クリヤマホールディングス【3355】 業績推移・財務諸表

(単位:百万円) 2013/12 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 - 5,462 5,916 6,401 6,131 5,976 5,948 7,311 7,222 7,448 7,440 9,406
売掛金 - 6,050 7,375 6,423 8,083 8,053 8,522 7,965 9,872 10,189 9,239 8,978
商品及び製品 - 7,833 8,752 8,317 9,347 10,851 10,379 9,152 10,819 17,158 18,429 18,410
流動資産合計 - 21,646 24,983 24,522 27,238 29,022 28,586 28,527 33,383 41,945 42,341 43,761
有形固定資産 - 6,499 8,362 8,441 8,964 9,069 10,171 10,192 10,862 12,315 12,256 15,920
投資有価証券 - 4,173 4,875 4,633 4,903 4,459 4,777 4,715 5,315 5,868 6,889 7,894
固定資産合計 - 12,622 17,455 16,951 17,493 16,723 17,922 17,394 18,840 20,964 22,197 27,021
総資産 - 34,268 42,438 41,473 44,732 45,744 46,508 45,921 52,222 62,909 64,538 70,781
買掛金 - 5,791 6,632 6,186 6,497 6,322 5,188 5,431 7,299 7,235 6,558 6,239
短期借入金 - 1,900 2,656 2,753 3,606 4,994 4,508 2,701 2,295 7,069 3,865 2,359
一年内返済予定の長期借入金 - 1,502 1,863 2,095 2,321 2,532 2,612 2,667 2,440 1,900 1,534 1,243
流動負債合計 - 10,607 13,439 12,995 16,871 18,094 16,885 14,816 17,150 22,064 18,075 16,368
長期借入金 - 2,883 5,821 5,341 4,924 5,214 5,037 6,190 4,289 3,514 2,900 2,339
固定負債合計 - 5,150 9,397 8,383 7,187 6,965 7,267 8,395 6,767 6,530 6,803 9,290
総負債 - 15,757 22,836 21,378 24,058 25,059 24,152 23,211 23,917 28,594 24,878 25,658
資本金及び資本剰余金 - 1,623 1,623 1,623 1,623 1,757 1,757 1,757 1,757 1,757 1,757 1,795
利益剰余金 - 13,970 16,054 17,374 19,563 20,495 22,111 23,320 26,889 30,190 33,049 35,885
株主資本 15,463 18,511 19,602 20,095 20,674 20,685 22,355 22,710 28,305 34,315 39,660 45,123