
Totaal kortlopende verplichtingen 21,93620,453.01515,464.41327,066.12619,018.94922,863.86623,418.83523,891.98218,540.61612,795.01215,348.1431,411.00213,316.49416,689.29923,865.26332,613.3482,972.46820,214.913
Langlopende verplichtingen:
Langetermijnschulden 169,147163,487159,187127,97398,08894,33498,12694,948.6692,262.06587,686.82361,777.11146,000.12762,426.24357,024.05727,267.23629,697.1943,4609,960
Uitgestelde opbrengsten niet-vlottend 000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 000000000018.4450000000
Overige niet-vlottende verplichtingen 4,4544,517.8374,355.5214,051.4351,633.4991,738.8341,928.6112,314.432,162.81,996.2581,462.1541,508.2611,462.2431,482.571747.373784.474788.105729.844
Totaal niet-vlottende verplichtingen 173,601168,004.837163,542.521132,024.43599,721.49996,072.834100,054.61197,263.0994,424.86589,683.08163,257.7147,508.38863,888.48658,506.62828,014.60930,481.66444,248.10510,689.844
Totaal passiva 195,536.698188,457.852179,006.934159,090.561118,740.448118,936.7123,473.446121,155.072112,965.481102,478.09378,605.8578,919.3977,204.9875,195.92751,879.87263,095.01247,220.57330,904.757
Eigen vermogen:
Preferente aandelen 0.2450000000394.4413050112000000
Gewone aandelen 138,365.94132,170.548124,110.336117,715.63491,715.71491,715.71491,715.71491,715.71491,715.71479,517.09970,557.68870,557.68870,557.68870,557.68859,557.33259,557.33247,307.33227,748.8
Ingehouden winsten 5,523.1214,652.8184,432.5076,133.0293,365.2283,115.1593,391.8942,735.9582,724.6372,597.8071,957.7487,389.4638,064.3830001,461.60
Overige gereserveerde algehele resultaten 7,475.9977,775.2138,131.9636,648.2696,684.0136,855.8276,542.2386,353.125-394.441-3050-112000000
Overige totale aandeelhoudersvermogen 20,62020,620.24220,620.24220,620.2426,682.3986,682.3986,682.3986,682.39813,308.03413,395.61913,783.7588,137.5218,148.56219,687.479477.124997.131-16.625653.93
Totaal eigen vermogen van aandeelhouders 171,985.303165,218.821157,295.048151,117.174108,447.353108,369.098108,332.244107,487.195107,748.38595,510.52586,299.19486,084.67286,770.63390,245.16760,034.45660,554.46348,752.30728,402.73
Totaal eigen vermogen 171,985.303165,218.821157,295.048151,117.174108,447.353108,369.098108,332.244107,487.195107,748.38595,510.52586,299.19486,084.67286,770.63390,245.16760,034.45660,554.46348,752.30728,402.73
Totaal passiva en aandeelhoudersvermogen 367,522.001353,676.673336,301.982310,207.735227,187.801227,305.798231,805.69228,642.267220,713.866197,988.618164,905.044165,004.062163,975.613165,441.094111,914.328123,649.47595,972.8859,307.487