KDDI Corporation

TSE:9433.T

4978 (JPY) • At close November 13, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 637,8741,077,8781,064,4971,038,0561,020,6991,010,275955,147895,897819,185719,943620,628411,711454,419345,259368,626394,862217,786186,747190,569200,592117,02557,35912,97913,427-10,46817,0618,310-26,161
Afschrijvingen & Amortisatie 687,349697,152728,101727,745689,925562,402546,815545,194532,062522,703498,352423,170432,161460,691469,978444,358359,525328,179337,461354,061369,354392,855427,885338,366270,211198,289159,871115,576
Uitgestelde Inkomstenbelasting 00-367,687-331,644000000000000000000000000
Aandelen Gebaseerde Vergoedingen 00186182000000000000000000000000
Verandering in Werkkapitaal 132,096-301,422128,003236,183-182,082-248,913-196,186-98,718-159,657-68,571-213,738-195,649-132,138-53,257-7,842-56,943-81,78785,05526,899-7,546-34,28340,913-9,273-130,66621,7433,39014,840-57,510
Vorderingen -243,859-104,796-51,616-51,014-205,412-271,723-219,125-171,903-144,329-131,955-95,833-199,5310000000000000000
Voorraden 7,635-24,421-4,5775,49515,060-1,544-12,1852,0641,1406,131-25,9408,613-6,945-9,34429,431-13,108-8,397010,87210,466-10,01650,21412,821-69,0749,691-2,9316,043-8,251
Crediteuren 78,2905,39616,40375,44910,07023,00844,91469,576-47,9320000000000000000000
Overig Werkkapitaal 290,030-177,601167,793206,253-1,8001,346-184,001-100,782-160,797-74,702-187,798-204,262-125,193-43,913-37,273-43,835-73,390016,027-18,012-24,267-9,301-22,094-61,59212,0526,3218,797-49,259
Overige Niet-Contante Posten 1,718,132-394,739-84,45211,644-205,186-294,157-244,371-181,299-307,052-211,826-133,035-115,324-28,556-35,340-90,771-70,04749,710138,72220,602-8,431170,60235,76028,94165,60922,61122,25312,59116,054
Kasstroom uit Operationele Activiteiten 1,642,8191,078,8691,468,6481,682,1661,323,3561,029,6071,061,4051,161,074884,538962,249772,207523,908725,886717,353739,991712,230545,234738,703575,531538,676622,698526,887460,532286,736304,097240,993195,61247,959
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -749,530-634,125-675,567-624,636-619,304-602,138-560,878-519,572-535,800-521,171-509,273-415,771-409,777-422,157-494,541-755,036-500,057-317,289-399,279-327,961-245,725-244,143-358,991-415,268-321,678-399,033-339,878-335,537
Netto Overnames 36,882-9,847-8,379723-11,965-98,580-69,541-66,073-132,422-41,5606,982-12,081-1,000-74,510-100,272-287,279-114,464911-85,712206,234-43,23311,315119,35328,421-5,427000
Aankoop van Beleggingen -430,757-394,368-352,215-165,293-42,122-13,191-7,002-54,165-1,691-3,797-2,578-2,158-59,490-11,609-411,714-41,354-13,749-116,586-29,082-11,480-1,760-1,356-10,909-10,890-17,952000
Verkoop/verval van Beleggingen 333,019313,403284,465126,88665,4761,7672,56535754853,51317,0416,95911,95815,7893,31045,4131351,4103,33610,28229,1281,7551,50524,015-57,700000
Overige Investeringsactiviteiten -9,849-7,543-9,8973,395-3,035-2,4361,0092,2281,448-161,505-58,429-49,941-26,19851,94278,776262,78670,447-10,66474,814-13,58343,12510,87779,1101,45931,193-9,832-43,353-14,104
Kasstroom uit Investeringsactiviteiten -820,236-732,480-761,593-658,925-610,950-714,578-633,847-637,225-667,917-674,520-546,257-472,992-484,507-440,545-924,441-775,470-557,688-442,218-435,923-136,508-218,465-221,552-169,932-372,263-371,564-408,865-383,231-349,641
Financieringsactiviteiten:
Schuldaflossingen 320,606-500-204,223-56,2840143,57538,899-134,606-38,530-178,40728,721-67,37766,231-117,467207,499247,581-58,931-175,041-217,073-300,616-285,317-233,809-285,134-143,059-48,408178,800185,537289,953
Uitgifte van Gewone Aandelen 00052,21400000000101,8670065900000000038,4600
Terugkoop van Gewone Aandelen -300,000-250,152-213,763-136,087-150,000-150,000-150,000-100,000-50,0190-19-2-220,969-99,9990-5,259-35300000000000
Uitgekeerde Dividenden -297,575-287,117-271,362-275,993-257,009-227,700-219,885-185,430-162,834-125,226-85,886-64,973-63,689-57,903-53,447-49,057-45,570-40,022-29,552-24,594-10,201-7,649-7,206-4,288-4,265-4,381-4,697-3,730
Overige Financieringsactiviteiten -199,508-132,068-37,909-169,421-139,372-76,826-122,182-65,748-47,62019,718-48,459-7,897-7,504-6,496-4,814-1,775-1,1722,425-10,624-50,848-33,393-9,905-65,573121,99560,33797,169-17,5626,738
Kasstroom uit Financieringsactiviteiten -462,967-669,837-727,257-585,571-546,381-310,951-453,168-485,784-299,003-224,862-105,643-140,249-225,931-279,998149,238191,490-104,410-258,919-256,935-376,058-328,911-251,363-357,913-25,3527,664271,606201,738292,961
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 9,3677,0877,0122,930-1,419-314-163-3,545-1,8483,5054,3652,430-1,125-2,416377-3,485-2444,08545,798-96-659-7131,239167,249-273000
Netto Kasstroomverandering 406,955-316,361-13,189440,600164,6053,763-25,77334,520-84,23063,405125,242-86,90314,322-5,607-34,834124,765-117,10841,651-71,52926,01474,66353,259-66,07456,370-60,076103,73414,119-8,721
Kaspositie aan het Einde van de Periode 887,207480,252796,613809,802369,202204,597200,834226,607192,087275,935212,53087,288174,191159,869165,476200,31075,546192,654151,003222,532196,518121,85568,596134,67078,300138,37634,64220,523