Nagoya Railroad Co., Ltd.

TSE:9048.T

1723 (JPY) • At close September 19, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 60,38855,29150,92754,01927,70220,87022,58922,70217,71413,00614,39510,4209,7558,9258,7288,1689,84411,27114,69722,252
Kortetermijnbeleggingen 362-16,439-17,213-16,483-16,223-15,789-641-200-251-261-290-302-368-45732222203
Liquide middelen en kortetermijnbeleggingen 60,38855,29150,92754,01927,70220,87022,58922,70217,71413,00614,39510,4209,7558,9258,7608,1709,84611,27314,71722,255
Nettovorderingen 65,46062,94360,74863,79758,72865,72266,16266,70164,10465,62169,70673,23578,10273,48772,59774,09380,66380,42981,82686,450
Voorraad 89,18389,52983,90377,18380,73375,64870,64570,28264,02662,40762,45667,88778,35390,025109,638130,109114,95213,28113,31818,819
Overige vlottende activa 23,45319,13916,01820,09821,98020,42522,64913,37312,07915,58613,18612,13211,1929,5788,89111,67510,466102,830100,62294,564
Totaal vlottende activa 238,484226,902211,596215,097189,143182,665182,045173,058157,923156,620159,743163,674177,402182,015199,886224,047215,927207,813210,483222,088
Niet-vlottende activa:
Materiële vaste activa, netto 893,624854,026825,163831,429831,771804,926789,302778,914774,198776,266777,353820,994840,074848,255852,461854,759849,459839,387831,873842,744
Goodwill 2,2941,3976608541,2111,5671,4529211,0921,2951982783792414236127981,13500
Immateriële activa 11,66910,45610,4398,3688,7919,2127,3528,2369,5138,7749,01911,62411,88915,70113,61913,85813,44413,38714,37414,609
Goodwill en immateriële activa 13,96311,85311,0999,22210,00210,7798,8049,15710,60510,0699,21711,90212,26815,94214,04214,47014,24214,52214,37414,609
Langetermijnbeleggingen 128,494120,469118,874118,125114,848127,533116,702106,46697,244100,71483,33879,08574,93373,23376,67584,599104,597130,523136,273111,238
Belastingvorderingen 11,60617,76919,73216,77218,66515,0039,90611,91310,5739,05510,90512,80712,84712,96713,81412,59913,22113,29511,63523,483
Overige niet-vlottende activa 17,03435643148454826614,29714,37214,06214,25914,12114,51115,17316,94319,27022,17525,84827,78732,61136,587
Totaal niet-vlottende activa 1,064,7211,004,473975,299976,032975,834958,507939,011920,822906,682910,363894,934939,299955,295967,340976,262988,6021,007,3671,025,5141,026,7661,028,661
Totaal activa 1,303,2051,231,3781,186,8971,191,1311,164,9791,141,1741,121,0601,093,8821,064,6071,066,9851,054,6791,102,9751,132,6971,149,3551,176,1481,212,6491,223,2941,233,3271,237,2491,250,749
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 74,81673,38867,09172,42477,52677,69469,16371,41169,40374,23473,75267,39070,76972,21971,29481,35493,50095,36676,867101,299
Kortlopende schulden 84,94794,44676,38980,64757,92765,23378,365100,46285,39986,234139,664138,962209,275233,493223,499273,832260,679270,283274,005299,535
Belastingschulden 4,6195,8685,3882,8088,1807,2779,1389,1576,2464,8215,4183,6513,5292,7682,9593,6794,0565,7084,1555,717
Uitgestelde opbrengsten 4,61912,22710,9509,81317,19715,51716,88116,94213,89612,14212,78110,72910,55310,40510,76111,46312,99442,54742,04143,136
Overige kortlopende verplichtingen 144,567124,006110,082118,898110,137101,51695,27790,14485,35283,78175,834106,608105,36094,73187,57790,37484,02775,57074,34766,952
Totaal kortlopende verplichtingen 308,949304,067264,512281,782262,787259,960259,686278,959254,050256,391302,031323,689395,957410,848393,131457,023451,200483,766467,260510,922
Langlopende verplichtingen:
Langetermijnschulden 404,631381,627392,177382,839345,498333,297348,002344,138372,966389,113369,672421,054392,406402,271449,231419,278425,399392,804416,562426,120
Uitgestelde opbrengsten niet-vlottend 9,95838,09940,65640,54038,64143,17143,67647,70546,25545,57944,18434,56635,30536,33038,15938,70642,45251,35247,32659,212
Uitgestelde belastingverplichtingen niet-vlottend 59,02159,38859,97558,99259,22660,63960,98260,86657,88263,95867,51167,66768,29077,79969,06869,38268,65611,95314,0485,406
Overige niet-vlottende verplichtingen 57,11019,11118,44719,46920,42719,31619,16119,40419,90920,46119,73220,41120,49320,09020,21621,66623,94973,83990,06391,776
Totaal niet-vlottende verplichtingen 530,720498,225511,255501,840463,792456,423471,821472,113497,012519,111501,099543,698516,494536,490576,674549,032560,456529,948567,999582,514
Totaal passiva 839,669802,292775,767783,622726,579716,383731,507751,072751,062775,502803,130867,387912,451947,338969,8051,006,0551,011,6561,013,7141,035,2591,093,436
Eigen vermogen:
Preferente aandelen 0299,051282,267269,022303,572278,60000000000000000
Gewone aandelen 101,158101,158101,158101,158101,158100,77895,14888,86388,86388,86385,13584,18584,18584,18584,18584,18584,18584,18484,18374,712
Ingehouden winsten 178,946158,112142,815132,675167,207142,912117,15393,16480,61563,23753,09643,39434,25327,28120,76717,89515,92713,51812,8678,098
Overige gereserveerde algehele resultaten 30,366105,380101,055102,990100,198114,305118,795111,40798,64197,17476,23972,48500000000
Overige totale aandeelhoudersvermogen 127,495-259,270-243,973-233,833-268,365-243,69029,24122,88322,87123,05619,26917,67285,01074,36984,91388,94695,741104,32686,08356,709
Totaal eigen vermogen van aandeelhouders 437,965404,431383,322372,012403,770392,905360,337316,317290,990272,330233,739217,736203,448185,835189,865191,026195,853202,028183,133139,519
Totaal eigen vermogen 463,532429,086411,130407,509438,400424,791389,553342,810313,545291,483251,549235,588220,246202,017206,343206,594211,638219,613201,990157,313
Totaal passiva en aandeelhoudersvermogen 1,303,2051,231,3781,186,8971,191,1311,164,9791,141,1741,121,0601,093,8821,064,6071,066,9851,054,6791,102,9751,132,6971,149,3551,176,1481,212,6491,223,2941,233,3271,237,2491,250,749