キッコーマン【2801】 バランスシート

機能の使い方
(単位:百万円) 2014/3 2015/3 2016/3 2017/3 2018/3 2019/3 2020/3 2021/3 2022/3 2023/3 2024/3 2025/3 2026/3
現金同等物 - 34,565 36,260 45,297 22,196 30,162 30,088 55,678 79,229 99,347 119,159 106,184 111,770
有価証券 - 273 269 1,184 2,892 3,998 3,096 5,598 2,541 4,515 31,618 29,278 23,172
売掛金 - 50,219 52,010 54,930 58,452 60,719 61,145 62,579 69,407 75,070 83,822 82,584 90,640
商品及び製品 - 31,442 31,986 34,120 37,760 42,513 43,255 63,085 82,700 92,222 94,970 104,896 110,358
流動資産合計 - 149,749 146,294 166,958 148,340 156,518 159,540 192,346 240,192 281,211 342,482 334,849 348,900
有形固定資産 - 104,695 104,951 106,344 110,121 123,390 149,067 127,077 136,291 150,675 171,832 189,321 242,056
投資有価証券 - 86,483 86,109 63,180 65,151 59,207 57,672 63,267 68,961 69,680 75,726 75,129 80,628
固定資産合計 - 229,016 219,376 194,290 198,580 205,601 227,788 246,162 262,868 285,174 325,394 344,564 402,760
総資産 - 378,766 365,671 361,248 346,921 390,245 398,698 438,508 503,061 566,385 667,877 679,414 751,660
買掛金 - 20,766 20,279 21,196 21,535 22,383 23,414 50,600 59,573 61,333 65,062 60,646 72,002
短期借入金 - 7,473 6,871 2,820 3,692 3,487 5,311 3,950 4,503 17,054 3,773 3,842 4,217
一年内返済予定の長期借入金 - 9,954 - - - - 36,835 35,559 3,451 13,000 32,631 13,985 -
流動負債合計 - 53,579 57,567 51,875 57,532 56,240 61,791 72,696 83,225 98,755 95,071 88,051 106,011
長期借入金 - - - - - 34,479 32,549 32,746 34,643 28,771 49,162 48,380 34,930
固定負債合計 - 86,755 82,427 64,936 36,099 35,427 47,780 52,297 55,927 50,660 74,550 75,312 76,807
総負債 - 140,335 139,995 116,811 93,631 120,950 121,155 124,993 139,153 149,416 169,621 163,364 182,818
利益剰余金 - 190,440 208,035 222,614 238,660 225,835 244,044 267,073 297,116 329,482 376,307 415,215 450,328
株主資本 210,407 238,431 225,675 244,437 253,289 270,451 277,757 313,514 363,907 416,969 498,255 516,049 123,893
運転資本 - 92,534 105,959 113,730 126,834 128,996