Gourmet Kineya Co.,Ltd.

TSE:9850.T

1039 (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 11,776.11612,583.38812,425.7966,773.7438,414.5846,047.1496,945.2137,248.4698,166.0647,977.9847,089.6956,098.0784,142.7894,205.654,283.0355,287.3344,721.695
Kortetermijnbeleggingen 511.36481430435440846910.917890.335940.656934907-121.38-134.02200-165.844-445.382
Liquide middelen en kortetermijnbeleggingen 12,287.47612,583.38812,425.7966,773.7438,414.5846,047.1496,945.2137,248.4698,166.0647,977.9847,089.6956,098.0784,142.7894,205.654,283.0355,287.3344,721.695
Nettovorderingen 2,513.3572,279.7862,602.4222,944.7841,478.4992,350.9012,357.3571,286.3331,194.991,190.1011,293.851,450.8611,251.4251,094.3651,205.81,141.771,308.27
Voorraad 663.709775.42714.422571.798666.373737.293592.77537.901359.973317.778353.655326.005314.732322.963302.159321.568245.969
Overige vlottende activa 183.619162.164147.75146.162445.197370.551527.291657.351632.316395.033302.749249.907265.021276.998815.635783.388858.398
Totaal vlottende activa 15,648.16115,800.75815,890.3910,436.48711,004.6539,505.89410,422.6319,730.05410,353.3439,880.8969,039.9498,124.8515,973.9675,899.9766,606.6297,534.067,134.332
Niet-vlottende activa:
Materiële vaste activa, netto 16,029.14416,828.04116,944.84717,839.81817,952.59617,844.39714,796.45615,315.67815,524.06915,204.38614,672.03814,794.26915,100.79115,791.71616,201.20418,079.56417,026.534
Goodwill 197.3262.738328.177393.61687.791244.072153.86900022.7835.92718.35130.77643.21,297.981,399.544
Immateriële activa 132.71560.414204.45191.884113.82357.52245.27450.35253.38780.49198.897144.387174.847227.976284.893105.22391.552
Goodwill en immateriële activa 330.015323.152532.628485.5201.614301.594199.14350.35253.38780.491121.68150.314193.198258.752328.0931,403.2031,491.096
Langetermijnbeleggingen 1,081.0045,7286,5497,3867,3787,6991,326.8791,204.3891,077.0627,8828,1051,256.7332,489.825003,733.774,379.61
Belastingvorderingen 163.68232.079192.096122.3841.38269.4010.616-1,204.389-1,077.062-7,882-8,10514.6827.7300174.65912.882
Overige niet-vlottende activa 4,438.126116.5164.14853.01853.32361.1546,087.6837,375.017,530.1087,976.6218,217.4056,772.997,300.65611,125.19412,901.65610,994.21111,075.306
Totaal niet-vlottende activa 22,041.97123,027.78224,282.71925,886.71625,626.91525,975.54622,410.77722,741.0423,107.56423,261.49823,011.12322,988.98625,112.227,175.66229,430.95334,385.39834,885.428
Totaal activa 37,690.13238,828.54340,173.11336,323.20536,631.5735,481.44232,833.40832,471.09433,460.90733,142.39432,051.07231,113.83731,086.16733,075.63836,037.58241,919.45842,019.76
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,227.8191,137.694748.645712.892747.3311,146.3391,299.6191,504.2481,546.1511,324.811,279.0181,302.8971,384.8231,168.061,551.6951,751.4621,801.597
Kortlopende schulden 3,512.2963,872.6024,097.4444,924.513,971.6843,217.9753,133.4083,409.1773,658.463,108.0732,365.0072,559.2114,103.5336,406.7083,539.7473,307.623,365.373
Belastingschulden 182.526411.543654.441104.997362.609269.752393.878403.438543.614705.818255.238287.852337.226256.481339.353130.758235.603
Uitgestelde opbrengsten 182.5262,407.7152,470.4761,837.9832,454.9442,722.9762,597.1892,326.1012,368.5142,422.0811,907.7821,884.0661,927.5141,811.1352,400.6382,331.6342,640.331
Overige kortlopende verplichtingen 3,294.49391.374304.39289.95257.521249.1228.827176.192192.901174.397215.839244.748241.31341.495157.336154.835152.702
Totaal kortlopende verplichtingen 8,217.1317,809.3857,620.9557,765.3357,431.487,336.397,259.0437,415.7187,766.0267,029.3615,767.6465,990.9227,657.189,727.3987,649.4167,545.5517,960.003
Langlopende verplichtingen:
Langetermijnschulden 17,045.8519,522.99919,388.20515,446.71611,624.3638,847.0966,687.2117,029.3677,820.6458,144.3778,658.0317,198.1927,702.7477,570.00310,814.53311,314.1568,393.931
Uitgestelde opbrengsten niet-vlottend 01,414.6971,702.0791,769.361,250.2861,404.421,311.2431,303.8571,366.6521,406.561,403.4531,553.0551,543.3681,515.582484.989926.03955.797
Uitgestelde belastingverplichtingen niet-vlottend 1,222.6281,464.1351,570.6031,557.6381,426.821,393.2231,516.4421,461.9161,459.7731,545.1951,559.4881,457.6251,457.6251,702.571,737.281,698.6921,632.185
Overige niet-vlottende verplichtingen 2,306.337778.351810.208842.697804.339799.921578.469576.297561.29572.239579.965637.451715.18685.682471.363422.934371.97
Totaal niet-vlottende verplichtingen 20,574.81523,180.18223,471.09519,616.41115,105.80812,444.6610,093.36510,371.43711,208.3611,668.37112,200.93710,846.32311,418.9211,473.83713,508.16514,361.81211,353.883
Totaal passiva 28,791.94630,989.56731,092.0527,381.74622,537.28819,781.0517,352.40817,787.15518,974.38618,697.73217,968.58316,837.24519,076.121,201.23521,157.58121,907.36319,313.886
Eigen vermogen:
Preferente aandelen 00000000000000000
Gewone aandelen 1001005,838.2365,838.2365,838.2365,838.2365,838.2365,838.2365,838.2365,838.2365,838.2365,838.2365,838.2365,838.2365,838.2365,838.2365,838.236
Ingehouden winsten 182.233-5,103.525-3,952.55-4,466.484658.7462,029.6242,037.6621,532.9741,378.0731,278.475959.2751,366.778-717.966-864.5072,148.9467,037.9219,712.666
Overige gereserveerde algehele resultaten 154.494188.528172.343275.002209.99326.768396.587293.127193.82831242623800000
Overige totale aandeelhoudersvermogen 8,309.82312,499.3456,761.1096,758.7576,813.696,802.3346,805.7646,749.9136,748.8346,755.7916,596.0236,598.3976,657.536,641.8586,653.1886,632.7296,684.404
Totaal eigen vermogen van aandeelhouders 8,746.557,684.3488,819.1388,405.51113,520.66214,996.96215,078.24914,414.2514,158.97114,184.50213,819.53414,041.41111,777.811,615.58714,640.3719,508.88622,235.306
Totaal eigen vermogen 8,898.1827,838.9769,081.0638,941.45914,094.28215,700.39215,480.99914,683.93914,486.52114,444.66214,082.48914,276.59212,010.06711,874.40314,880.00120,012.09522,705.874
Totaal passiva en aandeelhoudersvermogen 37,690.12838,828.54340,173.11336,323.20536,631.5735,481.44232,833.40732,471.09433,460.90733,142.39432,051.07231,113.83731,086.16733,075.63836,037.58241,919.45842,019.76