大王製紙【3880】 業績推移・財務諸表

(単位:百万円) 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 - 82,558 80,915 89,201 66,680 106,548 113,054 130,643 89,165 102,638 124,023 113,189
売掛金 - 91,209 95,683 92,698 98,334 96,915 92,742 100,019 92,641 106,851 111,446 104,041
商品及び製品 - 38,594 42,488 37,504 40,929 41,557 42,667 43,897 48,008 61,061 63,671 59,467
流動資産合計 - 252,490 257,154 257,048 260,808 299,650 299,019 328,364 291,300 355,058 376,189 360,882
有形固定資産 - 287,491 296,373 299,184 319,564 337,706 362,124 391,594 421,195 432,106 428,515 408,708
投資有価証券 - 39,410 32,765 35,812 33,466 32,861 23,182 24,431 21,924 21,048 23,561 21,382
固定資産合計 - 400,115 398,985 400,530 425,108 445,964 463,860 521,313 549,001 568,373 563,233 525,147
総資産 - 652,745 656,310 657,747 686,141 745,866 763,060 849,801 840,441 923,531 939,490 886,066
買掛金 - - - 48,446 58,686 58,774 53,135 64,662 75,384 88,167 84,812 79,929
短期借入金 - 37,360 33,560 26,360 24,734 19,222 15,453 13,744 13,738 13,659 15,176 13,767
一年内返済予定の長期借入金 - 96,364 79,941 72,706 50,558 49,839 53,724 64,813 65,580 78,812 91,117 82,739
流動負債合計 - 237,696 219,261 196,288 192,223 177,817 215,434 226,925 238,321 252,797 281,218 266,702
長期借入金 - 207,550 199,992 192,521 195,681 250,755 242,100 284,025 239,324 324,000 308,400 298,131
固定負債合計 - 250,554 262,229 270,380 300,853 368,710 338,090 376,086 335,415 426,063 398,440 369,649
総負債 - 488,250 481,490 466,668 493,076 546,527 553,524 603,012 573,736 678,860 679,659 636,352
資本金及び資本剰余金 - 79,293 79,629 79,524 79,524 85,827 87,544 109,785 108,996 108,996 108,996 108,996
利益剰余金 - 70,412 83,772 94,067 96,513 99,189 116,818 136,579 156,450 117,493 118,274 101,348
株主資本 119,252 164,495 174,820 191,079 193,065 199,339 209,536 246,788 266,704 244,670 259,831 249,713