Sanritsu Corporation

TSE:9366.T

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

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 2,220.1352,725.7772,749.3122,861.8191,780.7211,489.8761,658.3931,424.4992,384.8472,477.3293,136.442,593.1581,634.7581,835.1062,863.7452,585.9242,220.978
Kortetermijnbeleggingen 0-749.636-675.012-629.404-624.397-636.64200000000000
Liquide middelen en kortetermijnbeleggingen 2,220.1352,725.7772,749.3122,861.8191,780.7211,489.8761,658.3931,424.4992,384.8472,477.3293,136.442,593.1581,634.7581,835.1062,863.7452,585.9242,220.978
Nettovorderingen 3,590.6843,482.8253,398.883,171.7773,018.7233,976.7263,847.3783,157.8283,125.2133,678.4013,945.5173,664.813,928.3413,498.9883,173.3783,197.3970
Voorraad 447.369395.317269.372175.221145.371149.757140.123107.259136.205140.055154.28145.455165.677182.101134.638144.2690
Overige vlottende activa 188.795278.843289.78189.743202.732202.755213.004173.497183.994182.972172.749298.584252.347135.91585.284149.165451.78
Totaal vlottende activa 6,446.9836,882.7626,707.3446,398.565,147.5475,819.1145,858.8984,863.0835,830.2596,478.7577,408.9866,702.0075,981.1235,652.116,257.0456,076.7556,715.607
Niet-vlottende activa:
Materiële vaste activa, netto 12,505.92812,016.57311,724.32611,458.32912,030.61911,631.75411,816.05812,098.32312,596.54412,937.29713,549.60314,095.76810,732.1477,740.19,260.1779,763.17610,771.757
Goodwill 0000000000000000125.931
Immateriële activa 242.623288.551133.26428.31921.89123.37475.846105.164134.629136.195121.036161.046167.057156.54215.76515.73112.19
Goodwill en immateriële activa 242.623288.551133.26428.31921.89123.37475.846105.164134.629136.195121.036161.046167.057156.54215.76515.731138.121
Langetermijnbeleggingen 518.9641,1741,1561,1241,0081,148606.663450.683380.686474.215446.759353.416299.968287.775302.091275.179404.659
Belastingvorderingen 833.057809.381762.08730.94739.012755.985600.153662.528690.824674.985706.324832.409831.804792.282680.464760.696478.545
Overige niet-vlottende activa 877.566-0.1170.173-0.8530.85-0.512596.528644.138636.965621.96620.258833.465848.754803.707613.9331,117.5661,119.491
Totaal niet-vlottende activa 14,978.13814,288.38813,775.84313,340.73513,800.37213,558.60113,695.24813,960.83614,439.64814,844.65215,443.9816,276.10412,879.739,780.40610,872.4311,932.34812,912.573
Totaal activa 21,425.12121,171.15320,483.18919,739.29718,947.92219,377.71819,554.14618,823.91920,269.90721,323.40922,852.96622,978.11118,860.85315,432.51617,129.47518,009.10319,628.18
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 818.699820.66737.159640.505618.54762.403756.92569.547725.5341,123.7031,373.3971,093.11,148.6151,093.8951,201.7871,209.0531,322.601
Kortlopende schulden 3,495.6393,559.9593,446.063,140.5362,660.8132,379.9252,192.0932,060.0492,069.4132,305.72,829.0022,097.5881,864.7431,654.7252,069.762,165.91,353.732
Belastingschulden 13.373271.385261.872235.375121.883173.58277.98846.545208.157140.372.49536.5080173.00893.38399.61283.77
Uitgestelde opbrengsten 13.373791.854783.5672.785470.495554.838663.529322.141508.211450.57334.799184.592149.334443.331322.493233.526377.279
Overige kortlopende verplichtingen 1,417.7391,032.958991.088985.5441,029.388847.583877.156748.316864.127980.683905.333677.38674.02721.819620.151609.773886.489
Totaal kortlopende verplichtingen 5,745.456,205.4315,957.8075,439.374,779.2364,544.7494,489.6983,700.0534,167.2854,860.6565,442.5314,052.663,836.7123,913.774,214.1914,218.2523,940.101
Langlopende verplichtingen:
Langetermijnschulden 2,750.3273,107.3453,527.9124,138.7474,248.3085,175.7665,838.8716,395.2447,427.1687,861.6999,163.83210,946.2855,941.8581,890.3642,251.4212,928.7134,083.035
Uitgestelde opbrengsten niet-vlottend 316.691-49.355-55.232-52.844-24.327-40.709-54.1650000000000
Uitgestelde belastingverplichtingen niet-vlottend 68.4649.35555.23252.84424.32740.70954.1650000000000
Overige niet-vlottende verplichtingen 1,766.9861,603.3011,549.191,530.4531,585.4241,599.4811,584.5971,597.8621,628.2511,530.9711,262.6461,227.8361,964.0081,899.5711,536.0371,721.2971,748.474
Totaal niet-vlottende verplichtingen 4,902.4644,710.6465,077.1025,669.25,833.7326,775.2477,423.4687,993.1069,055.4199,392.6710,426.47812,174.1217,905.8663,789.9353,787.4584,650.015,831.509
Totaal passiva 10,647.91410,916.07711,034.90911,108.5710,612.96811,319.99611,913.16611,693.15913,222.70414,253.32615,869.00916,226.78111,742.5787,703.7058,001.6498,868.2629,771.61
Eigen vermogen:
Preferente aandelen 000000023.514167.9320018600000
Gewone aandelen 2,523.8662,523.8662,523.8662,523.8662,523.8662,523.8662,523.8662,523.8662,523.8662,523.8662,523.8662,523.8662,523.8662,523.8662,523.8662,523.8662,523.866
Ingehouden winsten 5,365.5115,068.1884,313.1483,665.5963,444.2053,121.8052,668.8792,298.6882,154.0221,944.5551,918.9631,884.3882,271.1182,837.2354,127.4934,207.2794,712.56
Overige gereserveerde algehele resultaten 564.466387.072250.537127.41932.33779.685116.959-23.514-167.9326914-18600000
Overige totale aandeelhoudersvermogen 2,212.9412,176.1682,270.4732,236.5852,232.2342,232.3032,232.4072,208.9922,269.9962,437.6812,437.0832,251.8382,215.9642,257.3812,367.3432,304.7082,511.557
Totaal eigen vermogen van aandeelhouders 10,666.78410,155.2949,358.0248,553.4668,232.6427,957.6597,542.1117,031.5466,947.8846,975.1026,893.9126,660.0927,010.9487,618.4829,018.7029,035.8539,747.983
Totaal eigen vermogen 10,777.20410,255.0769,448.288,630.7278,334.9548,057.7227,640.9787,130.767,047.2037,070.0836,983.9576,751.337,118.2757,728.8119,127.8269,140.8419,856.57
Totaal passiva en aandeelhoudersvermogen 21,425.11821,171.15320,483.18919,739.29718,947.92219,377.71819,554.14418,823.91920,269.90721,323.40922,852.96622,978.11118,860.85315,432.51617,129.47518,009.10319,628.18