石油資源開発【1662】 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 - 53,870 81,031 92,956 104,359 109,488 115,313 117,468 160,077 162,368 147,241 191,956 169,997 118,358
有価証券 - 53,414 41,203 45,605 23,551 1,302 2,200 2,330 4,000 3,030 3,030 3,000 3,000 24,000
売掛金 - 32,337 37,222 25,248 24,642 28,283 26,073 20,825 27,510 39,519 47,158 47,993 40,790 43,441
商品及び製品 - 4,490 4,653 4,551 4,414 4,282 5,447 4,559 5,223 4,297 2,143 2,216 2,602 3,368
流動資産合計 - 188,645 195,209 198,492 173,638 161,359 169,302 166,087 213,054 221,034 226,920 281,791 249,768 230,838
有形固定資産 - 90,683 200,552 289,718 336,218 383,790 329,490 309,114 294,038 266,745 92,837 118,411 176,300 227,590
投資有価証券 - 177,304 190,765 187,926 135,261 148,237 167,342 137,794 88,922 105,070 108,910 115,940 180,415 180,280
固定資産合計 - 336,526 467,828 538,369 533,963 585,380 530,236 489,200 414,078 403,752 245,021 286,388 411,160 450,760
総資産 - 525,172 663,038 736,862 707,601 746,739 699,539 655,288 627,132 624,786 471,941 568,180 660,928 681,598
買掛金 - 18,947 23,610 6,728 8,585 13,634 13,544 7,666 12,237 21,546 11,479 26,489 9,520 11,150
短期借入金 - - 28,169 50,809 - - 4,974 - - - - - - -
一年内返済予定の長期借入金 - 4,563 4,883 10,228 - 4,487 4,549 6,139 6,833 62,175 260 260 250 -
流動負債合計 - 41,155 83,454 112,868 32,290 37,911 45,627 32,378 35,738 103,776 25,241 64,250 49,095 49,152
長期借入金 - 24,197 21,636 20,726 130,030 141,903 135,959 127,715 118,774 50,180 510 250 - -
固定負債合計 - 80,391 82,668 83,346 179,994 198,218 196,704 172,752 151,236 86,517 43,929 46,759 74,258 75,188
総負債 - 121,547 166,123 196,214 212,284 236,129 242,331 205,131 186,975 190,294 69,171 111,010 123,354 124,340
資本金及び資本剰余金 - 14,288 14,288 14,288 14,445 14,471 14,471 14,445 14,288 14,288 16,895 14,288 14,288 14,288
利益剰余金 - 291,990 318,433 346,441 345,674 345,693 315,631 331,306 350,934 344,438 310,592 362,989 397,846 445,499
株主資本 406,773 403,625 496,915 540,647 495,317 510,609 457,207 450,156 440,157 434,492 402,770 457,169 537,574 557,257