ソフトクリエイトホールディングス【3371】 業績推移・財務諸表

(単位:百万円) 4Q14 4Q15 2Q16 3Q16 4Q16 1Q17 2Q17 3Q17 4Q17 1Q18 2Q18 3Q18 4Q18 1Q19 2Q19 3Q19 4Q19 1Q20 2Q20 3Q20 4Q20 1Q21 2Q21 3Q21 4Q21 1Q22 2Q22 3Q22 4Q22 1Q23 2Q23 3Q23 4Q23 1Q24 2Q24 3Q24 4Q24 1Q25 2Q25 3Q25 4Q25 1Q26 2Q26
現金同等物 - 3,537 3,290 3,452 4,369 3,416 3,591 5,567 5,674 4,424 5,196 5,413 5,195 5,315 4,874 3,938 5,862 5,831 5,894 6,839 6,987 7,380 8,253 8,763 9,681 10,115 9,461 8,974 9,322 8,710 8,747 8,923 9,429 10,189 11,401 11,871 13,509 13,491 13,843 14,285 14,958 12,724 16,231
有価証券 - 446 1,392 1,433 909 836 821 280 762 505 516 518 982 0 520 490 0 0 0 0 0 299 332 293 303 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 2,500 0
売掛金 - 2,220 1,968 1,810 2,361 1,752 2,127 1,777 2,374 1,785 2,190 2,173 2,687 2,240 2,498 2,666 3,205 2,673 3,556 3,082 3,427 2,778 2,999 2,905 3,626 3,439 4,242 3,869 4,331 3,857 4,650 4,582 5,278 4,626 5,508 4,887 5,513 4,642 5,762 5,267 6,682 5,341 6,411
流動資産合計 - 6,825 7,237 7,282 8,214 7,240 7,321 8,374 9,575 8,137 8,823 9,155 9,922 8,714 8,840 8,282 10,117 9,854 10,789 11,382 11,550 11,803 12,747 13,162 14,690 14,707 14,623 13,817 14,773 14,146 14,637 14,998 16,404 16,974 18,565 18,427 20,551 19,615 21,454 21,342 23,831 22,791 24,807
有形固定資産 - 237 240 383 408 401 395 382 382 374 333 341 336 324 337 325 291 290 278 279 298 279 262 279 261 250 240 249 296 342 354 334 298 284 280 281 262 249 268 235 297 286 281
投資有価証券 - 2,167 1,381 1,347 1,265 1,650 2,126 1,831 1,767 2,107 2,188 2,126 2,417 2,538 2,980 3,285 3,524 3,216 3,355 3,031 2,846 2,341 2,404 2,972 3,326 3,461 3,913 4,841 4,903 4,939 4,929 5,156 5,207 5,828 5,904 6,294 7,034 7,397 7,088 7,825 7,349 7,577 8,161
固定資産合計 - 3,204 2,451 2,561 2,559 3,014 3,525 3,210 3,222 3,600 3,674 3,607 3,873 4,874 5,352 5,549 5,783 5,381 5,566 5,145 5,180 4,378 5,455 6,169 6,451 6,413 6,947 7,827 8,022 8,110 8,328 8,720 8,788 9,267 9,596 9,893 10,748 11,118 11,192 11,948 11,762 11,874 12,573
総資産 - 10,029 9,689 9,843 10,773 10,254 10,845 11,583 12,796 11,737 12,497 12,761 13,795 13,588 14,193 13,831 15,900 15,235 16,355 16,527 16,730 16,181 18,202 19,331 21,142 21,120 21,570 21,644 22,795 22,256 22,966 23,717 25,193 26,241 28,161 28,320 31,298 30,733 32,646 33,290 35,593 34,665 37,380
短期借入金 - - - - - - - - - - - - - - - - - - - - - - - 46 44 43 42 39 37 34 27 22 11 3 - - - - - - - - -
一年内返済予定の長期借入金 - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - 0 -
流動負債合計 - 2,538 2,055 1,984 2,603 2,188 2,527 2,308 3,163 2,368 2,727 2,572 3,518 3,100 3,095 2,986 3,758 3,099 3,828 3,509 4,227 3,318 3,582 4,009 5,121 4,666 5,121 4,835 5,919 5,048 5,335 5,242 5,906 5,844 6,580 6,008 7,382 6,250 7,374 6,963 8,556 7,269 8,348
長期借入金 - - - - - - - - - - - - - - - - - - - - - - - 62 48 38 27 22 11 3 - - - - - - - - - - - 1 -
固定負債合計 - 686 634 726 887 897 911 1,016 1,069 1,113 1,157 1,212 1,098 1,137 1,209 1,184 1,573 1,587 1,656 1,692 1,575 1,394 1,445 1,571 1,627 1,691 1,714 1,831 1,680 1,714 1,734 1,793 1,758 1,890 1,921 1,982 2,265 2,309 2,304 2,573 2,439 2,521 2,615
総負債 - 3,224 2,690 2,711 3,490 3,085 3,438 3,324 4,232 3,481 3,885 3,784 4,617 4,237 4,304 4,171 5,331 4,687 5,484 5,201 5,803 4,712 5,027 5,580 6,749 6,357 6,836 6,667 7,600 6,762 7,070 7,036 7,665 7,735 8,501 7,990 9,647 8,558 9,678 9,536 10,995 9,790 10,963
資本金及び資本剰余金 - 1,790 1,790 1,783 1,738 1,738 1,738 2,012 2,080 2,080 2,080 2,076 2,072 2,072 2,071 2,071 2,314 2,313 2,312 2,312 2,312 2,312 2,755 2,755 2,755 2,754 2,754 2,754 2,758 2,757 2,757 2,757 2,757 2,757 2,786 2,786 2,786 2,788 2,796 2,982 3,011 3,011 3,034
利益剰余金 - 4,888 5,281 5,339 5,604 5,625 5,928 5,966 6,177 6,220 6,581 6,782 6,945 7,183 7,532 7,765 7,767 7,868 8,310 8,451 8,614 8,923 9,463 9,814 10,103 10,482 11,176 11,548 12,021 12,304 13,028 13,566 14,192 14,688 15,533 15,902 16,533 16,785 17,700 17,792 18,791 18,949 19,975
株主資本 5,836 6,805 6,999 7,131 7,283 7,169 7,407 8,259 8,564 8,256 8,612 8,977 9,178 9,351 9,888 9,660 10,569 10,548 10,871 11,326 10,927 11,469 13,175 13,751 14,392 14,763 14,734 14,977 15,195 15,494 15,896 16,682 17,528 18,506 19,660 20,330 21,652 22,174 22,968 23,753 24,598 24,875 26,417