Ohba Co., Ltd.

TSE:9765.T

1020 (JPY) • At close November 13, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 3,115.9824,205.3051,955.8313,002.0392,336.5572,007.4111,610.2911,101.132771.055863.9311,443.3781,447697.554735.732886.588605.7041,557.374
Kortetermijnbeleggingen 0-1,863.979-1,293.777-1,085.978-324.19-320.90-1.462-5.571-128.334-19.691-167.105-159.386-251.887000
Liquide middelen en kortetermijnbeleggingen 3,115.9824,205.3051,955.8313,002.0392,336.5572,007.4111,610.2911,101.132771.055863.9311,443.3781,447697.554735.732886.588605.7041,557.374
Nettovorderingen 6,153.04504,833.3862,763.4652,878.4662,822.0893,116.7752,212.4723,883.873,004.5812,531.56602,325.9432,302.641,716.98300
Voorraad 525.964508.933258.0581,008.22,132.4871,952.4042,059.0211,496.8181,613.6511,494.4631,847.1841,878.31,756.891,639.6131,970.7822,031.092,126.1
Overige vlottende activa 177.78125.636575.525119.836177.023145.939132.0892,202.755198.98168.97576.3681,975.552107.13197.543158.4831,824.6751,854.124
Totaal vlottende activa 9,972.7719,642.7277,622.86,893.547,524.5336,927.8436,918.1767,013.1778,405.2987,450.8177,889.848,482.6226,873.4386,645.5356,611.946,091.5357,231.857
Niet-vlottende activa:
Materiële vaste activa, netto 3,204.2063,311.6494,265.7664,367.9463,925.0133,912.7822,782.6272,721.1552,808.7292,655.4092,577.0832,266.8662,093.612,161.3982,161.6352,144.3532,235.064
Goodwill 00000000000000000
Immateriële activa 97.24881.66113.443138.942141.48841.50351.82636.59342.1652.06567.99172.41494.34584.52148.79660.53889.094
Goodwill en immateriële activa 97.24881.66113.443138.942141.48841.50351.82636.59342.1652.06567.99172.41494.34584.52148.79660.53889.094
Langetermijnbeleggingen 1,632.1863,0722,4142,2601,3791,4491,153.7051,019.4321,097.4861,191.851,120.4481,037.5051,021.6781,157.696000
Belastingvorderingen 17.1179.47210.77114.7848.79-20.297108.523103.186134.9395.2045.7185.4875.71711.693000
Overige niet-vlottende activa 3,043.425-0.2480.064-0.4480.00920.825337.954191.072214.308194.956238.71778.47690.23796.2451,023.1531,416.9751,579.377
Totaal niet-vlottende activa 7,994.1826,474.5336,804.0446,781.2245,454.35,403.8134,434.6354,071.4384,297.6224,099.4844,009.9573,460.7483,305.5873,511.5533,233.5843,621.8663,903.535
Totaal activa 17,966.95316,117.26414,426.84813,674.76912,978.83512,331.65811,352.81111,084.61512,702.9211,550.30111,899.79711,943.3710,179.02510,157.0889,845.5249,713.40111,135.392
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,109.6871,257.3931,026.721869.267944.352862.376816.185773.045924.86721.053952.788696.921438.219443.867514.877438.776488.174
Kortlopende schulden 0006060194.203348.849630.5582,374.2791,244.331,589.1252,232.7612,692.2322,570.522,414.362,195.7171,452.134
Belastingschulden 396.28892.537330.154462.354138.128293.41884.11245.249171.781262.90760.44267.21554.96951.34453.29150.55642.212
Uitgestelde opbrengsten 1,228.3231,428.1871,116.4041,973.4811,773.3721,707.57384.111,499.9281,677.131,269.0751,334.5051,252.102437.793325.209399.026626.578944.738
Overige kortlopende verplichtingen 1,287.6491,493.6291,016.0622,280.6492,657.67801.767765.663739.3862,088.771,684.132538.3661,478.54719.757606.118611.61918.821,588.679
Totaal kortlopende verplichtingen 4,021.9474,271.7463,489.3413,672.273,800.153,348.2033,523.1693,429.0095,559.693,912.4224,318.5994,475.4373,905.1773,671.8493,594.1383,603.8693,571.199
Langlopende verplichtingen:
Langetermijnschulden 000060120312.47672.035559.4331,198.0361,679.0032,057.3261,641.0011,814.3331,760.7941,663.9322,323.123
Uitgestelde opbrengsten niet-vlottend 0000555.738762.178526.895523.528525.22897.221928.184716.266642.304573.625449.928354.189331.34
Uitgestelde belastingverplichtingen niet-vlottend 1,011.311596.556435.804430.635266.585197.76835.6158.6723.399220.857239.533208.452127.28145.407143.416153.307143.416
Overige niet-vlottende verplichtingen 309.322318.157271.9271.88410.29610.9514.3223.6884.74519.208882.634665.809582.5325.7636.39645.22559.412
Totaal niet-vlottende verplichtingen 1,320.633914.713707.704702.519892.6191,090.897879.3021,207.9231,092.8051,535.3222,850.252,987.0812,415.6242,539.1282,360.5342,216.6532,857.291
Totaal passiva 5,342.585,186.4594,197.0454,374.7894,692.7694,439.14,402.4714,636.9326,652.4955,447.7447,168.8497,462.5186,320.8016,210.9775,954.6725,820.5226,428.49
Eigen vermogen:
Preferente aandelen 00000000000000000
Gewone aandelen 2,131.7332,131.7332,131.7332,131.7332,131.7332,131.7332,131.7332,131.7332,131.7332,131.7332,131.7332,131.7332,131.7332,131.7332,131.7332,131.7332,131.733
Ingehouden winsten 8,638.6077,940.9537,448.9956,475.4545,853.0755,348.5043,947.2453,415.7632,927.7212,398.1011,564.7921,141.887963.973980.8071,013.471962.9991,725.577
Overige gereserveerde algehele resultaten 1,962.0791,071.593914.267860.362286.67191.719174.63759.77356.5975552520200000
Overige totale aandeelhoudersvermogen -108.049-213.474-265.192-167.56914.588220.602696.725900.187934.3741,016.4041,005.8691,001.118758.981830.164742.336795.143846.765
Totaal eigen vermogen van aandeelhouders 12,624.3710,930.80510,229.8039,299.988,286.0667,892.5586,950.346,447.6836,050.4256,102.5574,727.5084,477.2643,854.6873,942.7043,887.543,889.8754,704.075
Totaal eigen vermogen 12,624.3710,930.80510,229.8039,299.988,286.0667,892.5586,950.346,447.6836,050.4256,102.5574,730.9484,480.8523,858.2243,946.1113,890.8523,892.8794,706.902
Totaal passiva en aandeelhoudersvermogen 17,966.9516,117.26414,426.84813,674.76912,978.83512,331.65811,352.81111,084.61512,702.9211,550.30111,899.79711,943.3710,179.02510,157.0889,845.5249,713.40111,135.392