Benesse Holdings, Inc.

TSE:9783.T

2592 (JPY) • At close May 16, 2024
Overzicht | Financiële gegevens

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

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Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 128,023115,674125,786151,012152,507109,681134,206113,54291,892104,54179,72672,46472,64793,98248,87742,78450,41440,29335,84346,612
Kortetermijnbeleggingen 020,49718,9955,9512,90434,46623,59930,30144,50124,31351,27957,49149,12832,05331,63143,51738,29644,36643,46554,367
Liquide middelen en kortetermijnbeleggingen 128,023136,171144,781156,963155,411144,147157,805143,843136,393128,854131,005129,955121,775126,03580,50886,30188,71084,65979,308100,979
Nettovorderingen 84,14483,53783,63286,29178,97678,55975,75774,06576,05279,18485,47182,80379,53774,31071,48068,47665,06456,84844,49724,405
Voorraad 35,04734,54134,69831,53330,08330,94729,70325,09823,52331,20538,00426,82322,63220,28219,01019,57717,04315,55115,14613,052
Overige vlottende activa 11,03611,37711,54710,9078,88410,6576,9077,7817,63412,0358,2999,0826,07012,9178,6895,4965,08216,50811,93319,714
Totaal vlottende activa 258,250265,626274,658285,694273,354264,310270,172250,787243,602251,278262,779248,663230,014233,544179,687179,850175,899173,566150,884158,150
Niet-vlottende activa:
Materiële vaste activa, netto 165,895163,099156,807157,016150,388147,352139,395136,231129,743121,996107,44097,76591,10575,12275,99474,60972,60671,81271,14669,800
Goodwill 9,79411,19212,12110,1778,62912,70310,65713,61116,15018,52619,32520,23323,45215,62018,53713,15744,84841,83643,73333,908
Immateriële activa 026,36027,46128,01327,20526,46326,04930,30735,17739,82938,70634,73731,87727,91423,96216,73714,21711,9319,7708,941
Goodwill en immateriële activa 9,79437,55239,58238,19035,83439,16636,70643,91851,32758,35558,03154,97055,32943,53442,49929,89459,06553,76753,50342,849
Langetermijnbeleggingen 17,43360,01156,28352,56950,15345,522-9,465-15,985-30,695-10,542-33,239-38,419-32,631-15,297-6,530-14,143-5,239-15,798-8,255-35,798
Belastingvorderingen 11,94312,48610,2505,1734,1064,4041,6421,5962,52210,0739,9697,3476,8486,0993,2604,3912,3331,2355272,186
Overige niet-vlottende activa 65,0762,7833,0143,3363,5883,92558,15465,35378,42459,79282,61189,92981,41562,11761,24368,52761,92064,51662,42470,480
Totaal niet-vlottende activa 270,141275,931265,936256,284244,069240,369226,432231,113231,321239,674224,812211,592202,066171,575176,466163,278190,685175,532179,345149,517
Totaal activa 528,391541,560540,598541,982517,425504,682496,607481,904474,926490,954487,594460,259432,080405,119356,153343,128366,584349,098330,229307,667
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 16,02116,06516,24114,07915,80215,74817,03316,70712,69519,93718,03714,72140,20137,42836,50837,05335,07021,44918,82718,704
Kortlopende schulden 645,0605,06724113,94219,1865,0000925,0336,2502505295111,5691,9091,8701,3421,7142,250
Belastingschulden 2,6671,9892,2822,3586,0173,0755,7545,2805,0533,4306,2789,0486,64714,3234,86411,4587,6679,2325,7788,438
Uitgestelde opbrengsten 2,667135,801145,837145,400135,765127,92200119,095129,648137,724132,021101,60799,91090,39598,03792,27099,14792,94184,782
Overige kortlopende verplichtingen 142,49611,75113,03216,15812,02311,379139,553130,95713,88212,67810,93210,29910,66411,44010,91710,82611,0668,5867,6246,204
Totaal kortlopende verplichtingen 161,248168,677180,177175,878177,532174,235161,586147,664145,681187,296172,943157,291153,001149,289139,389147,825140,276130,524121,106111,940
Langlopende verplichtingen:
Langetermijnschulden 10,155135,345131,417133,866106,58099,066103,976103,69292,08948,88652,93350,64343,63025,0092192695367402,9033,473
Uitgestelde opbrengsten niet-vlottend 111,71360,59857,7278,1557,9147,832-82,4117,2977,4057,4196,8733,6953,3544,4154,2404,3214,1613,8383,7103,592
Uitgestelde belastingverplichtingen niet-vlottend 6166705966816401,2614685603,6264,2512,9212,5802,41161166830123553574318
Overige niet-vlottende verplichtingen 78,97515,01914,52048,36649,42147,191137,86847,52546,86045,21036,81538,57335,49533,00228,46821,91519,24616,14115,32513,408
Totaal niet-vlottende verplichtingen 201,459211,632204,260191,068164,555155,350159,901159,074149,980105,76699,54295,49184,89063,03733,59526,80623,96621,27222,51220,791
Totaal passiva 362,707380,309384,437366,946342,087329,585321,487306,738295,661293,062272,485252,782237,891212,326172,984174,631164,242151,796143,618132,731
Eigen vermogen:
Preferente aandelen 0152,354146,231173,443175,061174,01900000000000000
Gewone aandelen 13,85713,81713,78013,73913,70013,66113,62313,60013,60013,60013,60013,60013,60013,60013,60013,60013,60013,60013,60013,600
Ingehouden winsten 132,113131,471125,422151,434153,130152,164154,245150,991156,571173,920193,679182,935176,863177,342165,372152,239170,337164,004154,155145,535
Overige gereserveerde algehele resultaten 5,4351,9763,139-3,564-5,919-4,53800000000000000
Overige totale aandeelhoudersvermogen 7,101-145,288-139,202-165,173-166,830-165,8253,3943,7932,6794,9001,9395,271-1,817-3,214-1,470-2,40114,89119,43718,53715,576
Totaal eigen vermogen van aandeelhouders 158,506154,330149,370169,879169,142169,481171,262168,384172,850192,420209,218201,806188,646187,728177,502163,438198,828197,041186,292174,711
Totaal eigen vermogen 165,678161,251156,161175,036175,338175,097175,120175,166179,265197,892215,109207,477194,189192,793183,169168,497202,342197,302186,611174,936
Totaal passiva en aandeelhoudersvermogen 528,391541,560540,598541,982517,425504,682496,607481,904474,926490,954487,594460,259432,080405,119356,153343,128366,584349,098330,229307,667