日鉄鉱業【1515】 業績推移・財務諸表

(単位:百万円) 2012/3 2013/3 2014/3 2015/3 2016/3 2017/3 2018/3 2019/3 2020/3 2021/3 2022/3 2023/3 2024/3 2025/3
現金同等物 - 16,672 14,005 24,118 26,648 26,297 30,537 34,139 34,109 35,510 33,224 40,002 37,415 38,063
有価証券 - 30 30 - - - - - - - - - - -
売掛金 - 23,157 28,216 25,587 25,223 24,499 26,738 28,490 26,129 27,604 30,757 30,670 33,896 35,397
商品及び製品 - 4,848 3,879 4,540 4,659 3,857 3,213 4,726 5,459 5,158 5,825 6,578 7,944 9,214
流動資産合計 - 63,884 68,067 71,506 73,774 71,607 77,296 78,655 83,797 87,866 89,705 94,178 105,090 101,970
有形固定資産 - 47,460 56,880 59,234 57,242 57,240 56,403 58,369 61,716 62,584 67,117 70,276 70,811 84,286
投資有価証券 - 26,213 29,597 32,444 25,169 31,334 30,568 26,074 18,124 28,157 29,172 30,855 40,016 39,161
固定資産合計 - 80,654 93,257 98,549 88,605 95,888 95,420 93,062 90,157 100,869 108,027 114,156 124,487 138,208
総資産 - 144,539 161,325 170,055 162,379 167,496 172,716 171,717 173,954 188,735 197,732 208,335 229,577 240,179
買掛金 - 11,247 11,106 10,643 10,174 8,621 11,493 8,946 17,755 17,588 14,627 15,297 20,540 16,289
短期借入金 - 14,070 9,806 9,659 8,725 11,655 20,793 15,355 16,259 16,491 15,922 19,700 17,076 12,615
一年内返済予定の長期借入金 - 8,351 43 1,344 1,244 6,545 10,144 142 658 574 74 3,075 73 70
流動負債合計 - 38,665 33,810 34,424 31,035 31,655 43,269 39,521 45,440 48,162 46,938 48,258 54,230 55,606
長期借入金 - 9,195 20,576 19,064 18,103 12,158 1,933 5,012 4,390 5,086 4,817 1,117 2,514 9,771
固定負債合計 - 29,127 42,759 43,164 40,493 33,440 23,088 25,009 23,306 24,161 24,422 20,666 24,624 32,601
総負債 - 67,793 76,570 77,589 71,528 65,096 66,357 64,531 68,746 72,323 71,360 68,924 78,855 88,207
資本金及び資本剰余金 - 10,325 10,325 10,325 10,325 9,424 9,359 9,134 9,117 9,065 8,922 8,760 6,463 6,463
利益剰余金 - 57,169 60,490 65,645 69,545 76,127 80,447 85,091 88,695 91,693 99,391 106,385 109,759 115,864
株主資本 70,823 76,746 84,755 92,466 90,850 102,399 106,358 107,186 105,208 116,411 126,371 139,410 150,722 151,971