あい ホールディングス【3076】 業績推移・財務諸表

(単位:百万円) 2013/6 2014/6 2015/6 2016/6 2017/6 2018/6 2019/6 2020/6 2021/6 2022/6 2023/6 2024/6 2025/6
現金同等物 - 15,200 15,176 15,372 17,938 20,948 23,318 25,507 32,058 36,483 37,594 36,084 45,055
売掛金 - 5,621 6,968 7,711 7,459 7,677 7,510 6,296 6,653 7,049 6,783 7,963 17,822
商品及び製品 - 3,962 5,815 5,987 5,162 4,756 4,123 5,136 4,638 5,651 7,813 8,181 9,729
流動資産合計 - 27,971 31,681 34,944 38,007 41,106 39,006 40,333 46,997 55,513 56,544 56,194 83,265
有形固定資産 - 6,247 6,719 6,753 6,797 7,525 9,578 9,573 9,504 9,579 10,221 10,844 33,252
投資有価証券 - 1,783 364 190 1,601 1,964 1,977 1,927 1,611 1,685 3,490 3,550 5,138
固定資産合計 - 9,649 12,997 14,198 17,020 18,589 20,809 20,644 19,637 19,905 23,980 37,707 57,640
総資産 - 37,621 44,678 49,142 55,027 59,696 59,815 60,977 66,635 75,418 80,524 93,901 140,906
買掛金 - 4,479 5,816 4,931 3,969 3,938 3,529 2,792 4,250 3,951 3,855 3,960 6,851
短期借入金 - - 2,313 - 780 1,100 1,715 695 221 1,773 289 4,322 16,539
一年内返済予定の長期借入金 - 375 - - - 60 60 - - - - - -
流動負債合計 - 7,740 9,740 10,591 11,695 11,907 8,321 6,727 7,934 10,457 9,482 9,973 16,565
長期借入金 - - - - - 355 295 - - - - - -
固定負債合計 - 3,275 3,539 4,413 4,122 4,081 4,535 4,719 4,935 3,623 3,770 3,413 12,274
総負債 - 11,015 13,280 15,004 15,818 15,988 12,856 11,446 12,870 14,081 13,253 13,387 28,840
資本金及び資本剰余金 - 14,049 14,049 14,049 14,030 14,030 14,029 14,029 14,042 14,048 14,065 13,958 24,648
利益剰余金 - 17,266 21,569 25,701 30,134 34,555 38,048 40,729 44,461 49,927 54,673 66,054 82,806
株主資本 23,472 26,605 31,398 34,138 39,209 43,707 46,958 49,530 53,765 61,337 67,271 80,514 112,065