カゴメ【2811】 業績推移・財務諸表

(単位:百万円) 2014/3 2014/12 2015/12 2016/12 2017/12 2018/12 2019/12 2020/12 2021/12 2022/12 2023/12 2024/12
現金同等物 - 11,458 8,413 38,918 22,150 30,591 27,260 56,768 31,231 21,390 36,010 21,273
有価証券 - 12,625 13,115 - 3,168 674 665 407 1,257 1,697 3,074 4,555
売掛金 - 33,202 32,088 33,617 36,042 35,893 40,011 40,104 41,657 45,487 48,426 59,432
商品及び製品 - 18,693 20,874 19,648 21,143 19,705 42,960 42,304 47,150 57,565 75,198 119,047
流動資産合計 - 122,843 115,903 125,498 109,667 117,321 112,647 141,567 123,485 129,162 165,451 209,958
有形固定資産 - 51,609 53,622 53,634 53,250 56,602 53,634 52,571 60,193 61,779 60,756 82,589
投資有価証券 - 17,630 19,764 19,532 22,364 10,413 14,445 14,795 15,212 16,203 20,323 22,320
固定資産合計 - 80,570 92,982 94,305 86,069 76,291 88,531 83,345 91,723 96,209 100,197 152,456
総資産 - 203,413 208,885 219,804 200,290 199,826 201,179 224,913 215,208 225,372 265,648 362,415
買掛金 - 14,150 15,204 13,729 16,554 16,472 29,594 33,681 35,244 35,486 36,750 44,412
短期借入金 - 6,477 10,780 38,232 21,218 22,306 29,155 47,465 26,436 34,604 49,876 51,176
一年内返済予定の長期借入金 - 2,160 834 8,285 1,447 1,719 6,535 243 251 68 3,964 66
流動負債合計 - 42,380 45,722 78,558 59,710 62,563 68,404 92,238 72,911 80,313 100,430 109,213
長期借入金 - 27,119 25,701 27,952 14,154 10,503 4,028 3,456 3,446 3,809 10,115 10,049
固定負債合計 - 36,466 36,818 43,253 30,173 26,206 21,388 20,023 22,754 23,266 28,783 41,560
総負債 - 78,846 82,541 121,812 96,477 96,462 89,793 112,261 95,666 103,580 129,213 150,774
資本金及び資本剰余金 - 43,718 43,718 42,347 84,800 86,267 86,372 86,426 86,504 86,539 86,459 88,517
利益剰余金 - 60,116 61,916 66,492 74,303 83,162 75,629 77,730 84,235 90,708 98,017 119,725
株主資本 113,023 124,566 126,344 97,991 105,853 104,843 111,386 112,651 119,542 121,792 136,435 211,640