Fast Retailing

9983 · TSE · JPY

71.770,00 ¥Variación respecto al cierre anterior: −1,35 %Variación absoluta: −980,00 ¥

Cierre · 2 de octubre de 2026

En resumen

Crecimiento de los ingresos
+9,56 %
Ej. a ago 2025 frente a Ej. a ago 2024
Crecimiento del beneficio neto
+16,40 %
Ej. a ago 2025 frente a Ej. a ago 2024
Margen neto
12,7 %
Ej. a ago 2024: 12,0 %

Datos financieros

Importes en millones de JPY; valores por acción en JPY; acciones en millones.

Balance · Trimestral
PartidaTrim. a may 2026Trim. a feb 2026Trim. a nov 2025Trim. a ago 2025Trim. a may 2025Trim. a feb 2025Trim. a nov 2024Trim. a ago 2024Trim. a may 2024Trim. a feb 2024Trim. a nov 2023Trim. a ago 2023
Activo total4.432.3874.299.0444.286.4123.859.3533.698.1933.729.1433.795.1033.587.5653.684.1223.495.8453.434.9873.303.694
Activo corriente2.930.7192.971.1802.896.6562.527.8152.322.7052.354.7532.499.3172.363.2712.372.9192.257.9792.312.0912.176.695
Efectivo y equivalentes1.132.0781.040.505923.697893.239991.761977.3301.198.8401.193.5601.097.7531.065.864887.360903.280
Inversiones a corto plazo962.1221.181.6451.059.881899.701636.441691.562447.417470.554550.546529.265616.956576.194
Cuentas por cobrar178.80497.247200.780104.449145.21073.719181.76486.139112.39769.125165.48890.491
Existencias497.659501.144546.085510.958448.931459.460513.154474.460404.795414.432485.724449.254
Inmovilizado material neto893.458864.178868.127809.462774.082739.654680.201662.454674.155627.886628.053611.060
Fondo de comercio8.0928.0928.0928.0928.0928.0928.0928.0928.0928.0928.0928.092
Otros activos intangibles90.47891.21391.50391.60692.99993.81595.49492.56894.01091.95489.55887.300
Inversiones a largo plazo396.250253.053303.970343.799408.201428.332389.172355.861356.327343.329243.086259.337
Pasivo corriente934.745924.0601.053.686911.291903.240879.079928.162852.390743.790725.092803.242729.260
Proveedores449.364419.424508.604327.898358.576343.593454.364340.570325.866310.755407.572281.586
Deuda a largo plazo141.53525.984140.975139.878141.089141.049211.168209.825239.736239.719241.079239.686
Deuda total798.425688.088690.411723.378633.479622.902696.053717.887738.948707.486——
Pasivo total1.622.9291.590.5621.717.5391.531.8531.530.4191.470.4321.598.1911.519.3121.488.5271.428.1861.498.5331.430.334
Patrimonio neto (incl. minoritarios)2.809.4582.708.4822.568.8732.327.5002.167.7742.258.7112.196.9122.068.2532.195.5952.067.6591.936.4541.873.360
Reservas2.304.5532.255.9542.124.1092.056.4371.962.5271.930.6231.829.0201.766.0731.706.9121.643.6601.555.5481.498.348
Intereses minoritarios81.01776.02264.76554.38552.80462.40957.60051.71857.67959.79754.21451.955