Pasco Corporation

TSE:9232.T

2137 (JPY) • At close September 19, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 19,72919,09519,14516,16413,72714,41315,064.48610,196.5278,148.3968,546.5258,707.3028,679.58710,205.467,676.22410,402.50810,136.2345,729.498
Kortetermijnbeleggingen 0-2,549-2,358-2,219-1,052-84518117.458158.078-1,989.546-2,703.088-2,022.80100000
Liquide middelen en kortetermijnbeleggingen 19,72919,09519,14516,16413,72714,41315,064.48610,196.5278,148.3968,546.5258,707.3028,679.58710,205.467,676.22410,402.50810,136.2345,729.498
Nettovorderingen 37,94136,90334,05334,81933,11131,33031,928.18935,921.99634,048.06232,327.51533,316.23931,566.53630,128.26427,298.20227,206.68228,812.1331,868.567
Voorraad 3293162074571,8142,3351,888.094705.154575.738432.675969.004556.138509.029789.36147.35313.047407.496
Overige vlottende activa 2,7862,4302,5182,0842,0343,1553,257.2983,451.2712,781.9922,817.1552,005.0931,553.0271,444.111,679.106808.91,024.7111,240.851
Totaal vlottende activa 60,78558,81155,77253,12550,76851,51252,138.06750,274.94845,554.18844,123.8744,997.63842,355.28842,286.86337,442.89238,565.4440,286.12239,246.412
Niet-vlottende activa:
Materiële vaste activa, netto 5,3515,6427,0066,5136,5208,9609,490.36310,947.53712,221.94414,399.98115,371.5814,760.4915,192.59213,669.17511,201.89811,181.7811,250.394
Goodwill 000003650.12565.453109.559131.11798.42992.785465.009477.771172.935241.537188.408
Immateriële activa 3,0682,8693,7283,6513,2873,0953,015.6663,600.7245,186.66,519.6335,683.1644,471.9523,592.3092,537.5082,143.5262,477.972,463.828
Goodwill en immateriële activa 3,0682,8693,7283,6513,2873,1313,065.7913,666.1775,296.1596,650.755,781.5934,564.7374,057.3183,015.2792,316.4612,719.5072,652.236
Langetermijnbeleggingen 1,0902,8602,7073,3332,0891,9351,265.61,016.091769.8023,5993,9903,23900000
Belastingvorderingen 507935275141,5961,3581,038.4791,100.469254.121-3,599-3,990-3,23900000
Overige niet-vlottende activa 3,777-3-1-2-20853.3281,142.3351,806.0563,608.8983,998.7443,239.8192,750.0582,659.2852,826.7822,834.5343,616.953
Totaal niet-vlottende activa 13,33612,16113,96714,00913,49015,38415,713.56117,872.60920,348.08224,659.62925,151.91722,565.04621,999.96819,343.73916,345.14116,735.82117,519.583
Totaal activa 74,12170,97769,74267,13764,26166,89967,851.62868,147.55765,902.2768,783.49970,149.55564,920.33464,286.83156,786.63154,910.58157,021.94356,765.995
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 4,4094,3744,4234,4654,2114,5674,831.2144,123.3284,055.4654,217.2964,264.4894,298.645,065.6613,482.0583,887.3754,880.0485,631.42
Kortlopende schulden 16,92218,50018,51818,51617,40220,21722,665.3323,821.26521,122.35721,960.16423,110.99220,323.98618,916.6315,377.95512,371.25215,089.38631,696.342
Belastingschulden 9441,533983308746246378.721261.304332.277127.0211,167.473894.9321,355.693293.201195.981170.842162.421
Uitgestelde opbrengsten 9443,9964,4013,4484,8794,6564,553.0834,561.9633,654.6952,767.7044,444.8333,433.5964,253.1413,038.1314,208.8714,206.7891,612.638
Overige kortlopende verplichtingen 7,3814,1393,5483,4353,4914,5522,848.4962,745.7312,839.1383,506.3992,709.2563,154.0183,593.8092,973.9133,031.3542,362.5341,936.899
Totaal kortlopende verplichtingen 29,65631,00930,89029,86429,98333,99234,898.12335,252.28731,671.65532,451.56334,529.5731,210.2431,829.24124,872.05723,498.85226,538.75740,877.299
Langlopende verplichtingen:
Langetermijnschulden 10,80011,60014,40015,21815,20516,84518,081.00818,072.98418,081.0718,142.14318,198.19718,207.27718,337.67618,263.52119,099.30420,269.4663,126.661
Uitgestelde opbrengsten niet-vlottend 404545841701,100573379.124448.774547.529284.533750.407968.1591,159.9721,286.2591,244.8071,601.0962,278.783
Uitgestelde belastingverplichtingen niet-vlottend 2771625224210273.488417.633443.993568.205441.513620.905393.814225.83394.5582.247146.525
Overige niet-vlottende verplichtingen 473167222119423187.83184.161146.995177.7159.327156.036148.857117.18136.332168.677
Totaal niet-vlottende verplichtingen 11,59012,23715,03115,43116,32817,67018,764.6219,027.22219,156.75319,141.87619,567.81719,955.66820,047.49819,924.4720,555.84122,089.1415,720.646
Totaal passiva 41,24643,24645,92145,29546,31151,66253,662.74354,279.50950,828.40851,593.43954,097.38751,165.90851,876.73944,796.52744,054.69348,627.89846,597.945
Eigen vermogen:
Preferente aandelen 000049100000010500000
Gewone aandelen 8,7588,7588,7588,7588,7588,7588,7588,758.4818,758.4818,758.4818,758.4818,758.4818,758.4818,758.4818,758.4818,758.4818,758.481
Ingehouden winsten 21,95217,86814,09612,7009,8026,3295,012.8464,636.9185,757.7876,900.5356,055.3984,692.0983,802.9673,260.291,739.531-2,246.185-5,401.143
Overige gereserveerde algehele resultaten 1,581598495522-491273544622.957697.6031,665653-10500000
Overige totale aandeelhoudersvermogen -29-26-2-557-1,046-560-553.708-548.848-540.436-529.518-33.694-215.24-691.28-519.288-70.8871,513.7396,492.631
Totaal eigen vermogen van aandeelhouders 32,26227,19823,34721,42317,51414,80013,761.13813,469.50814,673.43516,794.49815,433.18513,235.33911,870.16811,499.48310,427.1258,026.0359,849.969
Totaal eigen vermogen 32,87227,73123,82121,84217,95015,23714,188.88413,868.04815,073.86217,190.0616,052.16813,754.42612,410.09211,990.10410,855.8888,394.04510,168.05
Totaal passiva en aandeelhoudersvermogen 74,11870,97769,74267,13764,26166,89967,851.62768,147.55765,902.2768,783.49970,149.55564,920.33464,286.83156,786.63154,910.58157,021.94356,765.995