インターネットイニシアティブ【3774】 業績推移・財務諸表

(単位:百万円) 2012/3 2013/3 2014/3 2015/3 2016/3 2017/3 2018/3 2019/3 2020/3 2021/3 2022/3 2023/3 2024/3 2025/3
現金同等物 13,537 12,259 22,421 21,094 19,569 21,959 21,403 32,076 38,672 42,467 47,391 42,472 45,474 32,534
有価証券 - - - - - 2,555 3,759 1,581 2,671 1,975 1,294 1,918 1,532 2,247
商品及び製品 - - - 52 115 4 26 3,403 2,476 2,171 2,608 3,188 3,227 4,681
流動資産合計 - - - 35,755 38,757 48,258 52,491 78,971 86,590 93,405 104,486 106,678 119,889 130,195
有形固定資産 - - - 15,613 19,243 23,091 28,232 33,136 17,400 17,084 17,846 23,321 29,072 33,771
投資有価証券 - - - 4,783 4,575 6,516 9,892 5,294 4,706 4,443 4,245 4,637 5,210 8,361
固定資産合計 - - - 56,930 63,205 72,905 84,899 88,318 119,934 127,373 127,320 139,515 153,824 182,240
総資産 73,493 82,111 103,867 108,705 117,835 137,395 153,449 167,289 206,524 220,777 231,805 246,193 273,713 312,435
買掛金 - - - - - 17,096 16,531 21,962 18,288 19,244 20,742 22,313 25,435 30,238
短期借入金 - - - 9,250 9,250 9,250 9,250 12,750 17,845 18,560 17,035 18,105 30,133 33,616
一年内返済予定の長期借入金 - - - - - - - 1,500 1,830 5,170 1,500 2,000 3,500 -
流動負債合計 - - - 25,802 29,222 32,909 35,759 52,904 65,687 73,259 76,778 77,864 98,358 113,315
長期借入金 - - - - - 8,500 15,500 14,000 12,170 7,000 5,500 3,500 0 0
固定負債合計 - - - 8,384 12,550 26,922 35,541 37,265 60,780 56,547 50,407 49,027 48,323 57,034
総負債 - - - 34,186 41,771 69,283 79,915 90,170 126,467 129,806 127,184 126,891 146,681 170,349
資本金及び資本剰余金 - - - 32,665 32,685 94,312 94,377 94,447 94,529 94,699 95,019 95,387 94,065 94,264
利益剰余金 - - - 23,887 25,760 27,155 29,455 12,335 16,501 25,047 37,024 51,077 65,616 79,885
株主資本 - - 55,989 58,499 60,191 61,333 66,090 77,120 80,057 90,972 104,621 119,302 127,032 142,086