Fuji Soft Incorporated

TSE:9749.T

9070 (JPY) • At close September 20, 2024
Overview | Financials

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003
Operationele Activiteiten:
Nettowinst 11,84918,28417,66615,64714,01410,837.25310,023.8799,007.8698,755.0098,982.1795,2017,495.5224,318.7923,840.7736,032.9974,523.4727,162.3485,984.05810,551.53810,710.1211,120.666
Afschrijvingen & Amortisatie 4,1844,1335,5406,0025,0815,250.3085,398.6065,023.125,341.0615,392.3116,865.3327,052.9467,586.9218,548.0158,494.8568,404.13111,236.4789,616.7667,640.2847,605.0385,577.416
Uitgestelde Inkomstenbelasting 000000000000000000000
Aandelen Gebaseerde Vergoedingen 000000000000000000000
Verandering in Werkkapitaal -3,870-1,365-932-3,736-2,954-2,789.123-2,768.128-3,062.322-2,379.582143.5821,320-1,012.755-129.872-847.5-2,614.4945.0763,202.996-3,116.175,410.055-983.606-2,828.274
Vorderingen -5,640264-5,251-452-4,802-3,922-3,682.416-5,163.534-1,441.655-1,7041,174.6660-500000000
Voorraden -365-1,0961,002364-2,575-106.094-641.686-256.131-355.643156.526604-595.934-281.6651,073.653251.611579.043-81.257-469.6814,803.76-1,205.24-2,644.883
Crediteuren -4581,3621,376-8713,845-418501.7952,486.733157.156000000000000
Overig Werkkapitaal 2,593-1,8951,941-2,777578-2,683.029-2,126.442-2,806.191-2,023.939-12.944-458.667-416.821151.793-1,921.153-2,866.101-533.9673,284.253-2,646.489606.295221.634-183.391
Overige Niet-Contante Posten 3,988-7,533-6,367-3,126-3,557-2,106.298-3,409.654-1,438.36-4,121.023-398.468-4,930.333-727.969576.959988.262-3,927.895-767.831-4,184.895-2,703.989-3,273.223-6,813.838-3,696.068
Kasstroom uit Operationele Activiteiten 16,15113,51915,90714,78712,58411,192.149,244.7039,530.3077,595.46514,119.6048,455.99812,807.74412,352.812,529.557,985.46812,204.84817,416.9279,780.66520,328.65410,517.71410,173.74
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -11,120-12,284-6,735-10,181-8,490-23,311.653-5,382.273-3,624.878-3,607.497-2,985.764-1,117.333-3,223.459-3,392.405-5,746.247-6,263.449-6,892.986-8,064.812-20,490.078-12,834.887-10,178.997-16,188.252
Netto Overnames 7,2671444,330-210-2,2012,801.609-242.205-2,470.8470.5-293.205-62.667323.108-2,308.635-3,632.849-529.33-3,265.466-19.8928.355-58.298-1,997.0961,947.624
Aankoop van Beleggingen -12,328-14,328-7,262-14,924-4,802-3,842.658-1,759.98-2,529.625-180-2,309.6090-2,754.345-791.505-1,575.923-816.763-7,927.76-11,292.667-11,488.856-11,439.886-22,313-11,472.413
Verkoop/verval van Beleggingen 6,74410,83414,1059,3324,2734,395.2213,202.8781,840.8993,239.3782,233.96803,399.5841,215.4332,534.5472,330.9963,352.8687,457.87512,121.0477,506.94721,864.7959,207.875
Overige Investeringsactiviteiten 228112456-1261,778-3,467.162319.3962,446.908-71.994-342.592-2,203.999147.5672,366.9822,510.175-408.9033,289.978223.766-17.901131.412-721.949-226.647
Kasstroom uit Investeringsactiviteiten -9,209-15,5224,894-16,109-9,442-23,424.643-3,862.184-4,337.536-549.613-3,697.202-3,383.999-2,107.545-2,910.13-5,910.297-5,687.449-11,443.366-11,695.73-19,867.433-16,694.712-13,346.247-16,731.813
Financieringsactiviteiten:
Schuldaflossingen -29,385-20,364-26,196-10,190-18,276-13,377.966-10,865.906-4,315.44-12,881.775-17,645.728-6,038-26,626.525-48,769.758-56,144.292-86,220.585-112,595.861-102,669.58-77,491.657-68,626.212-48,507.338-30,319.093
Uitgifte van Gewone Aandelen 76409,687018,0560114.259137.28110.59528.854017,343.04532,000.034075,934.566120,316.605598.91389,594.0466,607.47258,956.78635,544.267
Terugkoop van Gewone Aandelen -4-1-10-1-26,938.006-1.496-2.119-2.025-580-567.171-667.0540-1.11-3,704.809-4,542.732-2,889.072-6.288-4.944-1,377.163
Uitgekeerde Dividenden -4,427-2,508-1,535-1,563-1,220-1,126.031-939.366-873.174-872.182-687.208-1,076-658.686-638.572-636.871-647.043-977.958-712.463-744.28-704.771-815.284-745.527
Overige Financieringsactiviteiten 27,60516,96217424,456-1029,270.616290.0996,129.5216,230.7879,414.2863,194.001-5.91-29.2155,500.362-53.401-0.002105,024.6434.999880.73853.498-0.002
Kasstroom uit Financieringsactiviteiten -5,447-5,911-17,87112,703-1,45114,766.619-4,462.9081,076.691-7,414.694-8,891.821-4,499.999-10,515.247-18,104.56-1,280.801-10,987.5733,037.975-2,301.2198,474.03-1,849.0619,682.7183,102.482
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 204123496-89-119-103.5949.352-167.014-16.717127.652269.333123.123-103.249-66.266-88.524-1.399-131.4830.00100.0010.001
Netto Kasstroomverandering -301-7,7903,42611,2921,5712,430.5251,028.7396,102.449-447.3681,793.301841.333418.64-8,765.1395,357.36-8,778.0793,798.0583,288.495-1,612.7371,784.8816,854.186-3,455.59
Kaspositie aan het Einde van de Periode 32,78633,08640,87637,45026,15824,587.79122,819.44621,790.70715,688.25816,135.626841.33313,698.12713,279.48722,044.62616,687.26625,465.34521,667.28718,378.79219,991.52918,206.64811,352.462