ソースネクスト【4344】 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 1Q25 2Q26
現金同等物 - 1,778 1,997 2,118 2,677 2,473 1,687 2,018 3,700 2,982 1,824 2,064 1,906 4,248 6,208 6,357 7,562 6,306 5,480 3,774 3,899 3,166 3,549 4,573 4,780 4,403 2,939 5,086 5,451 3,973 3,564 6,254 6,485 5,583 4,703 4,058 3,282 4,055 3,542 6,230 6,008 5,223 4,751
有価証券 - 499 499 499 499 499 499 - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -
売掛金 - - - - - - - 2,021 - 1,159 - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -
商品及び製品 - 82 117 153 129 182 525 239 152 160 205 208 300 339 478 1,267 1,328 1,674 2,100 3,221 3,093 3,424 3,878 4,202 4,331 4,726 5,403 5,060 4,247 4,025 3,822 3,778 3,346 3,023 2,867 2,772 2,495 2,400 2,804 3,505 2,647 2,646 2,745
流動資産合計 - 3,805 4,143 4,589 4,717 4,683 5,008 5,085 6,399 4,974 4,382 5,245 6,303 7,975 11,205 12,417 13,084 12,487 11,985 12,085 11,518 10,372 11,294 13,605 13,466 12,085 11,707 13,754 12,846 10,811 10,326 13,765 12,507 11,181 10,766 9,817 8,763 9,038 9,407 12,449 11,343 10,155 9,937
有形固定資産 - 22 21 28 27 51 310 299 286 280 272 257 247 235 226 218 203 189 185 170 157 141 132 117 105 90 91 80 99 88 86 82 77 73 69 149 140 121 110 102 101 87 75
投資有価証券 - 109 109 110 108 108 242 243 238 315 678 690 179 178 155 199 328 358 826 1,278 1,382 3,014 2,995 2,938 3,048 4,158 4,126 4,134 3,307 3,431 3,431 3,431 3,373 3,349 3,368 3,309 4,276 3,746 3,345 3,221 2,152 1,974 2,069
固定資産合計 - 1,239 1,157 1,372 1,331 1,583 1,934 1,934 3,474 4,241 4,502 4,470 3,947 4,019 3,983 4,127 4,315 4,231 4,726 5,343 5,511 7,135 6,964 6,856 6,866 8,284 8,160 8,207 7,135 7,225 7,244 7,235 7,132 7,117 7,578 7,564 8,049 7,554 7,235 6,990 5,867 5,645 5,625
総資産 - 5,045 5,301 5,961 6,048 6,266 6,942 7,019 9,873 9,214 8,884 9,715 10,250 11,994 15,187 16,544 17,399 16,717 16,711 17,428 17,030 17,508 18,257 20,461 20,332 20,369 19,867 21,961 19,981 18,035 17,570 21,000 19,639 18,298 18,344 17,380 16,811 16,592 16,641 19,439 17,209 15,800 15,563
短期借入金 - - - - - - - - 1,940 1,570 - - - - - - 100 - - - - 1,500 2,500 3,000 3,300 4,400 4,400 6,000 5,600 4,600 4,600 4,600 4,600 4,600 4,600 4,600 3,825 3,600 3,920 3,600 3,600 3,100 3,100
一年内返済予定の長期借入金 - - - - - - - - - 212 322 422 422 422 422 422 422 422 422 422 422 422 422 722 722 722 682 796 691 585 520 520 520 520 520 520 520 569 588 594 519 444 369
流動負債合計 - 974 844 1,171 1,106 1,140 1,998 1,755 4,444 3,089 1,704 1,984 2,250 1,969 2,393 3,205 4,087 3,505 3,515 4,230 3,986 4,696 5,536 6,632 6,539 7,385 7,030 8,802 8,256 7,081 7,036 7,519 7,405 7,045 7,699 7,163 6,329 6,237 7,290 6,584 6,165 5,667 5,613
長期借入金 - - - - - - - - - 786 1,248 1,542 1,437 1,331 1,226 1,120 1,015 909 804 698 593 487 382 1,476 1,296 1,115 975 1,779 1,649 1,519 1,389 2,260 2,129 1,999 1,869 1,739 1,609 1,430 1,281 1,333 1,259 1,185 1,112
固定負債合計 - 47 40 40 35 29 23 23 19 812 1,348 1,627 1,496 1,463 1,418 1,413 1,388 1,330 1,168 1,061 952 726 528 1,580 1,428 1,354 1,116 1,889 1,765 1,662 1,547 2,441 2,332 2,177 2,031 1,966 2,092 1,759 1,677 1,738 1,689 1,653 1,596
総負債 - 1,022 885 1,211 1,141 1,169 2,022 1,779 4,464 3,902 3,054 3,612 3,746 3,433 3,812 4,619 5,476 4,835 4,684 5,292 4,938 5,422 6,065 8,213 7,967 8,739 8,146 10,692 10,022 8,744 8,583 9,960 9,736 9,222 9,730 9,130 8,422 7,996 8,967 8,322 7,855 7,320 7,210
資本金及び資本剰余金 - 3,382 3,382 3,382 3,382 3,382 3,382 3,382 3,382 3,382 3,382 3,383 3,394 5,134 7,600 7,931 7,939 7,940 7,940 7,954 7,957 7,958 7,958 7,960 7,961 7,961 7,965 7,967 9,205 9,205 9,211 11,034 11,034 11,034 11,037 11,249 11,249 12,230 12,621 15,005 15,605 15,605 15,605
利益剰余金 - 609 993 1,322 1,479 1,668 1,926 2,237 2,401 2,296 2,538 2,796 3,471 3,331 3,681 3,907 3,898 3,866 4,007 4,074 4,035 4,008 4,126 4,197 4,192 3,448 3,503 3,157 413 -337 -650 -919 -1,890 -2,661 -3,040 -3,550 -4,060 -4,605 -5,741 -5,979 -7,957 -8,601 -8,721
株主資本 2,788 4,023 4,415 4,749 4,906 5,096 4,920 5,240 5,409 5,313 5,830 6,103 6,504 8,561 11,375 11,925 11,923 11,882 12,027 12,136 12,092 12,085 12,193 12,248 12,365 11,629 11,721 11,269 9,959 9,291 8,987 11,039 9,903 9,076 8,614 8,251 8,390 8,596 7,674 11,116 9,354 8,479 8,353