Genki Sushi Co., Ltd.

TSE:9828.T

4235 (JPY) • At close November 8, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 10,547.4717,688.476,995.7035,261.7053,465.2714,436.8954,875.033,477.3163,975.1794,180.2993,682.4093,619.0243,050.0632,107.0392,183.6152,841.4613,228.555
Kortetermijnbeleggingen 0-5,466.76-5,435.44-5,097.39-4,708.8-4,557.17-349.927-3,643.548-3,198.982-3,381.278-3,198.364-3,382.72900000
Liquide middelen en kortetermijnbeleggingen 10,547.4717,688.476,995.7035,261.7053,465.2714,436.8954,875.033,477.3163,975.1794,180.2993,682.4093,619.0243,050.0632,107.0392,183.6152,841.4613,228.555
Nettovorderingen 2,505.8251,810.0381,148.093922.55601.895741.442960.256889.491661.622547.972632.254523.403402.986422.379406.297204.096229.593
Voorraad 666.106863.823525.406505.535547.482430.384458.523538.43321.575345.686311.653277.421295.845279.344263.302268.879225.197
Overige vlottende activa 556.237701.538639.173674.995441.867444.312392.84400.66352.504369.128272.71265.641268.867777.336849.288916.4971,005.477
Totaal vlottende activa 14,275.63911,063.8699,308.3757,364.7855,056.5156,053.0336,686.6495,305.8975,310.885,443.0854,899.0264,685.4894,017.7613,586.0983,702.5024,230.9334,688.822
Niet-vlottende activa:
Materiële vaste activa, netto 11,436.46312,230.27910,207.4929,666.9229,259.4049,559.6339,278.8399,698.3788,051.8536,532.4085,033.7964,187.7443,764.3393,202.3482,995.3493,804.823,699.88
Goodwill 0000000255.092000000000
Immateriële activa 335.685547.101559.709512.59448.488284.89225.909232.87219.21214.136234.244165.351171.666190.022221.324182.843217.338
Goodwill en immateriële activa 335.685547.101559.709512.59448.488284.89225.909487.962219.21214.136234.244165.351171.666190.022221.324182.843217.338
Langetermijnbeleggingen 250.1465,5005,4685,1304,7414,590384.0173,677.9983,232.2023,439.0643,248.743,426.04740.71141.1842.46642.31847.527
Belastingvorderingen 1,547.1821,419.1791,366.0021,268.33976.2671,454.718598.538484.738430.949506.327237.414174.129122.016103.067102.5021,138.116885.515
Overige niet-vlottende activa 5,075.7830.0090.548-0.154-0.0690.013,927.931486.784173.555-217.993-201.763-490.1072,950.7952,927.9153,196.6333,375.1043,505.421
Totaal niet-vlottende activa 18,645.25919,696.56817,601.75116,577.68815,425.0915,889.25114,415.23414,835.8612,107.76910,473.9428,552.4317,463.1647,049.5276,464.5326,558.2748,543.2018,355.681
Totaal activa 32,920.89830,760.4426,910.12723,942.47620,481.60621,942.28721,101.88520,141.76117,418.65115,917.0313,451.45812,148.65611,067.28810,050.6310,260.77612,774.13413,044.503
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 2,367.122,696.0921,876.8231,607.741,359.1141,700.9771,640.8661,583.8831,230.8421,181.2231,031.9681,015.706922.434703.083883.16840.149981.552
Kortlopende schulden 2,483.4162,584.9542,098.4312,507.8771,798.0492,085.4162,243.2392,320.3451,999.5851,914.9271,682.4391,566.7691,511.2221,700.0271,200.71,159.6161,197.156
Belastingschulden 1,049.528835853360.529852627234312592138.381935155105107.697
Uitgestelde opbrengsten 1,049.52,348.9952,131.8791,602.9161,761.4671,862.54001,444.2751,123.8691,139.3771,175.511969.694708.724954.641,043.6121,184.505
Overige kortlopende verplichtingen 4,757.7252,221.4151,636.7931,531.391,403.6511,199.7442,994.5192,639.793801.002740.802590.127503.518428.671463.991581.207468.573497.752
Totaal kortlopende verplichtingen 10,657.7619,851.4567,743.9267,249.9236,322.2816,848.6776,878.6246,544.0215,475.7044,960.8214,443.9114,261.5043,832.0213,575.8253,619.7073,511.953,860.965
Langlopende verplichtingen:
Langetermijnschulden 2,011.8469,792.6639,056.317,857.0814,840.875,776.0296,676.9446,389.7775,033.7454,715.7623,877.1093,461.9713,245.032,751.6592,207.7192,355.4122,359.172
Uitgestelde opbrengsten niet-vlottend 5,623.981-93.93-84.999-414.947-210.927-51.909-33.41000403.438335.614315.252316.594000
Uitgestelde belastingverplichtingen niet-vlottend 146.15293.9384.999414.947210.92751.90933.4100046.61229.0613.53313.2260.02703.05
Overige niet-vlottende verplichtingen 944.278816.114807.644739.08743.725754.106716.473762.631764.655787.416450.542493.096542.028613.244689.851883.197333.384
Totaal niet-vlottende verplichtingen 8,726.25710,608.7779,863.9548,596.1615,584.5956,530.1357,393.4177,152.4085,798.45,503.1784,777.7014,319.7414,115.8433,694.7232,897.5973,238.6092,695.606
Totaal passiva 19,384.01820,460.23317,607.8815,846.08411,906.87613,378.81214,272.04113,696.42911,274.10410,463.9999,221.6128,581.2457,947.8647,270.5486,517.3046,750.5596,556.571
Eigen vermogen:
Preferente aandelen 000102.944111.97296.158121.32892.81986.198339912700000
Gewone aandelen 1001001001001,151.5281,151.5281,151.5281,151.5281,151.5281,151.5281,151.5281,151.5281,151.5281,151.5281,151.5281,151.5281,151.528
Ingehouden winsten 10,745.047,747.6616,866.8435,780.0976,267.3026,239.8394,530.074,115.7063,808.0273,063.661,905.2651,270.438857.556518.5421,450.2143,707.2934,158.016
Overige gereserveerde algehele resultaten 370.73134.59216.32-102.944-111.972-96.158-121.328-92.819-86.198-33-99-12700000
Overige totale aandeelhoudersvermogen 2,321.1072,317.9542,319.0842,216.2951,155.91,172.1081,148.2461,178.0981,184.9921,237.8431,173.0531,145.4451,110.341,110.0121,141.731,164.7541,178.388
Totaal eigen vermogen van aandeelhouders 13,536.87710,300.2079,302.2478,096.3928,574.738,563.4756,829.8446,445.3326,144.5475,453.0314,229.8463,567.4113,119.4242,780.0823,743.4726,023.5756,487.932
Totaal eigen vermogen 13,536.87710,300.2079,302.2478,096.3928,574.738,563.4756,829.8446,445.3326,144.5475,453.0314,229.8463,567.4113,119.4242,780.0823,743.4726,023.5756,487.932
Totaal passiva en aandeelhoudersvermogen 32,920.89530,760.4426,910.12723,942.47620,481.60621,942.28721,101.88520,141.76117,418.65115,917.0313,451.45812,148.65611,067.28810,050.6310,260.77612,774.13413,044.503