Subaru Enterprise Co., Ltd.

TSE:9632.T

3120 (JPY) • At close October 18, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 12,299.94413,587.56312,327.63710,387.56910,455.5717,419.7976,895.3195,632.2274,785.0354,574.0543,987.4363,963.594,168.3242,557.1712,560.192
Kortetermijnbeleggingen 62.002-622.262-882.941-925.334-889.012-986.083-852.42717.045667.062681.884674.164745.799855.213904.4491,193.784
Liquide middelen en kortetermijnbeleggingen 12,361.94613,587.56312,327.63710,387.56910,455.5717,419.7976,895.3195,632.2275,452.0975,255.9384,661.64,709.3895,023.5373,461.623,753.976
Nettovorderingen 6,946.3247,383.3436,915.8126,125.0517,072.0826,489.4176,593.9775,717.1146,177.2945,355.9594,898.7454,576.2083,781.9364,437.2494,476.491
Voorraad 571.651488.784674.4181,238.5071,135.8091,070.15807.91757.346361.379617.7121,112.897370.877294.571583.411282.718
Overige vlottende activa 205.327341.772196.11739.78440.86848.99852.49456.95110.58128.70262.77107.58372.415109.96114.301
Totaal vlottende activa 20,085.24821,801.46220,113.98417,790.91118,704.3315,028.36214,349.712,163.63712,101.3511,358.31110,736.0129,764.0579,172.4598,592.248,627.486
Niet-vlottende activa:
Materiële vaste activa, netto 16,079.19912,291.03511,577.22411,504.1919,274.4639,022.8388,761.9448,737.7818,163.8547,947.6317,275.3076,995.8757,133.2917,239.297,237.358
Goodwill 394.974332.344406.198480.053553.907627.761701.61600001.134.5237.91612.861
Immateriële activa 144.68736.46448.61160.10467.56366.12932.94826.91528.7231.4129.9634.26436.99631.50322.613
Goodwill en immateriële activa 539.661368.808454.809540.157621.47693.89734.56426.91528.7231.4129.9635.39441.51939.41935.474
Langetermijnbeleggingen 1,000.5581,5031,6781,7161,7952,0281,720.115121.16-550.803-546.873-426.05476.304-46.86-92.111-356.424
Belastingvorderingen 412.248282.127289.499268.521159.76957.46654.08351.86766.80553.96865.77568.47672.25487.855100.877
Overige niet-vlottende activa 740.1990.312-0.4220.182-0.470.064134.5711,434.4492,079.1862,026.5452,017.6612,175.3432,293.1442,388.9832,797.2
Totaal niet-vlottende activa 18,771.86514,445.28213,999.1114,029.05111,850.23211,802.25811,405.27710,372.1729,787.7629,512.6818,962.6499,351.3929,493.3489,663.4369,814.485
Totaal activa 38,857.11336,246.74934,113.09731,819.96530,554.56626,830.62325,754.97722,535.80921,889.11220,870.99219,698.66119,115.44918,665.80718,255.67618,441.971
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,830.8381,754.9271,926.4091,670.0461,776.0421,774.3151,720.9121,390.2051,551.6171,319.8011,305.1011,197.9221,123.9221,314.2821,240.499
Kortlopende schulden 126.63614.72915.3715.7094.9215.6523.5193.9024.0239.05413.07815.29615.0813.285105.011
Belastingschulden 792.581,017.063780.34719.5281,052.739554.699760.377365.753425.554593.459205.065281.69256.00572.158143.896
Uitgestelde opbrengsten 281.1591,233.434942.157879.0741,201.661683.332872.471461.544523.926668.476280.825351.773320.29141.615213.162
Overige kortlopende verplichtingen 1,718.171,067.7571,599.9381,724.2431,567.9531,029.265980.229636.304795.289861.792927.618747.094654.679674.268736.978
Totaal kortlopende verplichtingen 3,956.8034,070.8474,483.8744,289.0724,550.5773,492.5643,577.1312,491.9552,874.8552,859.1232,526.6222,312.0852,113.9712,143.452,295.65
Langlopende verplichtingen:
Langetermijnschulden 6.64714.36829.09844.4698.84313.7644.8178.3378.7416.52712.16821.82634.85942.03240.179
Uitgestelde opbrengsten niet-vlottend 0.647504.51529.046507.4507.566533.3490.518422.736421.647368.758371.226391.7220310.171379.056
Uitgestelde belastingverplichtingen niet-vlottend 154.6171.521.254.0229.37828.15536.8175.08620.5799.97516.92225.14800.20.121
Overige niet-vlottende verplichtingen 1,174.261419.627376.411432.876561.857528.115547.977293.335313.013330.449324.813388.332882.26458.293471.719
Totaal niet-vlottende verplichtingen 1,336.172940.025935.805988.7671,087.6441,103.3341,080.129729.494763.98715.709725.129827.028917.119810.696891.075
Totaal passiva 5,292.9755,010.8725,419.6795,277.8395,638.2214,595.8984,657.263,221.4493,638.8353,574.8323,251.7513,139.1133,031.092,954.1463,186.725
Eigen vermogen:
Preferente aandelen 000000000000000
Gewone aandelen 1,3311,3311,3311,3311,3311,3311,3311,3311,3311,3311,3311,3311,3311,3311,331
Ingehouden winsten 31,147.8328,842.77726,328.9924,203.69422,570.72119,881.67318,556.52416,796.53315,620.30314,651.71413,791.67113,348.50213,178.66813,180.52813,132.338
Overige gereserveerde algehele resultaten 0.0030.0260.0520.3724.5325.3513.26210.7746.42810290000
Overige totale aandeelhoudersvermogen 982.745963.11941.867919.025923.308930.292718.811728.843863.015898.989900.884923.183842.711790.002791.908
Totaal eigen vermogen van aandeelhouders 33,461.57831,136.91328,601.90926,454.09124,829.56122,148.31520,619.59718,867.1517,820.74616,891.70316,052.55515,602.68515,352.37915,301.5315,255.246
Totaal eigen vermogen 33,564.13531,235.87728,693.41826,542.12624,916.34522,234.72521,097.71619,314.3618,250.27717,296.1616,446.9115,976.33615,634.71715,301.5315,255.246
Totaal passiva en aandeelhoudersvermogen 38,857.1136,246.74934,113.09731,819.96530,554.56626,830.62325,754.97622,535.80921,889.11220,870.99219,698.66119,115.44918,665.80718,255.67618,441.971