Kintetsu Group Holdings Co.,Ltd.

TSE:9041.T

3450 (JPY) • At close September 18, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 266,970217,08778,90276,97240,89553,32453,95953,01355,86957,60460,68047,48323,91833,52630,32231,94926,49835,91335,31735,411
Kortetermijnbeleggingen 5,5895,008-102,892-98,585-83,469-90,344-61,964-44,612-44,664-29,6931,9847-6,825-7,188202059822454
Liquide middelen en kortetermijnbeleggingen 272,559222,09578,90276,97240,89553,32453,95953,01355,86957,60462,66447,49023,91833,52630,34231,96926,55735,99535,34135,465
Nettovorderingen 183,967380,991193,606189,876146,848158,821171,865165,977164,878210,349214,065224,405216,012237,604240,481257,51260,229052,47154,162
Voorraad 190,72219,56418,54116,85518,96917,54616,84417,08319,86418,05519,85919,68219,51222,11023,96726,787231,2540246,939293,831
Overige vlottende activa 73,56379,39840,52047,42050,59060,02550,50262,35856,17159,86160,52057,58148,65241,78050,13943,79951,12936,29338,54742,479
Totaal vlottende activa 720,811702,048331,569331,123257,302289,716293,170298,431296,782345,869357,108349,158308,094335,020344,929360,067369,169388,669373,298425,937
Niet-vlottende activa:
Materiële vaste activa, netto 1,369,0581,364,4041,289,0931,358,7101,404,8681,407,4031,394,5081,406,4861,411,2731,392,8671,409,4681,388,9431,375,8901,371,6841,353,8581,330,9201,313,6441,242,6571,303,3621,389,567
Goodwill 59,26462,51713223156457292124157973,6086,6589,73212,6640000
Immateriële activa 108,229107,40013,94514,94117,19615,69911,86711,74714,77117,15618,43717,3708,9539,14610,23911,04810,7696,00800
Goodwill en immateriële activa 167,493169,91713,95814,96317,22715,75511,91211,81914,86317,28018,45218,16712,56115,80419,97123,71210,7696,0085,3485,778
Langetermijnbeleggingen 66,467169,611244,183223,771196,489207,684177,224152,156163,547144,76797,79586,25179,41077,19568,25670,64578,51083,21279,54675,288
Belastingvorderingen 9,56012,79511,53320,4758,93611,8084,5065,9516,5548,91710,99414,74610,56010,90113,82714,89317,18924,17542,81542,777
Overige niet-vlottende activa 120,9275,9795,4296,0026,4764,04938,56438,08337,88337,02165,30768,54753,05749,61857,43061,06058,15768,96371,19868,348
Totaal niet-vlottende activa 1,733,5051,722,7061,564,1961,623,9211,633,9961,646,6991,626,7141,614,4951,634,1201,600,8521,602,0161,576,6541,531,4781,525,2021,513,3421,501,2301,478,2691,425,0151,502,2691,581,758
Totaal activa 2,454,3162,424,7551,895,7701,955,0481,891,3001,936,4171,919,8881,912,9311,930,9061,946,7251,959,1281,925,8151,839,5721,860,2221,858,2711,861,2971,847,4381,813,6841,875,5672,007,695
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 122,435133,46149,08439,87943,74157,88660,65156,49749,58549,19848,94445,91749,88858,35263,01456,04973,86755,11651,13853,013
Kortlopende schulden 322,746377,606262,142331,666258,401273,630279,779361,108277,033344,645394,940380,237384,554371,736449,601410,192408,965470,459458,476524,660
Belastingschulden 12,64310,2204,2629593,4559,6404,1999,7785,1948,0905,3645,4236,9562,6204,7792,0343,2612,2434,3273,774
Uitgestelde opbrengsten 12,64383,98251,84580,77178,23682,69868,98574,64074,46175,43690,02168,81856,75249,64057,68263,56759,3722,26256,55760,680
Overige kortlopende verplichtingen 255,460184,712140,974133,488136,329162,301150,492156,698165,624170,951164,489156,63995,82987,39897,04799,27893,145103,070103,102119,398
Totaal kortlopende verplichtingen 713,284779,761504,045585,804516,707576,515559,907648,943566,703640,230698,394651,611587,023567,126667,344629,086635,349630,907669,273757,751
Langlopende verplichtingen:
Langetermijnschulden 933,313978,361832,357886,644825,263802,818817,695757,507876,740838,122814,448917,612923,833970,496865,966889,511852,043808,426831,019882,780
Uitgestelde opbrengsten niet-vlottend 60,89312,0568,5699,70810,43310,10010,13110,47710,77212,03812,75213,7389,91611,11814,65615,88326,88525,21327,70931,884
Uitgestelde belastingverplichtingen niet-vlottend 117,765121,54894,86595,39693,26493,42396,66187,52285,53276,91383,91282,50382,18494,81294,86487,06588,19589,06887,69569,519
Overige niet-vlottende verplichtingen 45,96032,76934,17539,00340,33940,51241,25742,30141,49243,97345,06943,86544,27842,30445,00050,15255,17784,369115,132128,111
Totaal niet-vlottende verplichtingen 1,157,9311,144,734969,9661,030,751969,299946,853965,744897,8071,014,536971,046956,1811,057,7181,060,2111,118,7301,020,4861,042,6111,022,3001,007,0761,061,5551,112,294
Totaal passiva 1,871,2151,924,4951,474,0111,616,5551,486,0061,523,3681,525,6511,546,7501,581,2391,611,2761,654,5751,709,3291,647,2341,685,8561,687,8301,671,6971,657,6491,637,9831,730,8281,870,045
Eigen vermogen:
Preferente aandelen 0342,006267,810227,767297,240289,02700000000000000
Gewone aandelen 126,476126,476126,476126,476126,476126,476126,476126,476126,476126,476126,47692,74192,74192,74192,74192,74192,74192,74192,74192,741
Ingehouden winsten 200,437161,79580,55540,829110,288102,03975,73455,84840,78823,8716,572-3,669-13,860-10,226-12,655-2,216-11,879-28,322-38,068-32,860
Overige gereserveerde algehele resultaten 39,00399,844110,81092,82779,73793,238103,58195,790101,213107,06692,55783,76800000000
Overige totale aandeelhoudersvermogen 153,339-288,271-207,031-167,305-236,764-228,51560,61860,41660,25559,92359,65525,517101,51086,13184,75990,00099,306101,01280,99469,700
Totaal eigen vermogen van aandeelhouders 519,255441,850378,620320,594376,977382,265366,409338,530328,732317,336285,260198,357180,391168,646164,845180,525180,168165,431135,667129,581
Totaal eigen vermogen 583,097500,260421,759338,493405,294413,049394,237366,181349,667335,449304,553216,486192,338174,366170,441189,600189,789175,701144,739137,650
Totaal passiva en aandeelhoudersvermogen 2,454,3162,424,7551,895,7701,955,0481,891,3001,936,4171,919,8881,912,9311,930,9061,946,7251,959,1281,925,8151,839,5721,860,2221,858,2711,861,2971,847,4381,813,6841,875,5672,007,695