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Advantest Corp
XMUN:VAN

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Advantest Corp
XMUN:VAN
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Precio: 136,66 EUR -0,45%
Capitalización de mercado: €100,87 B

Balance general

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Balance general
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Balance general
Moneda: JPY
Mar-2002 Mar-2003 Mar-2004 Mar-2005 Mar-2006 Mar-2007 Mar-2008 Mar-2009 Mar-2010 Mar-2011 Mar-2012 Mar-2013 Mar-2014 Mar-2015 Mar-2016 Mar-2017 Mar-2018 Mar-2019 Mar-2020 Mar-2021 Mar-2022 Mar-2023 Mar-2024 Mar-2025
Activos
Efectivo y equivalentes de efectivo
105.932
87.338
101.146
120.986
157.925
196.395
147.348
105.455
96.439
75.323
58.218
45.668
68.997
97.574
85.430
95.324
103.973
119.943
127.703
149.164
116.582
85.537
106.702
262.544
Equivalentes de efectivo
105.932
87.338
101.146
120.986
157.925
196.395
147.348
105.455
96.439
75.323
58.218
45.668
68.997
97.574
85.430
95.324
103.973
119.943
127.703
149.164
116.582
85.537
106.702
262.544
Cuentas por cobrar totales
33.196
42.921
76.133
56.702
69.567
54.264
30.124
10.415
15.930
22.707
24.119
26.953
20.404
26.478
28.005
32.451
37.929
51.786
46.426
57.028
82.155
102.152
88.855
113.031
Cuentas por cobrar comerciales
33.196
42.921
76.133
42.569
64.662
44.248
26.209
10.309
13.548
20.686
24.119
26.953
20.404
25.400
27.729
30.983
34.212
49.856
44.100
54.131
72.379
89.795
74.153
100.892
Otras cuentas por cobrar
0
0
0
14.133
4.905
10.016
3.915
106
2.382
2.021
0
0
0
1.078
276
1.468
3.717
1.930
2.326
2.897
9.776
12.357
14.702
12.139
Inventario
52.888
34.995
49.423
29.585
29.911
31.976
26.823
9.737
16.590
23.493
29.836
31.849
30.200
38.159
33.912
39.093
49.627
57.099
58.943
64.340
95.013
169.082
204.389
209.707
Otros activos corrientes
19.607
16.761
29.060
16.658
18.230
12.173
19.152
31.700
14.790
15.646
6.522
8.319
5.218
2.430
3.049
4.271
5.614
4.423
7.070
8.563
11.195
17.924
20.315
14.471
Activos corrientes totales
211.623
182.015
255.762
223.931
275.633
294.808
223.447
157.307
143.749
137.169
118.695
112.789
124.819
164.641
150.396
171.139
197.143
233.251
240.142
279.095
304.945
374.695
420.261
599.753
PP&E neto
58.488
55.431
50.516
51.364
50.793
49.650
50.765
33.974
32.881
31.878
34.206
41.368
39.925
34.216
31.451
29.915
29.232
30.786
46.256
53.281
64.037
81.358
97.990
96.940
PP&E bruto
58.488
55.431
50.516
51.364
50.793
49.650
50.765
33.974
32.881
31.878
34.206
41.368
39.925
34.216
31.451
29.915
29.232
30.786
46.256
53.281
64.037
81.358
97.990
96.940
Depreciación acumulada
63.227
67.028
64.533
67.914
72.131
75.838
70.318
38.793
40.390
41.226
39.386
43.869
44.832
67.649
64.313
64.626
57.951
59.079
67.098
70.299
77.931
89.264
108.968
116.655
Activos intangibles
6.897
5.291
3.756
3.090
2.858
3.101
3.476
1.470
1.445
1.519
15.794
15.833
3.545
2.187
1.735
1.553
1.153
1.272
4.106
21.765
22.120
32.675
33.260
17.205
Fondo de comercio
0
0
0
0
0
0
0
0
0
0
36.496
41.670
46.846
15.988
14.991
14.926
14.134
24.847
46.919
32.778
63.187
63.092
65.254
61.160
Inversiones a largo plazo
8.244
6.928
7.952
7.772
12.273
11.370
9.754
6.679
8.077
7.432
5.929
5.923
3.741
5.248
4.025
3.837
2.816
3.218
3.003
10.211
14.565
21.488
20.139
30.167
Otros activos a largo plazo
22.310
31.559
12.822
10.612
9.219
7.445
11.242
2.629
2.511
2.314
8.106
7.932
10.980
10.957
7.853
10.233
10.081
11.206
15.351
25.511
25.842
26.916
34.325
48.985
Otros activos
0
0
0
0
0
0
0
0
0
0
36.496
41.670
46.846
15.988
14.991
14.926
14.134
24.847
46.919
32.778
63.187
63.092
65.254
61.160
Activos totales
307.562
N/A
281.224
-9%
330.808
+18%
296.769
-10%
350.776
+18%
366.374
+4%
298.684
-18%
202.059
-32%
188.663
-7%
180.312
-4%
219.226
+22%
225.515
+3%
229.856
+2%
233.237
+1%
210.451
-10%
231.603
+10%
254.559
+10%
304.580
+20%
355.777
+17%
422.641
+19%
494.696
+17%
600.224
+21%
671.229
+12%
854.210
+27%
Pasivos
Cuentas por pagar
4.442
10.787
38.214
23.196
32.584
29.095
11.765
4.767
11.430
11.729
15.659
10.380
12.353
19.550
13.305
19.166
31.378
28.551
31.434
40.304
49.566
66.185
128.423
177.968
Pasivos acumulados
18.333
13.305
12.060
17.955
17.557
17.772
14.083
8.854
7.696
9.083
12.068
7.910
6.775
10.121
8.796
9.323
11.880
15.391
15.226
18.254
20.786
23.077
25.303
28.855
Deuda a corto plazo
0
0
0
0
0
0
0
0
0
0
25.000
0
0
10.000
0
0
0
0
0
0
18.359
0
0
0
Porción corriente de la deuda a largo plazo
302
2.357
4.543
20.043
30
10
0
0
0
0
0
0
0
271
487
15.000
29.872
0
2.275
2.486
2.918
17.944
5.147
79.998
Otros pasivos corrientes
155
1.949
11.794
12.800
26.574
13.775
5.847
7.916
2.793
3.695
7.645
9.610
7.479
9.396
6.846
7.945
14.067
18.906
21.602
28.767
59.253
67.483
44.267
129.696
Pasivos corrientes totales
23.232
28.398
66.611
73.994
76.745
60.652
31.695
21.537
21.919
24.507
60.372
27.900
26.607
49.338
29.434
51.434
87.197
62.848
70.537
89.811
150.882
174.689
126.277
309.424
Deuda a largo plazo
27.002
24.645
20.083
40
10
0
0
0
0
0
0
25.000
55.149
44.492
44.618
29.745
0
0
9.013
9.364
22.186
32.900
89.296
13.505
Impuesto sobre la renta diferido
594
461
0
0
0
0
0
0
0
0
0
0
0
389
358
420
1.099
1.680
1.563
4.473
3.445
5.773
3.934
4.709
Interés minoritario
276
312
587
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Otros pasivos
15.742
16.745
21.759
15.986
16.094
10.925
12.805
16.906
16.502
17.673
27.302
31.374
31.848
37.208
42.422
40.487
41.653
41.321
43.212
38.624
23.562
18.168
20.544
20.033
Pasivos totales
66.846
N/A
70.561
+6%
109.040
+55%
90.020
-17%
92.849
+3%
71.577
-23%
44.500
-38%
38.443
-14%
38.421
0%
42.180
+10%
87.674
+108%
84.274
-4%
113.604
+35%
131.427
+16%
116.832
-11%
122.086
+4%
129.949
+6%
105.849
-19%
124.325
+17%
142.272
+14%
200.075
+41%
231.530
+16%
240.051
+4%
347.671
+45%
Patrimonio
Acciones ordinarias
32.363
32.363
32.363
32.363
32.363
32.363
32.363
32.363
32.363
32.363
32.363
32.363
32.363
32.363
32.363
32.363
32.363
32.363
32.363
32.363
32.363
32.363
32.363
32.363
Ganancias retenidas
178.998
162.547
177.404
210.121
245.090
273.082
278.689
194.848
181.606
183.009
179.081
170.626
130.740
106.916
105.190
113.676
125.204
125.927
159.803
214.858
279.828
319.171
355.299
489.850
Capital adicional pagado
32.973
32.973
32.973
35.263
37.147
39.256
40.072
40.320
40.463
40.628
42.280
42.801
43.906
44.487
44.478
44.319
43.466
43.018
43.550
44.573
44.995
44.622
45.441
46.665
Ganancia/pérdida no realizada en valores
12
0
0
0
0
0
0
0
0
0
0
1.549
907
0
0
0
0
0
0
0
0
0
0
2.694
Acciones propias
2.434
13.165
12.911
66.120
58.017
53.556
89.325
89.328
89.331
99.598
99.598
97.620
96.083
94.686
94.585
86.039
77.724
6.262
4.179
15.001
81.547
59.099
56.353
104.193
Otro patrimonio
1.196
4.055
8.061
4.878
1.344
3.652
7.615
14.587
14.859
18.270
22.574
8.478
4.419
12.730
6.173
5.198
1.301
3.685
85
3.576
18.982
31.637
54.428
44.548
Patrimonio total
240.716
N/A
210.663
-12%
221.768
+5%
206.749
-7%
257.927
+25%
294.797
+14%
254.184
-14%
163.616
-36%
150.242
-8%
138.132
-8%
131.552
-5%
141.241
+7%
116.252
-18%
101.810
-12%
93.619
-8%
109.517
+17%
124.610
+14%
198.731
+59%
231.452
+16%
280.369
+21%
294.621
+5%
368.694
+25%
431.178
+17%
506.539
+17%
Total pasivos y patrimonio
307.562
N/A
281.224
-9%
330.808
+18%
296.769
-10%
350.776
+18%
366.374
+4%
298.684
-18%
202.059
-32%
188.663
-7%
180.312
-4%
219.226
+22%
225.515
+3%
229.856
+2%
233.237
+1%
210.451
-10%
231.603
+10%
254.559
+10%
304.580
+20%
355.777
+17%
422.641
+19%
494.696
+17%
600.224
+21%
671.229
+12%
854.210
+27%
Acciones en circulación
Acciones ordinarias en circulación
199
196
197
185
187
200
179
179
179
173
173
174
174
175
175
177
179
198
198
786
760
737
738
734
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