特殊電極【3437】 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 - 1,354 1,332 1,257 1,153 1,574 1,509 1,763 1,928 1,850 1,819 1,880 2,057 2,049 1,838 1,629 1,640 1,596 1,591 1,612 2,145 2,624 2,390 2,480 2,564 3,116 2,963 3,084 3,356 3,665 3,447 3,060 2,472 2,675 2,605 1,979 1,990 2,344 1,849 1,741 1,703 1,620 1,558
売掛金 - 2,950 2,727 3,194 3,372 2,978 3,209 3,329 2,873 2,860 2,954 2,913 3,005 3,420 3,585 3,670 3,552 3,777 3,859 3,893 3,658 2,862 2,932 2,946 2,751 2,642 2,949 2,992 - 3,002 3,444 3,416 - 3,289 3,457 3,261 - 3,195 3,460 3,763 - 3,878 3,760
商品及び製品 - 547 566 571 521 572 533 560 532 550 536 545 517 580 560 612 603 647 588 651 656 694 605 601 506 549 523 579 563 683 653 753 775 880 816 806 824 940 897 1,014 968 1,029 1,034
流動資産合計 - 5,334 5,154 5,608 5,670 5,717 5,820 6,250 6,360 6,247 6,242 6,404 6,764 7,255 7,027 6,900 6,834 7,117 7,172 7,257 7,393 7,064 6,666 6,784 6,613 7,084 7,179 7,373 7,752 8,251 8,328 8,009 7,403 7,586 7,591 7,021 7,182 7,342 7,031 7,332 7,610 7,442 7,164
有形固定資産 - 1,092 1,062 1,043 1,022 1,003 984 980 985 989 982 973 971 967 959 1,487 1,496 1,478 1,470 1,461 1,500 1,478 1,488 1,466 1,451 1,453 1,439 1,423 1,431 1,442 2,272 2,259 3,019 3,008 3,102 3,777 3,795 3,725 3,680 3,658 3,652 3,650 3,587
投資有価証券 - 100 - - 63 - - - 87 - - - 93 - - - 85 - - - 46 - - - 78 - - - 91 - - - 121 - - - 173 - - - 200 - -
固定資産合計 - 1,613 1,537 1,365 1,330 1,310 1,299 1,315 1,318 1,323 1,319 1,316 1,301 1,432 1,387 1,903 1,977 1,998 1,923 1,896 1,962 1,973 1,902 1,828 1,862 1,884 1,871 1,819 1,896 1,932 2,717 2,721 3,545 3,560 3,595 4,251 4,394 4,353 4,229 4,252 4,301 4,335 4,191
総資産 - 6,947 6,691 6,973 7,000 7,028 7,120 7,566 7,678 7,570 7,562 7,720 8,065 8,687 8,414 8,803 8,811 9,115 9,096 9,153 9,356 9,037 8,568 8,613 8,476 8,969 9,051 9,193 9,648 10,184 11,045 10,730 10,948 11,146 11,186 11,272 11,576 11,695 11,261 11,584 11,911 11,777 11,355
買掛金 - 1,780 1,650 1,908 1,856 1,775 1,823 2,040 2,035 1,893 1,908 2,086 2,261 2,626 2,353 2,274 2,343 2,321 2,269 2,319 2,174 1,904 1,648 1,618 1,489 1,671 1,717 1,656 1,847 2,184 2,287 1,919 1,855 1,923 1,946 1,949 2,077 1,736 554 602 641 - -
短期借入金 - 280 300 260 220 140 150 210 90 90 60 120 60 60 60 510 60 210 210 60 60 60 60 180 60 60 30 167 130 92 25 - - - - - - - 500 500 500 500 500
一年内返済予定の長期借入金 - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - 70 70 70 70 70 100 100 100 100 100 100 100 100
流動負債合計 - 2,680 2,325 2,503 2,544 2,506 2,478 2,828 2,910 2,680 2,518 2,650 2,945 3,450 2,990 3,288 3,240 3,391 3,150 3,063 3,208 2,793 2,235 2,173 1,958 2,351 2,283 2,330 2,677 3,007 2,985 2,616 2,766 2,875 2,700 2,600 2,903 3,011 2,435 2,709 3,022 2,865 2,342
長期借入金 - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - 629 612 594 577 559 809 784 759 734 709 684 659 634
固定負債合計 - 865 872 862 868 857 862 859 763 768 774 780 749 734 738 764 732 740 747 755 743 750 758 765 728 729 733 732 718 723 1,359 1,295 1,243 1,217 1,205 1,463 1,412 1,390 1,371 1,353 1,234 1,209 1,193
総負債 - 3,545 3,197 3,366 3,413 3,364 3,340 3,687 3,673 3,449 3,292 3,430 3,694 4,185 3,729 4,053 3,973 4,131 3,898 3,818 3,951 3,544 2,993 2,938 2,687 3,080 3,017 3,063 3,395 3,730 4,345 3,911 4,010 4,093 3,905 4,064 4,316 4,401 3,806 4,063 4,256 4,075 3,536
資本金及び資本剰余金 - 879 879 879 879 879 879 879 879 879 879 879 879 879 879 879 879 879 879 879 879 879 879 879 879 879 879 879 879 879 879 879 879 879 879 879 879 879 879 879 879 879 880
利益剰余金 - 2,401 2,517 2,740 2,783 2,862 2,975 3,054 3,205 3,285 3,431 3,490 3,578 3,710 3,873 3,959 4,044 4,195 4,409 4,537 4,602 4,685 4,764 4,851 4,942 5,042 5,177 5,270 5,371 5,568 5,806 5,901 6,011 6,115 6,324 6,259 6,277 6,298 6,469 6,516 6,595 6,645 6,739
株主資本 3,171 3,402 3,495 3,607 3,587 3,664 3,780 3,878 4,005 4,121 4,270 4,290 4,371 4,503 4,685 4,750 4,838 4,984 5,198 5,335 5,404 5,494 5,576 5,674 5,789 5,889 6,034 6,130 6,252 6,454 6,701 6,819 6,938 7,053 7,281 7,208 7,259 7,294 7,454 7,521 7,655 7,702 7,818