西松建設【1820】 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 - 47,965 53,202 37,572 27,903 39,026 32,499 31,473 46,459 43,769 47,121 53,726 56,532 43,418
有価証券 - - 25 177 39 60 5 128 - - - 1 - -
流動資産合計 - 210,737 233,741 235,871 205,000 227,968 207,727 269,201 301,815 275,273 262,292 290,744 311,985 299,147
有形固定資産 - 67,467 69,479 70,140 75,538 85,080 96,639 114,377 133,055 141,636 162,131 163,369 168,821 182,842
投資有価証券 - 60,149 66,436 75,701 65,761 66,395 72,606 77,075 55,335 44,641 35,485 35,868 75,754 86,058
固定資産合計 - 132,237 140,658 150,598 146,334 157,706 176,225 197,125 195,229 197,166 215,320 222,878 267,638 292,898
総資産 - 342,974 374,399 386,469 351,334 385,674 383,953 466,327 497,045 472,440 477,613 513,623 579,624 592,046
短期借入金 - 17,306 16,021 36,807 17,522 17,744 18,206 61,167 41,909 35,039 43,039 59,239 49,929 42,848
流動負債合計 - 157,971 172,003 191,434 149,159 170,567 152,725 223,472 252,627 191,127 217,663 247,670 271,314 260,859
長期借入金 - 34,476 31,139 6,286 652 100 100 - - - - 3,157 25,221 40,364
固定負債合計 - 56,566 67,193 45,481 46,020 45,318 46,008 43,522 45,130 73,775 102,233 109,804 131,453 149,996
総負債 - 214,537 239,196 236,915 195,179 215,885 198,733 266,995 297,757 264,903 319,897 357,475 402,767 410,855
資本金及び資本剰余金 - 44,293 44,293 44,293 44,293 44,293 44,293 44,293 44,293 44,293 44,308 44,305 44,305 44,308
利益剰余金 - 67,801 73,533 78,372 90,201 104,981 116,132 129,706 142,684 154,041 158,485 157,326 163,358 122,249
株主資本 116,845 128,436 135,202 149,553 156,154 169,788 185,219 199,331 199,287 207,537 157,715 156,148 176,856 181,190