SAN Holdings, Inc.

TSE:9628.T

1177 (JPY) • At close September 18, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 9,7669,1927,4437,042.9176,428.7955,611.7044,781.9332,612.852,831.3863,760.5243,972.0073,560.3833,215.0612,394.2992,475.3232,215.8182,978.682
Kortetermijnbeleggingen 23-1,50674.1150.95300000000-552.677-586.013-617.275-654.871
Liquide middelen en kortetermijnbeleggingen 9,7899,1927,4437,042.9176,428.7955,611.7044,781.9332,612.852,831.3863,760.5243,972.0073,560.3833,215.0612,394.2992,475.3232,215.8182,978.682
Nettovorderingen 1,6361,139816496.134493.588725.753958.311997.871939.907927.121952.925977.328902.62682.257798.727778.916798.15
Voorraad 162151148161.884143.419143.741139.252136.351136.334146.966168.755183.167195.748203.6209.234214.477262.296
Overige vlottende activa 248557308194.463198.396169.603159.406161.489156.316139.939122.905129.62136.821142.235140.585115.689132.009
Totaal vlottende activa 11,83511,0398,7157,895.3987,264.1986,650.8016,038.9023,908.5614,063.9434,974.555,216.5924,850.4984,450.253,422.3913,623.8693,324.94,171.137
Niet-vlottende activa:
Materiële vaste activa, netto 22,52422,48322,66222,153.60622,283.55822,362.89821,889.38621,809.10520,509.02619,317.07318,333.07418,626.65118,621.46418,126.917,998.25418,379.11619,121.869
Goodwill 233000.0620.2220.9370.23069.256207.77415.13622.491829.8511,037.2111,244.5711,451.9311,659.292
Immateriële activa 5663982181559789104122.18369.849122.617138.81173.101203.489242.00260.29165.92967.278
Goodwill en immateriële activa 799398218155.06297.22289.937104.23122.183139.105330.387553.94795.5921,033.341,279.2131,304.8621,517.861,726.57
Langetermijnbeleggingen 7141,5911,4931,5151,5311,530767.438271.418444.008431.057468.3505.203519.637554.877588.4619.662657.258
Belastingvorderingen 843551574466.518478.828456.074405.974406.86441.217197.758172.27208.687177.752215.308222.207226.095170.955
Overige niet-vlottende activa 1,065163182202.046219.417237.278955.1751,443.3131,445.6441,483.4841,486.8451,459.3581,369.8711,423.971,431.9211,494.3421,513.463
Totaal niet-vlottende activa 25,94525,18625,12924,492.23224,610.02524,676.18724,122.20324,052.87922,97921,759.75921,014.42921,595.49121,722.06421,600.26821,545.64422,237.07523,190.115
Totaal activa 37,78036,22933,84732,387.63331,874.22631,326.99130,161.10527,961.44127,042.94326,734.30926,231.02126,445.98926,172.31425,022.65925,169.51325,561.97527,361.252
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,029993851613.58736.2641,017.115811.8581,251.7231,315.5081,153.111,143.9121,109.3781,145.851881.102973.349954.784920.615
Kortlopende schulden 8894108122.94135.021,023.946268.436119.714211.48259.4551,946.358696.229690.189969.482896.4492,732.0271,375.988
Belastingschulden 685957783634.259925.05261.126872.668342.087398.054882.662387.439481.242681.157474.042326.197243.701912.285
Uitgestelde opbrengsten 292,2891,8751,664.7592,093.7881,553.1350798.64994.5821,450.169991.8081,192.2941,188.022930.266891.243702.8571,394.756
Overige kortlopende verplichtingen 2,490183192140.305140.281198.3712,175.759119.916128.969128.92145.429320.774178.19181.727114.2102.91109.083
Totaal kortlopende verplichtingen 3,6363,5593,0262,541.5843,105.3533,792.5673,256.0532,289.9932,650.5392,991.6544,227.5073,318.6753,202.2522,962.5772,875.2414,492.5783,800.442
Langlopende verplichtingen:
Langetermijnschulden 168174246322.819409.411393.1551,277.1751,376.3471,247.4611,338.158483.9032,355.2892,888.8022,692.7333,287.5561,859.4284,117.043
Uitgestelde opbrengsten niet-vlottend 0-193-190-174.232-170.346-158.847-152.187-153.0551,096.707528.5180395.011287.22266.216000
Uitgestelde belastingverplichtingen niet-vlottend 195193190174.232170.346158.847152.187153.0551.0264.11202.8010.6892.788000
Overige niet-vlottende verplichtingen 902881946974.9691,043.6691,071.2551,372.2041,351.118210.002178.267586.617170.191169.398167.973307.358216.361255.593
Totaal niet-vlottende verplichtingen 1,2651,0551,1921,297.7881,453.081,464.412,649.3792,727.4652,555.1962,049.0551,070.522,923.2923,346.1093,129.713,594.9142,075.7894,372.636
Totaal passiva 4,9014,6144,2183,839.3724,558.4335,256.9775,905.4325,017.4585,205.7355,040.7095,298.0276,241.9676,548.3616,092.2876,470.1556,568.3678,173.078
Eigen vermogen:
Preferente aandelen 00000000000000000
Gewone aandelen 2,5682,5682,5682,568.1572,568.1572,568.1572,568.1572,568.1572,568.1572,568.1572,568.1572,568.1572,568.1572,568.1572,568.1572,568.1572,568.157
Ingehouden winsten 27,03025,15323,40221,749.05120,544.57119,027.3317,212.80815,900.75514,793.7814,650.16713,889.56113,160.52812,580.32611,886.70211,655.68811,798.38511,992.724
Overige gereserveerde algehele resultaten 00000100100100000
Overige totale aandeelhoudersvermogen 3,279-27,721-25,9704,231.0534,203.0654,473.5274,474.7074,475.0714,474.2714,475.2764,475.2764,474.3374,475.474,475.5134,475.5134,627.0664,627.293
Totaal eigen vermogen van aandeelhouders 32,87731,61529,62928,548.26127,315.79326,070.01424,255.67222,943.98321,837.20821,693.620,932.99420,204.02219,623.95318,930.37218,699.35818,993.60819,188.174
Totaal eigen vermogen 32,87731,61529,62928,548.26127,315.79326,070.01424,255.67222,943.98321,837.20821,693.620,932.99420,204.02219,623.95318,930.37218,699.35818,993.60819,188.174
Totaal passiva en aandeelhoudersvermogen 37,77836,22933,84732,387.63331,874.22631,326.99130,161.10427,961.44127,042.94326,734.30926,231.02126,445.98926,172.31425,022.65925,169.51325,561.97527,361.252