Fuji Kyuko Co., Ltd.

TSE:9010.T

2499 (JPY) • At close November 8, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 17,844.19519,060.53717,118.11317,804.2514,467.39815,982.21810,104.3687,364.59,392.1539,791.699,489.19811,059.02710,302.1828,884.3667,614.0046,910.8585,759.8016,441.2526,954.4549,381.873
Kortetermijnbeleggingen 70.6-764.13-848.2-973.9723-918.732-140.142-484.394-177.382-3,201.429-2,067.7510009.9929.9769.9649.972114.99519.995
Liquide middelen en kortetermijnbeleggingen 17,914.79519,060.53717,118.11317,804.2514,470.39815,982.21810,104.3687,364.59,392.1539,791.699,489.19811,059.02710,302.1828,884.3667,623.9966,920.8345,769.7656,451.2247,069.4499,401.868
Nettovorderingen 4,215.5083,990.0042,674.9032,512.3012,442.1953,285.2213,494.4763,283.0182,969.1742,903.692,958.122,976.3152,823.2412,435.4452,476.9432,378.552,664.2293,074.6653,090.9132,864.541
Voorraad 10,203.14110,203.14410,009.2729,941.27610,132.30310,059.7749,720.259,683.5369,405.3289,514.7429,633.8379,663.8559,681.50910,022.2129,890.7569,995.41410,991.6561,096.836762.894695.714
Overige vlottende activa 1,705.2931,439.7121,350.32,130.8851,268.7951,045.9721,153.7961,063.7571,110.6821,593.779878.214924.421,089.93846.211997.477964.83735.1212,678.88613,216.00613,772.174
Totaal vlottende activa 34,038.73734,693.39731,152.58832,388.71228,313.69130,373.18524,472.8921,394.81122,877.33723,803.90122,959.36924,623.61723,896.86222,188.23420,989.17220,259.62820,160.7723,301.61124,139.26226,734.297
Niet-vlottende activa:
Materiële vaste activa, netto 53,040.07254,331.76255,037.55156,666.3460,803.34461,845.87962,606.64362,832.53159,871.82957,882.38857,142.47255,297.62254,541.92455,657.47254,984.91455,134.95753,768.62851,922.4750,132.2448,607.642
Goodwill 0.6120.4660.6840.6570.2660.1110.1740.990.4920.1120.260.19600000000
Immateriële activa 2,8302,7632,6762,7062,6882,6112,5302,7042,6223,4173,2613,0853,047.9023,088.1243,062.4563,073.2613,054.4763,002.1962,907.4372,944.624
Goodwill en immateriële activa 2,830.6122,763.4662,676.6842,706.6572,688.2662,611.1112,530.1742,704.992,622.4923,417.1123,261.263,085.1963,047.9023,088.1243,062.4563,073.2613,054.4763,002.1962,907.4372,944.624
Langetermijnbeleggingen 8,181.9987,0286,8527,2696,6697,6588,552.7629,408.9528,145.3369,458.2817,545.6835,028.7214,287.7074,172.534,101.1434,447.114,962.6785,722.5115,350.4473,493.504
Belastingvorderingen 1,237.9231,902.7852,584.6942,533.4031,693.4861,366.066401.912372.242609.252436.331472.281449.468714.943871.997843.635689.26537.409525.509517.684681.27
Overige niet-vlottende activa 1,208.45927.56232.7437.53942.87948.222987.611854.291733.057901.716969.1781,396.9151,160.064990.675961.4211,099.7351,034.0761,206.1821,383.5541,506.47
Totaal niet-vlottende activa 66,499.06466,053.57567,183.66969,212.93971,896.97573,529.27875,079.10276,173.00671,981.96672,095.82869,390.87465,257.92263,752.5464,780.79863,953.56964,444.32363,357.26762,378.86860,291.36257,233.51
Totaal activa 100,537.801100,746.97298,336.257101,601.651100,210.666103,902.46399,551.99297,567.81794,859.30395,899.72992,350.24389,881.53987,649.40286,969.03284,942.74184,703.95183,518.03785,680.47984,430.62483,967.807
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 2,751.6082,439.3741,698.772,147.1091,822.7742,581.0952,357.8152,461.7212,398.9562,584.3972,445.122,089.3752,263.9331,752.9212,403.542,224.762,594.0343,052.472,843.7052,555.105
Kortlopende schulden 10,319.36312,974.77510,105.1516,493.51710,539.65610,546.56516,084.12614,572.70218,706.61716,753.816,353.43224,093.69716,097.85216,816.36116,857.01116,823.71722,842.07514,884.05214,322.50115,744.272
Belastingschulden 1,548.471,298.63757.07445.803766.6651,680.7691,191.349572.3371,691.5691,373.416789.2961,029.983342.876500.378682.515354.074720.754928.408708.297703.231
Uitgestelde opbrengsten 852.6081,765.5041,109.032800.6751,261.2032,233.1821,747.3181,092.972,199.5131,845.3331,231.9661,449.148741.948924.4721,122.625838.5171,227.0411,474.1171,226.3851,247.268
Overige kortlopende verplichtingen 5,838.0753,847.5163,148.853,530.7793,937.1384,553.6514,131.1864,043.7624,016.193,943.7923,882.9093,890.9493,457.6784,574.3362,983.6452,995.3592,947.1963,477.5792,981.7832,353.468
Totaal kortlopende verplichtingen 19,761.65421,027.16916,061.80222,972.0817,560.77119,914.49324,320.44522,171.15527,321.27625,127.32223,913.42731,523.16922,561.41124,068.0923,366.82122,882.35329,610.34622,888.21821,374.37421,900.113
Langlopende verplichtingen:
Langetermijnschulden 42,780.16447,529.09151,743.71147,524.24747,907.01349,312.96441,460.16543,524.37338,922.26741,383.3542,001.45534,867.70842,980.80141,042.67340,131.24140,137.67231,481.3740,288.66342,289.72443,145.116
Uitgestelde opbrengsten niet-vlottend 584.11772.909948.302996.6991,193.971,032.893814.734858.473902.207930.07973.8690001,320.2481,344.521,795.2751,520.2541,651.6791,459.866
Uitgestelde belastingverplichtingen niet-vlottend 105.01942.87326.65319.70520.71564.903248.798302.14142.4451,047.942597.49800016.72116.99118.673341.579465.69612.802
Overige niet-vlottende verplichtingen 4,955.2354,590.94,972.8495,406.7375,863.7696,322.8456,447.0735,469.4814,941.3174,982.9694,971.1565,706.2265,612.6915,771.274,532.9324,735.8624,530.4714,536.0444,786.4664,917.344
Totaal niet-vlottende verplichtingen 48,424.52852,935.77357,691.51553,947.38854,985.46756,733.60548,970.7750,154.46744,908.23648,344.33148,543.97840,573.93448,593.49246,813.94346,001.14246,235.04537,825.78946,686.5449,193.56549,535.128
Totaal passiva 68,186.18273,962.94273,753.31776,919.46872,546.23876,648.09873,291.21572,325.62272,229.51273,471.65372,457.40572,097.10371,154.90370,882.03369,367.96369,117.39867,436.13569,574.75870,567.93971,435.241
Eigen vermogen:
Preferente aandelen 000012.226000000000000000
Gewone aandelen 9,126.3439,126.3439,126.3439,126.3439,126.3439,126.3439,126.3439,126.3439,126.3439,126.3439,126.3439,126.3439,126.3439,126.3439,126.3439,126.3439,126.3439,126.3439,126.3439,126.343
Ingehouden winsten 17,589.96413,814.07312,025.84611,967.70315,549.65314,816.60913,564.6211,709.049,819.3028,109.8936,633.855,679.084,918.4614,647.314,511.1894,284.5494,345.4063,661.2442,583.0141,615.818
Overige gereserveerde algehele resultaten 2,472.153791.21438.836599.804-12.226378.96843.8721,713.9961,007.7912,5691,45741000000000
Overige totale aandeelhoudersvermogen 2,148.1262,148.2362,140.0542,142.2512,119.9712,123.8891,957.3731,965.3931,936.0521,912.2861,942.4551,924.4461,859.7351,770.281,455.91,676.1462,098.6832,753.3691,872.1381,539.99
Totaal eigen vermogen van aandeelhouders 31,336.58625,879.86223,731.07923,836.10126,795.96726,445.80125,492.20824,514.77221,889.48821,717.52219,159.64817,139.86915,904.53915,543.93315,093.43215,087.03815,570.43215,540.95613,581.49512,282.151
Totaal eigen vermogen 32,351.61726,784.0324,582.9424,682.18327,664.42827,254.36526,260.77725,242.19522,629.79122,428.07619,892.83817,784.43616,494.49916,086.99915,574.77815,586.55316,081.90216,105.72113,862.68512,532.566
Totaal passiva en aandeelhoudersvermogen 100,537.799100,746.97298,336.257101,601.651100,210.666103,902.46399,551.99297,567.81794,859.30395,899.72992,350.24389,881.53987,649.40286,969.03284,942.74184,703.95183,518.03785,680.47984,430.62483,967.807