Central Security Patrols Co., Ltd.

TSE:9740.T

2797 (JPY) • At close November 5, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 24,626.8216,631.99416,854.33115,371.72213,200.12210,285.1529,208.9369,892.6999,749.2669,333.8897,750.4667,660.2738,147.8149,122.0838,572.2318,233.736
Kortetermijnbeleggingen 651.2321,725.6641,766.0451,890.6811,836.6431,723.61,383.5781,312.3221,262.5471,076.275980.868823.244570.569315.156-1,769.742-1,579.765
Liquide middelen en kortetermijnbeleggingen 25,278.05218,357.65818,620.37617,262.40315,036.76512,008.75210,592.51411,205.02111,011.81310,410.1648,731.3348,483.5178,718.3839,437.2398,572.2318,233.736
Nettovorderingen 10,589.29910,506.110,318.08710,932.64311,165.46710,851.18110,475.0658,526.9615,673.6815,363.7034,944.6894,657.641,188.6281,105.11,061.7921,085.187
Voorraad 1,474.8611,425.2961,348.221,024.6151,748.8011,073.839874.544864.461719.198655.048624.109625.251632.787696.407742.574986.889
Overige vlottende activa 3,265.2231,122.8751,067.7221,014.4341,088.672894.31807.098842.4192,256.621,798.6881,678.131,445.8794,822.6894,444.6684,186.6374,162.944
Totaal vlottende activa 40,607.43531,411.92931,354.40530,234.09529,039.70524,828.08222,749.22121,438.86219,661.31218,227.60315,978.26215,212.28715,362.48715,683.41414,563.23414,468.756
Niet-vlottende activa:
Materiële vaste activa, netto 13,786.04114,828.20515,780.45916,163.32914,368.19113,710.712,987.92412,817.2510,657.07810,818.2288,850.8469,005.4189,088.1486,742.5686,927.6857,018.802
Goodwill 0.7990.8380.8010.30.4760.5110.511000000000
Immateriële activa 1,7281,2491,3011,3371,2151,1051,1181,002.7251,012.0581,161.1831,301.8241,473.0111,106.018768.969665.013696.537
Goodwill en immateriële activa 1,728.7991,249.8381,301.8011,337.31,215.4761,105.5111,118.5111,002.7251,012.0581,161.1831,301.8241,473.0111,106.018768.969665.013696.537
Langetermijnbeleggingen 4,138.95314,97412,10613,69012,46111,33110,788.2819,056.1718,295.726,231.7244,837.9785,531.5334,005.0394,490.8856,373.0966,177.662
Belastingvorderingen 1,295.748178.719184.848187.238127.53742.75226.34231.85814.89615.85721.61832.60945.09858.24933.67658.704
Overige niet-vlottende activa 3,983.323-1,023.788-935.3730.25-0.4860.2263,080.4442,864.1582,515.0255,334.4684,364.614,180.9344,238.7533,854.2691,440.731,472.79
Totaal niet-vlottende activa 24,932.86430,206.97428,437.73531,378.11728,171.71826,190.18928,001.50225,772.16222,494.77723,561.4619,376.87620,223.50518,483.05615,914.9415,440.215,424.495
Totaal activa 65,540.29961,618.90659,792.14361,612.21757,211.42651,018.27450,750.72747,211.02842,156.09341,789.06635,355.14135,435.79533,845.54331,598.35430,003.43429,893.251
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 2,321.5172,119.8912,005.1192,287.4272,504.6912,006.3441,813.8541,635.5641,469.541,320.5961,302.9081,222.841,273.2291,194.7581,006.9011,053.138
Kortlopende schulden 3,009.1582,954.4933,800.7173,918.6744,012.2992,698.0053,393.0942,707.6752,175.9651,973.3981,707.4181,380.1311,325.4381,196.948885.802875
Belastingschulden 3,760.621851.4421,148.127878.906935.6761,015.378599.27498.845407.545443.496410.148368.693339.742456.321403.609473.926
Uitgestelde opbrengsten 595.015,242.3565,316.3975,266.3225,249.5534,928.3724,171.2034,032.633,706.9383,754.933,436.7673,264.8372,965.9213,093.9963,221.8773,305.598
Overige kortlopende verplichtingen 15,343.497,034.4817,890.3898,714.2148,745.0128,209.2847,614.6047,433.9338,058.4537,174.495,839.7155,478.7866,011.135,663.6764,854.2074,909.834
Totaal kortlopende verplichtingen 21,269.17517,351.22119,012.62220,186.63720,511.55517,842.00516,992.75515,809.80215,410.89614,223.41412,286.80811,346.59411,575.71811,149.3789,968.78710,143.57
Langlopende verplichtingen:
Langetermijnschulden 749.2122,971.0814,304.5696,424.1115,657.3165,251.8095,387.4915,691.293,335.193,428.9562,336.462,928.2343,117.7711,480.461,517.71,610
Uitgestelde opbrengsten niet-vlottend 995.398674.015616.006583.46553.573514.245506.733485.021401.582407.036415.572395.063393.475192.672183.585159.222
Uitgestelde belastingverplichtingen niet-vlottend 1,487.8992,931.2952,078.9382,515.1081,970.9162,130.1642,729.1452,119.5541,848.2322,712.0791,947.7132,177.4411,563.9671,811.3121,686.6251,633.879
Overige niet-vlottende verplichtingen 1,264.626334.562347.633477.957648.175821.9071,009.6751,242.0751,468.303465.628350.668395.632393.146217.864343.286318.799
Totaal niet-vlottende verplichtingen 4,497.1356,910.9537,347.14610,000.6368,829.988,718.1259,633.0449,537.947,053.3077,013.6995,050.4135,896.375,468.3593,702.3083,731.1963,721.9
Totaal passiva 25,766.3124,262.17426,359.76830,187.27329,341.53526,560.1326,625.79925,347.74222,464.20321,237.11317,337.22117,242.96417,044.07714,851.68613,699.98313,865.47
Eigen vermogen:
Preferente aandelen 0000000000000000
Gewone aandelen 2,9242,9242,9242,9242,9242,9242,9242,9242,9242,9242,9242,9242,9242,9242,9242,924
Ingehouden winsten 29,214.224,636.97322,709.86519,744.1217,200.89714,772.9813,027.04712,128.36811,460.87510,231.3889,939.5449,662.0469,437.2449,362.079,036.2768,690.812
Overige gereserveerde algehele resultaten 2,483.7144,782.6512,911.5834,098.8433,245.0742,613.6554,155.8852,879.3732,057.5344,1662,63300000
Overige totale aandeelhoudersvermogen 2,662.6652,632.5092,643.8312,639.0622,640.2872,640.9152,629.7272,631.1382,632.0132,634.652,389.9135,497.1344,347.9144,373.1494,275.6494,372.034
Totaal eigen vermogen van aandeelhouders 37,284.57934,976.13331,189.27929,406.02526,010.25822,951.5522,736.65920,562.87919,074.42219,956.03817,886.45718,083.1816,709.15816,659.21916,235.92515,986.846
Totaal eigen vermogen 39,773.98537,356.73233,432.37531,424.94427,869.89124,458.14424,124.92821,863.28619,691.8920,551.95318,017.9218,192.83116,801.46616,746.66816,303.45116,027.781
Totaal passiva en aandeelhoudersvermogen 65,540.29561,618.90659,792.14361,612.21757,211.42651,018.27450,750.72747,211.02842,156.09341,789.06635,355.14135,435.79533,845.54331,598.35430,003.43429,893.251