LIFULL【2120】 業績推移・財務諸表

(単位:百万円) 2013/3 2014/3 2015/3 2016/3 2017/3 2017/9 2018/9 2019/9 2020/9 2021/9 2022/9 2023/9 2024/9 2025/9
現金同等物 - 4,076 - 3,959 2,965 2,448 3,987 9,239 15,963 13,145 16,521 16,510 14,633 10,702
有価証券 - 100 - - - - 230 281 624 589 1,068 1,183 1,836 1,866
流動資産合計 - 7,261 - 7,703 8,288 6,212 8,280 16,155 23,083 21,545 25,011 23,064 21,589 18,522
有形固定資産 - 329 - 280 1,640 1,749 1,623 1,706 1,756 1,441 1,191 1,045 950 3,184
投資有価証券 - 34 - 140 290 336 413 1,843 2,071 2,101 1,528 2,040 2,220 8,379
固定資産合計 - 14,634 - 15,590 17,267 18,038 18,580 27,329 32,236 24,343 23,696 28,038 19,602 22,392
総資産 - 21,895 - 23,293 25,555 24,250 29,182 43,484 55,320 45,888 48,707 51,102 41,191 40,915
短期借入金 - 7,000 - - 969 970 - 3,300 8,632 6,629 8,092 5,329 3,572 843
一年内返済予定の長期借入金 - - - 970 - - - - 1,000 1,000 399 200 34 -
流動負債合計 - 10,295 - 4,445 5,393 4,345 4,323 9,486 16,016 12,139 13,390 12,127 10,295 5,732
長期借入金 - - - 1,456 484 - - 75 3,887 2,763 2,236 1,464 1,036 204
固定負債合計 - 175 - 1,710 999 628 627 1,414 5,656 5,210 4,186 6,322 6,693 8,958
総負債 - 10,470 - 6,155 6,393 4,973 7,186 10,900 21,672 17,349 17,576 18,449 16,989 14,691
資本金及び資本剰余金 - 4,542 - 8,542 8,542 8,542 16,799 39,615 39,615 39,674 39,724 39,726 39,629 19,626
利益剰余金 - 6,891 - 8,606 10,628 10,743 13,375 16,040 16,843 10,297 11,025 11,754 2,639 7,863
株主資本 10,240 11,425 11,425 17,138 19,162 19,277 21,910 32,584 33,647 28,538 31,131 32,652 24,202 26,223