Akikawa Foods & Farms Balans Gezondheid
Financiële gezondheid criteriumcontroles 2/6
Akikawa Foods & Farms has a total shareholder equity of ¥2.1B and total debt of ¥3.2B, which brings its debt-to-equity ratio to 149%. Its total assets and total liabilities are ¥7.0B and ¥4.8B respectively.
Belangrijke informatie
149.0%
Verhouding schuld/eigen vermogen
JP¥3.16b
Schuld
Rente dekkingsratio | n/a |
Contant | JP¥601.00m |
Aandelen | JP¥2.12b |
Totaal verplichtingen | JP¥4.85b |
Totaal activa | JP¥6.96b |
Recente financiële gezondheidsupdates
Here's Why Akikawa Foods & Farms (TYO:1380) Can Manage Its Debt Responsibly
Apr 14These 4 Measures Indicate That Akikawa Foods & Farms (TYO:1380) Is Using Debt Reasonably Well
Jan 14Recent updates
Akikawa Foods & Farms (TYO:1380) Is Doing The Right Things To Multiply Its Share Price
May 05Here's Why Akikawa Foods & Farms (TYO:1380) Can Manage Its Debt Responsibly
Apr 14A Closer Look At Akikawa Foods & Farms Co., Ltd.'s (TYO:1380) Impressive ROE
Mar 18With EPS Growth And More, Akikawa Foods & Farms (TYO:1380) Is Interesting
Feb 25Is Akikawa Foods & Farms (TYO:1380) A Future Multi-bagger?
Feb 04These 4 Measures Indicate That Akikawa Foods & Farms (TYO:1380) Is Using Debt Reasonably Well
Jan 14A Closer Look At Akikawa Foods & Farms Co., Ltd.'s (TYO:1380) Impressive ROE
Dec 18Do Akikawa Foods & Farms's (TYO:1380) Earnings Warrant Your Attention?
Nov 27Analyse van de financiële positie
Kortlopende schulden: 1380's short term assets (¥2.7B) exceed its short term liabilities (¥2.6B).
Langlopende schulden: 1380's short term assets (¥2.7B) exceed its long term liabilities (¥2.3B).
Schuld/ eigen vermogen geschiedenis en analyse
Schuldniveau: 1380's net debt to equity ratio (120.6%) is considered high.
Schuld verminderen: 1380's debt to equity ratio has increased from 133.2% to 149% over the past 5 years.
Schuldendekking: 1380's debt is not well covered by operating cash flow (12.5%).
Rentedekking: Insufficient data to determine if 1380's interest payments on its debt are well covered by EBIT.