Hokuriku Gas Co.,Ltd.

TSE
9537
Terfi
Altı ay boyunca karlılık: +0.4261%
Temettü getirisi: 4.62%
Sektör: Utilities

Raporlama Hokuriku Gas Co.,Ltd.

Büyük harf kullanımı

2018 2019 2020 2021 2022 2023 2024 2025 LTM 5 yıllık ortalama CAGR 5
Büyük harf kullanımı, milyar ¥
14.62
Gelir, milyar ¥
45.7 51.28 51.55 48.33 52.36 10 088.26 8 896.1 8 948.34 8 896.1 5606.68 184.12
Net kar, milyar ¥
2.03 1.15 1.15 1.61 0.9538 60.87 -254.93 282.91 -254.93 18.28 181.17
Ev, milyar ¥
8.86 9.63 7.05 1 064.64 1 469.04 1 066.05 1 469.04 723.28 156.35
Fit, milyar ¥
2.94 1.57 1.58 2.24 1.52 99.75 -116.15 334.41 -116.15 64.35 172.15
FAVÖK, milyar ¥
8.46 7.77 7.7 8.7 7.79 994.21 740.46 1 169.58 740.46 584.15 166.50
Oibda ¥
8.19 9.5 7.91 974.48 858.64 1 090.96 858.64 588.30 158.24
Denge değeri, milyar ¥
44.38 44.83 45.23 47.11 47.51 6 939.69 6 728.28 7 074.52 6 728.28 4167.42 172.47
FCF, milyar ¥
2.08 2.81 3.08 3.25 2.82 90.52 -36.6 527.07 -36.6 117.41 176.69
Opera.mnoe akışı, milyar ¥
6.88 7.61 8.65 7.83 7.96 802.23 687.53 1 124.37 687.53 525.98 170.04
Faaliyet karı, milyar ¥
2.9 1.52 1.54 2.24 1.08 41.14 -136.75 204.29 -136.75 22.40 146.60
Opera. masraflar, milyar ¥
42.79 49.76 50.01 46.09 20.81 2 951.66 2 944.59 2 992.8 2 944.59 1791.19 130.41
Capex, milyar ¥
4.41 4.63 5.22 4.46 5.14 711.71 724.13 597.3 724.13 408.55 166.30


Muhasebe bakiyesi

2018 2019 2020 2021 2022 2023 2024 2025 LTM 5 yıllık ortalama CAGR 5
Nakit, milyar ¥
7.25 4.32 6.27 6.23 6.75 1 009.57 1 042.24 1 267.08 1 042.24 666.37 189.51
Kısa vadeli yatırımlar ¥
0.1906 0.1402 0.1002 1.91 20.49 0.1414 4.57 154.85
Alacak hesapları ¥
4.98 3.93 4.08 5.07 907.78 845.65 813.66 845.65 515.25 188.37
Toplam Cari Varlıklar ¥
10.56 11.19 11.18 12.8 2 107.17 2 111.92 2 280.16 2 111.92 1304.65 189.67
Saf varlıklar, milyar ¥
12.72 10.56 11.19 11.18 40.97 48.46 0.3345 24.47 35.63
Varlıklar, milyar ¥
58.2 60.86 60.28 61.9 63.63 9 221.06 9 131.97 9 444.47 9 131.97 5584.61 173.34
Kısa vadeli borç ¥
0.45 0.9248 0.6921 0.655 0.38 144.87 0.2022 144.87 29.36 -21.82
Uzun vadeli borç ¥
0.8507 0.1539 0.6618 0.0067 26.96 21.38 21.38 9.83 168.26
Borç, milyar ¥
10.84 12.97 11.96 11.62 12.91 1 812.09 1 930.29 1 889.07 1 930.29 1131.20 176.83
Saf borç, milyar ¥
-6.12 -5.57 -6.75 -982.61 -875.98 -1 251.19 -875.98 -624.4200 195.32
Borç, milyar ¥
0.1539 0.6618 0.6618 27.34 166.26 15.89 166.26 42.16 88.83
Faiz masrafları, milyar ¥
0.0123 0.0047 0.0054 0.0019 0.0808 0.0236 0.0177 0.0236 0.0259 26.80
Saf faiz geliri, milyar ¥
0.0059 0.0045 0.0034 0.0025 0.002 0.000879 0.000718 0.000879 0.0019 -26.73
Amortisman, milyar ¥
5.92 6.19 6.26 894.45 856.61 835.17 856.61 519.74 166.70
Maliyet, milyar ¥
30.3 26.17 30.47 7 095.46 6 088.26 5 751.26 6 088.26 3798.32 194.03
Tıbbi malzemeler ¥
0.0075 0.0066 0.0068 1.18 0.0082 0.3002 254.16


Terfi

2018 2019 2020 2021 2022 2023 2024 2025 LTM 5 yıllık ortalama CAGR 5
EPS 423.75 239.15 240.27 335.52 199 12771.53 -54730.14 60845.01 -54730.14 3884.18 182.94
AO'nun eyleminin fiyatı 3045 3500 3565 3535 3535 3411.25 3.80
AO hisselerinin sayısı, milyon 4.79 4.79 4.79 4.79 691.05 675.11 673.67 675.11 409.88 168.92
FCF/Promosyon 433.86 587.03 642.77 678.26 589.22 131.1 -54.24 782.45 -54.24 425.36 2.90


Yeterlik

2018 2019 2020 2021 2022 2023 2024 2025 LTM Sektördeki ortalama 5 yıllık ortalama CAGR 5
Roe, % 4.67 2.57 2.56 3.48 2.02 0.8807 -3.73 4.1 -3.73 13.49 1.35 3.33
Roa, % 3.5 1.93 1.9 2.63 1.52 0.6602 -2.78 3.05 -2.78 3.16 1.02 3.01
ROIC, % 3.35 4.11 2.78 1.67 -2.91 -2.91 2.71 1.80 -197.22
Ros, % 2.26 3.33 1.82 0.6034 -2.87 -2.87 -2.87 6.66 0.0027 -197.07
Roce, % 5.83 3.05 3.09 4.2 2.86 1.28 -1.51 -1.61 -1.61 17.90 1.04 -182.55
Fit Marj 3.52 5.2 2.91 0.9888 -1.31 -1.31 -1.31 11.01 1.30 -175.90
FAVÖK Kârlılığı 18.51 15.15 14.94 18.01 14.87 9.86 8.32 8.32 8.32 18.95 11.88 -14.31
Saf karlılık 4.45 2.24 2.23 3.33 1.82 0.6034 -2.87 3.16 -2.87 6.66 1.21 -1.04
Operasyonel verimlilik, % 3.06 4.64 2.07 0.4078 -1.54 -1.54 -1.54 9.58 0.8076 -180.20


Katsayılar

2018 2019 2020 2021 2022 2023 2024 2025 LTM Sektördeki ortalama 5 yıllık ortalama CAGR 5
P/E
7.8 12.71 13.01 9.45 14.47 33.63 8.19 33.63 10.62 15.75 -8.84
P/BV
0.3345 0.3043 0.31 0.3023 0.272 0.2763 0.3256 0.3067 0.3256 1.17 0.2966 0.29
P/S
0.3467 0.2842 0.2906 0.3144 0.2636 0.2029 0.2636 0.259 0.2636 0.67 0.2607 -3.80
P/FCF
23.4 -57.87 -0.3995 -0.3995 14.97 -11.6232 -125.75
E/P
0.0287 -0.1204 -17.44 -17.44 3.05 -5.8439 -947.01
EV/Fit
4.89 3.83 4.63 10.67 -12.65 -12.65 -12.65 16.35 -1.2340 -226.99
EV/FAVÖK
1.15 1.11 0.9057 1.07 1.98 0.9115 1.98 7.64 1.20 -3.86
EV/S
0.1719 0.1991 0.1347 0.1055 0.1651 0.1651 0.1651 1.67 0.1539 -3.68
EV/FCF
2.88 2.96 2.5 11.76 -40.14 -40.14 -40.14 127.98 -12.6120 -268.44
Borç/FAVÖK
0.02 0.076 0.085 0.0275 0.2245 0.2245 0.2245 5.29 0.1275 24.19
Netdebt/FAVÖK
-0.7956 -0.6397 -0.8667 -0.9883 -1.18 -1.18 -1.18 4.36 -0.9709 13.03
Borç/Oran
0.0179 0.0219 0.0104 0.003 0.0182 0.0182 0.0182 0.47 0.0143 -3.63
Borç/özkaynak
0.0239 0.0287 0.0139 0.0039 0.0247 0.268 0.268 2.75 0.0678 56.33
Borç/net gelir
0.9273 0.8417 0.6938 0.4492 -0.6522 -0.6522 -0.6522 19.88 0.1361 -195.03
Peg
-0.001 -0.001 -0.07 -0.0010 0.00
Beta
0.8527 -0.3877 -0.0603 -0.0603 -0.49 0.1349 -141.35
Altman Endeksi
1.75 1.58 0.94 0.94 1.46 1.42 -18.71


Temettü

2017 2018 2019 2020 2021 2022 2023 2024 2025 LTM Sektördeki ortalama 5 yıllık ortalama CAGR 5
Div. Ödeme, milyar
0.383 0.383 0.384 0.384 0.384 0.3832 55.53 54.43 54.43 22.22 169.34
Temettü
80 80 80 80 80 80 0.5522 0.5522 0.5522 0.5522 32.33 -63.03
Div geliri, ao, %
2.79 2.68 2.64 2.54 2.55 5.56 5.46 4.71 4.62 4.62 6.30 4.58 12.62
Temettü / kar, %
18.85 33.41 33.34 23.87 40.26 91.21 -21.35 19.24 -21.35 36.35 30.65 -4.22
Temettü kaplama katsayısı
-4.68 -4.68 569.21 -4.6800 0.00


Aboneliği ödeyin

Şirketlerin ve portföylerin analizi için daha fazla işlevsellik ve veriler abonelikle mevcuttur

Dinlenmek

2020 2021 2022 2023 2024 2025 LTM CAGR 5
Capex/gelir, %
10.81 9.47 9.81 7.05 8.14 6.67 8.14 -6.77
Personel, insanlar
629 629 0.00