SoftBank Group Corp.

TSE:9984.T

9368 (JPY) • At close November 8, 2024
Overview | Financials

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996
Operationele Activiteiten:
Nettowinst -250,495-789,801-1,462,1995,078,236-800,7601,454,6181,237,8121,474,430558,241763,682586,149650,494632,256480,61296,716107,338108,62528,81557,551-59,872-107,094-99,989-88,75516,24648,04240,93710,8029,092
Afschrijvingen & Amortisatie 858,620893,488852,424851,3162,051,4721,694,1871,585,8731,472,6691,401,3291,122,531899,904404,809338,431287,625305,014297,124279,305189,09280,41866,41732,86520,90411,7508,07232,66029,47729,47718,564
Uitgestelde Inkomstenbelasting 0000000000000000000000000000
Aandelen Gebaseerde Vergoedingen 0000000004,1377720000000000000000
Verandering in Werkkapitaal 450,818-1,013,7352,059,235-78,963-528,691-552,114-1,371,211-619,240-456,371-57,548261,5385,312-8,035201,13158,599-27,531-316,704-134,306-15,641-84,294-100,50811,749-37,475-42,00235,030-44,478-9,3424,336
Vorderingen -476,511-517,155-406,313-288,416-242,697-189,651-170,067-275,771-50,740-85,357-106,055-58,4440000000000000000
Voorraden 5,436-18,929-11,6236,276-374,722-470,686-521,000-268,312-404,93300000000000000002,736474-11,040
Crediteuren 325,731439,566295,202199,06488,728108,223173,03815,871-6980000000000000000000
Overig Werkkapitaal 596,162-917,2172,181,9694,113155,28044,660-850,211-350,928-51,438-84,815-163,609-35,0070000000000000-47,214-9,81615,376
Overige Niet-Contante Posten 1,282,6061,651,3401,275,990-5,293,339395,858-1,424,827-363,851-827,131-563,013-673,491-887,346-166,156-222,425-143,531207,72170,92687,032227,601-64,52231,76090,908-1,26535,356-73,915-115,383-54,604-11,68911,430
Kasstroom uit Operationele Activiteiten 478,965741,2922,725,450557,2501,117,8791,171,8641,088,6231,500,728940,1861,155,174860,245894,459740,227825,837668,050447,857158,258311,20257,806-45,989-83,829-68,601-79,124-91,599349-28,66819,24843,422
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -622,612-633,765-835,073-646,888-1,232,551-1,364,954-1,064,835-923,502-1,360,960-1,397,856-1,371,400-548,602-455,023-208,553-223,819-240,637-345,6770-189,490-90,943-61,472-64,501-30,272-16,242-11,638-10,935-7,110-6,272
Netto Overnames -293,3706,998143,969298,967-385,75325,88261,965-2,530,560-124,740-47,862-1,663,539-18,66900-20,88101,962-1,844,93064,533-129,37027,52056,35610,554-29693,1146,934-5,0096,272
Aankoop van Beleggingen -1,161,627-851,066-5,476,992-5,598,120-3,170,584-3,152,582-4,504,681-1,831,597-502,103-569,421-1,871,861-368,511-4,007-48,650-56,686-31,869-45,577-114,022-88,480-29,582-38,945-33,414-84,230-233,131-299,092-110,009-36,879-71,482
Verkoop/verval van Beleggingen 1,219,6421,546,5833,256,9784,959,450500,8661,818,286921,4571,005,277248,005414,549570,89325,79954,662019,040044,176168,354178,02257,099151,137171,350157,985104,224159,90673,49222,05222,544
Overige Investeringsactiviteiten -95,503478,828-107,536-482,0081,101-234,648101,27266,78588,116-66,681-45,820-9,78628,713-7,2445,1846,21122,655-307,33963,267-50,1483,638-10,041-14,286102,833-2,631321,523-17,347-274,879
Kasstroom uit Investeringsactiviteiten -953,470547,578-3,018,654-1,468,599-4,286,921-2,908,016-4,484,822-4,213,597-1,651,682-1,667,271-2,718,188-919,769-375,655-264,447-277,162-266,295-322,461-2,097,93727,852-242,94481,878119,75039,751-42,612-60,341281,005-44,293-323,817
Financieringsactiviteiten:
Schuldaflossingen -23,456-6,294,991-8,797,688-5,790,901-2,955,199-7,193,790-6,003,188-2,283,067-1,604,768-984,783-1,971,594-394,308-1,083,133-564,673-802,691-481,230-417,346-317,735-211,760-228,961-107,865-79,982-217,755-188,707-66,739-370,604-26,0550
Uitgifte van Gewone Aandelen 867,5658,547,86611,067,2738,917,87106,126,4758,476,2325,110,1472,210,3210003221,7253,6321,65453,974301,1642,65830,48752,3364,84311,04061,778150,90445,860081,906
Terugkoop van Gewone Aandelen -277,768-1,055,436-602,361-2,226,229-231,980-384,102-41-369,457-269,214000-22,706360,893-3,070-71,166668,1021,659,529244,342377,746344,61367,980213,424148,906137,078193,63200
Uitgekeerde Dividenden -64,356-70,241-75,847-86,760-68,659-534,306-234,979-46,273-47,219-47,519-47,600-65,843-5,420-5,387-7,297-2,680-6,191-5,784-4,899-2,457-2,317-2,354-2,347-2,201-2,096-4,088-1,574-520
Overige Financieringsactiviteiten -1,016,201-935,681-989,1611,380,096266,3033,701,6262,201,336-30,604-245,8502,752,2254,378,569825,645914,270-190,286649,863343,074-13,81281,211-263100,95619,623-8,103-3,0484,7721,768-70,36249,220261,892
Kasstroom uit Financieringsactiviteiten -725,447191,517602,2162,194,0772,920,8632,202,2914,626,4212,380,74643,2701,719,9232,359,375365,494-196,667-397,728-159,563-210,348284,7271,718,38530,078277,771306,390-17,6161,31424,548220,915-205,56221,591343,278
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 491,868275,765197,26412,230-34257,729-78,674-54,382-20,82087,33723,0017,927165-4,203-606-2,383-7,0073,07310,9061,473-13,459-5,7283,57933,462-3087,2132,747-46,207
Netto Kasstroomverandering -738,2791,756,152506,2761,293,710-489,503523,8681,151,548-386,505-689,0461,295,163524,433350,071167,403159,474230,038-32,622112,746-69,173126,499-116,938289,60727,671-39,250-108,955162,17453,988-70716,676
Kaspositie aan het Einde van de Periode 6,186,8746,925,1535,169,0014,662,7253,369,0153,858,5183,334,6502,183,1022,569,6073,258,6531,963,4901,364,6291,014,558847,155687,682457,644490,267377,521446,694320,195437,133147,526119,855159,105268,060105,88634,54235,249