Japan Airlines Co., Ltd.

TSE:9201.T

2418 (JPY) • At close November 8, 2024
Overview | Financials

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

202320222021202020192018201720162015201420132012201120082007200620052004200320022001200019991998199719961995199419931992199119901989
Operationele Activiteiten:
Nettowinst 95,53452,429-246,617-404,07896,513156,240162,480162,778207,381169,901160,047190,477199,904-62,44716,921-16,267-47,24330,096-88,61911,645-36,72541,02119,74026,773-62,918-14,478-9,098-14,592.979-25,421.213-47,895.33-13,336.91914,032.63117,592.835
Afschrijvingen & Amortisatie 149,960158,197178,785190,585138,035124,104110,86095,77788,52885,89782,71881,00481,222116,340116,580117,561125,126124,713119,388118,18789,74891,83490,41097,13094,416104,94194,779-104,518.213-78,811.927-107,603.616-115,453.525-117,258.585-119,908.229
Uitgestelde Inkomstenbelasting 000000000000000000000000000000000
Aandelen Gebaseerde Vergoedingen 000000000000000000000000000000000
Verandering in Werkkapitaal 81,20460,030-6,909-58,012-102,203-6,1147,884-5,0473,734-7,252-10,9977,024-8,4174,86213,8991,1559,692-8,455-2,22036,727-13,442-30,464-4,638-72,31328,58515,603-1,58748,522.30243,310.596-6,354.63510,182.378-22,093.629-38,380.075
Vorderingen -583-55,997-26,8442,59764,256-1,852-8,621-14,60914,1931,975-22,131-3,777000000000000000000000
Voorraden -6,686-4,881-2,4214,809-4,522188-876-801-4498513807183,1729,23200002,387-2,812-239-284-4587,25014,455-15,204-2,38630,101.79811,415.91314,547.862000
Crediteuren 21,42142,240-4,713-27,036-15,2827,70718,80313,952731000000000000000000000000
Overig Werkkapitaal 67,05278,66827,069-38,382-146,655-12,1578,760-4,2464,183-8,103-11,3776,306-11,589-4,3700000-4,60739,539-13,203-30,180-4,180-79,56314,13030,80779918,420.50331,894.683-20,902.496000
Overige Niet-Contante Posten 315,98322,252-28,80451,986-72,31522,487318-35512,75112,59316,173-13,652-16,036-30,9679,93125,29913,409-1,07947,797-11,146-14,98926,709-18,185-16,04545,392-14,712-14,316163,529.488112,720.579206,910.583242,540.25246,403.965255,269.197
Kasstroom uit Operationele Activiteiten 356,913292,908-103,545-219,51960,030296,717281,542253,153312,394261,139247,941264,853256,67327,788157,331127,748100,984145,27576,346155,41324,592129,10087,32735,545105,47591,35469,77892,940.59851,798.03445,057.003123,932.185121,084.382114,573.729
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -218,075-117,488-161,306-89,686-239,611-222,126-316-233,1251,3501,5721,845-121,89400-174,831-153,251-146,972-121,960-151,585-195,575-102,839-80,271-81,151-132,138-142,292-91,364-95,821-251,804.481-143,978.19-193,994.472-262,758.593-227,472.619-142,725.411
Netto Overnames 2,305-3,087-4,96890,712240,215222,645718,427392451450008,0899,55248,40394,9271036835,4518,39300000038,378.4299,549.1891,344.349,543.3180
Aankoop van Beleggingen -3,000-8,083-13,864-8,118-5,647-533,916-411,204-364,234-406,654-433,247-479,580-506,991-3,093-36,944-2,727-25,636-8,553-5,898-2,066-11,641-45,612-1,21500000-33,307.242-1,962.592-71,590.188-22,747.299-101,729.516-210,830.767
Verkoop/verval van Beleggingen 4661,6851,2262,2541,465526,689423,386412,515318,880396,888508,073351,7337,33154,06027,27755,1057,3428,91713,48657,16442,89315,07845,7970000082,233.61811,364.79940,463.30680,737.0390
Overige Investeringsactiviteiten 19,23614,2075,143-86,174-217,995-183,005-178,537-216,358-202,530-196,017-161,720-109,178-151,459-123,833115,96358,0134972,55754,67964,18048,32338,60442,368138,692-6,45228,634110,187134,956.972-9,936.262-14,938.563-12,019.199-11,604.449-79,655.571
Kasstroom uit Investeringsactiviteiten -199,065-112,766-173,769-91,012-221,573-189,713-166,600-168,077-288,915-230,559-131,237-264,436-147,221-106,717-26,229-56,217-99,283-21,457-85,383-85,189-51,784-19,4117,0146,554-148,744-62,73014,366-150,154.751-35,264.998-259,609.236-255,717.445-250,526.227-433,211.75
Financieringsactiviteiten:
Schuldaflossingen -43,718-58,777-40,259-20,539-13,367-19,439-13,468-11,169-7,952-18,465-9,833-26,599-259,056-153,580-195,339-222,586-132,563-154,678-202,133-283,414-147,216-210,366-157,093-215,402-245,727-177,686-338,614000000
Uitgifte van Gewone Aandelen 000182,65760,89431,32819,23031,11200001,506199,650151,825147,6070000101000000000000
Terugkoop van Gewone Aandelen 000230,919-40,015-10,024-10,004-29,99200000082,78624,6780000226,223000000000000
Uitgekeerde Dividenden -23,924-2-7-31-38,146-39,347-51,749-43,481-37,695-28,989-32,283000-290-602-8,279-327-8,147-316-7,468-5,306-5,293-24-25-26-53-51.84-30.826-8,986.12-8,665.004-8,442.1660
Overige Financieringsactiviteiten -4,25720,314399,546-4,382499445108-1-3,989-19,869-19,796-34,044-16,910-1,267-2,086-2,10649,458148,715217,896175,629-9136,66075,988185,424280,204123,586262,39616,675.2211,818.737247,049.352115,879.454160,034.11345,043.009
Kasstroom uit Financieringsactiviteiten -94,033-38,465359,280388,624-30,135-37,037-55,883-53,531-49,636-67,323-61,912-60,643-274,46044,80336,896-53,009-91,384-6,2907,616-108,10171,549-179,012-86,398-30,00234,452-54,126-76,27116,623.3811,787.911238,063.232107,214.45151,591.943345,043.009
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 10,8053,3443,9261,094-1,2362-354-292-1411,0371,045643449-1,231-3,6444141,061272-1,568-6701,6661,583-568500057,214.153-16,533.037214,552.233131,785.26129,441.845318,638.021
Netto Kasstroomverandering 74,620145,02185,89179,186-192,91569,92558,60931,310-26,336-35,96555,839-59,582-164,802-32,944162,65619,249-88,801117,606-2,991-39,08147,055-67,7436,77712,102-8,817-25,5027,87316,623.3811,787.911238,063.232107,214.45151,591.943345,043.009
Kaspositie aan het Einde van de Periode 713,867639,247494,226408,335329,149252,795182,870124,26192,951119,287155,25299,413158,995147,517354,037191,381172,132260,933143,327146,318169,027121,972189,71590,32878,22687,043112,545161,689.16688,963.972288,923.292182,737.081205,068.408371,605.357