Nishio Rent All Co., Ltd.

TSE:9699.T

3730 (JPY) • At close November 8, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 43,03847,69547,59233,45631,67328,90221,48122,24125,73328,905.84220,841.14718,443.11611,514.47414,143.4513,362.25312,120.67112,814.94611,251.12813,858.122
Kortetermijnbeleggingen 14192429352-9-2321,0011,003.5551,023.7451,031.5393,011.5145.3655.44385.391,398.61,100.6300.918
Liquide middelen en kortetermijnbeleggingen 43,05247,71447,61633,48531,70828,90421,48122,24126,73429,909.39721,864.89219,474.65514,525.98814,148.81513,367.69612,206.06114,213.54612,351.72814,159.04
Nettovorderingen 46,64642,74341,62838,30842,70441,59236,59833,88432,40531,031.09626,272.22326,571.78923,494.84520,836.93419,574.26823,555.14724,503.18622,883.20319,727.735
Voorraad 6,7906,2614,8795,4025,0303,9622,8572,3182,2362,324.8121,773.1461,622.0861,840.7691,335.922841.262843.5241,038.504794.617907.529
Overige vlottende activa 9,0279,2097,5707,7297,8987,6395,6803,8093,6615,091.2884,813.5462,990.479864.9881,142.5991,796.3342,115.9262,082.1951,209.171,804.468
Totaal vlottende activa 105,515105,927101,69384,92487,34082,09766,61662,25265,03668,356.59354,723.80750,659.00940,726.5937,464.2735,579.5638,720.65841,837.43137,238.71836,598.772
Niet-vlottende activa:
Materiële vaste activa, netto 155,562143,825135,403129,432117,29899,29388,14883,80275,87465,791.24957,051.19949,503.29146,269.05943,700.03842,683.81941,039.50940,169.81836,320.77732,596.388
Goodwill 1,2471,6142,0182,4853,2402,1223904513858.3418.18634.101110.767187.43300000
Immateriële activa 1,8201,9331,9941,2371,2901,159465389374459.677398.902459.372539.635440.574163.91686.712118.557152.749162.25
Goodwill en immateriële activa 3,0673,5474,0123,7224,5303,281855840412518.017417.088493.473650.402628.007163.91686.712118.557152.749162.25
Langetermijnbeleggingen 2,5372,1291,991924530617651843-411-474.3294,309.6514,012.122,309.3485,224.7234,862.4844,813.8723,915.414,634.0085,895.754
Belastingvorderingen 2,2942,1962,2402,3092,297405441358311386.566289.938339.002307.37354.439382.8391,070.5821,929.039564.258445.524
Overige niet-vlottende activa 3,5904,0733,5923,4202,9472,9112,6992,5333,5453,409.7473,214.5933,114.2895,508.8832,675.2212,081.7352,654.4553,813.3783,446.4122,493.385
Totaal niet-vlottende activa 167,050155,770147,238139,807127,602106,50792,79488,37679,73169,631.2565,282.46957,462.17555,045.06252,582.42850,174.79349,665.1349,946.20245,118.20441,593.301
Totaal activa 272,569261,699248,933224,734214,944188,607159,413150,630144,771137,987.844120,006.277108,121.18795,771.65290,046.69885,754.35388,385.78891,783.63382,356.92378,192.073
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 35,06132,09031,65430,16134,92331,94528,10925,63323,58324,883.02721,510.92618,202.59916,419.04512,936.18412,275.4615,539.0333,667.8663,780.1474,315.151
Kortlopende schulden 27,30028,47725,60322,78121,57617,19916,95314,49212,43714,112.90613,108.66313,365.10210,319.0117,325.9855,485.38,011.512,167.866,086.323,718
Belastingschulden 3,3112,4552,7121,7933,1553,0202,2991,8282,4482,959.8762,618.572,522.528595.89434.649150.782284.4341,281.8551,971.4571,348.807
Uitgestelde opbrengsten 6,01205,1674,3405,6413,0204,4263,8674,5244,819.6534,206.6343,926.6391,983.5471,554.2161,140.7561,456.22615,217.10613,675.52312,298.13
Overige kortlopende verplichtingen 10,53815,73410,81510,9459,32810,1216,0944,8504,7364,546.9952,829.0622,774.9362,149.6252,146.2552,187.8592,021.692,735.5672,331.922,049.393
Totaal kortlopende verplichtingen 78,91176,30173,23968,22771,46862,28555,58248,84245,28048,362.58141,655.28538,269.27630,871.22823,962.6421,089.37527,028.44933,788.39925,873.9122,380.674
Langlopende verplichtingen:
Langetermijnschulden 65,04465,24062,16150,69841,56230,75524,59325,44828,49925,899.95123,129.10420,292.5817,744.53419,152.43718,064.48412,588.79,581.513,299.3617,217.5
Uitgestelde opbrengsten niet-vlottend 2,258144,9252,0142,0361,8651,6791,6181,4031,1681,058.545761.059730.85703.227357.922284.807400.708393.169482.9850
Uitgestelde belastingverplichtingen niet-vlottend 575629285383458723359180245190.255194.917203.67284.582365.15114.74156.01944.188.3070
Overige niet-vlottende verplichtingen 1,386-142,171448346366348245222197200.688168.201145.831126.334162.375155.681171.955170.401320.238842.956
Totaal niet-vlottende verplichtingen 69,26368,62364,90853,46344,25133,50526,81527,25330,10927,349.43924,253.28121,372.93118,858.67720,037.88418,619.71313,217.38210,189.2514,110.8918,060.456
Totaal passiva 148,174144,924138,147121,690115,71995,79082,39776,09575,38975,712.0265,908.56659,642.20749,729.90544,000.52439,709.08840,245.83143,977.64939,984.840,441.13
Eigen vermogen:
Preferente aandelen 106,02498,51291,70468643772,77864,91059,26100000000000
Gewone aandelen 8,1008,1008,1008,1008,1008,1006,0486,0456,0456,045.7616,045.7616,045.7616,045.7616,045.7616,045.7616,045.7616,045.7616,045.7616,045.761
Ingehouden winsten 106,02498,51291,70485,01180,52072,77864,91059,26153,67347,451.46339,371.72534,345.75331,876.82832,036.99931,997.38933,910.02733,351.93727,977.94823,387.689
Overige gereserveerde algehele resultaten 2,5161,696235-686-43792,81977,01774,53654711217300000000
Overige totale aandeelhoudersvermogen -100,425-92,249-84,5266,6087,199-157,067-138,916-127,2256,6816,677.4756,681.3366,551.4536,645.5236,549.896,644.4226,738.6536,883.6477,433.9197,680.857
Totaal eigen vermogen van aandeelhouders 122,239114,571107,21799,71995,81989,40873,96971,87866,94660,286.69952,271.82246,942.96744,568.11244,632.6544,687.57246,694.44146,281.34541,457.62837,114.307
Totaal eigen vermogen 124,395116,775110,786103,04499,22592,81777,01674,53569,38262,275.82454,097.71148,478.9846,041.74746,046.17446,045.26548,139.95747,805.98442,372.12337,750.943
Totaal passiva en aandeelhoudersvermogen 272,569261,699248,933224,734214,944188,607159,413150,630144,771137,987.844120,006.277108,121.18795,771.65290,046.69885,754.35388,385.78891,783.63382,356.92378,192.073