The Dixie Group, Inc.【DXYN】 業績推移・財務諸表

(単位:千ドル) 2011/12 2012/12 2013/12 2014/12 2015/12 2016/12 2017/12 2018/12 2019/12 2020/12 2021/12 2022/12 2023/12 2024/12
現金同等物 298 491 255 394 281 140 19 18 769 1,920 1,471 363 79 19
現金 + 有価証券 298 491 255 394 281 140 19 18 769 1,920 1,471 363 79 19
商品及び製品 63,939 72,245 93,667 104,207 115,146 97,237 113,657 105,195 95,509 85,399 82,739 83,699 76,211 66,852
流動資産合計 100,999 115,055 149,789 173,817 169,595 145,358 163,756 152,959 139,595 133,331 140,417 119,879 112,395 95,839
有形固定資産 67,541 69,483 74,485 102,489 101,146 92,807 93,785 84,111 65,442 57,904 - - - -
固定資産合計 81,944 86,715 99,077 127,063 128,623 123,629 119,082 99,819 108,064 99,537 95,082 83,067 78,774 80,033
総資産 182,943 201,770 248,866 300,880 298,218 268,987 282,838 252,778 247,659 232,868 235,499 202,946 191,169 175,872
買掛金 14,668 14,891 21,679 22,108 26,483 20,683 18,541 17,779 16,084 19,058 16,748 14,205 13,935 14,884
一年内返済予定の長期借入金 2,729 4,059 6,229 9,078 10,142 10,122 9,811 7,794 6,684 6,116 3,361 - - -
流動負債合計 34,582 38,097 54,110 60,493 70,963 63,631 58,643 56,425 51,358 54,462 54,213 41,666 39,554 88,719
長期借入金 65,357 80,166 101,759 118,210 115,907 98,256 123,446 120,251 81,667 72,041 73,701 94,725 78,290 28,530
固定負債合計 - 99,627 123,985 147,410 136,451 118,234 144,932 137,369 123,090 114,615 114,911 129,766 122,324 70,935
総負債 - 137,724 178,095 207,903 207,414 181,865 203,575 193,794 174,448 169,077 169,124 171,432 161,878 159,654
資本金及び資本剰余金 172,738 173,266 174,494 200,149 201,200 202,126 202,978 202,958 202,622 202,001 157,657 158,331 159,132 159,892
利益剰余金 -65,764 -111,840 -106,550 -107,952 -110,378 -115,656 -125,000 -146,384 -131,113 -140,321 -138,706 -173,784 -176,700 -189,700
株主資本 64,385 64,046 70,771 92,977 90,804 87,122 79,263 58,984 73,211 63,791 66,375 31,514 29,291 16,218
有利子負債合計 68,086 84,225 107,988 126,231 126,049 108,378 133,257 128,045 88,351 78,157 77,062 94,725 78,290 28,530
純有利子負債 67,788 83,734 107,733 125,837 125,768 108,238 133,238 128,027 87,582 76,237 75,591 94,362 78,211 28,511
DEレシオ(%) 105.75 131.51 152.59 135.77 138.81 124.4 168.12 217.08 120.68 122.52 116.1 300.58 267.28 175.92