ハリマ化成グループ【4410】 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 - 5,442 5,886 4,113 3,711 3,353 4,007 3,479 5,367 6,301 6,851 4,746
有価証券 - - - - - - - 635 1,264 - - -
売掛金 - 19,856 18,993 17,931 20,254 21,525 17,574 17,464 20,148 22,314 21,846 20,812
商品及び製品 - 6,922 6,105 5,380 5,757 5,866 5,829 5,463 7,071 8,280 8,593 10,736
流動資産合計 - 42,790 38,935 35,118 37,776 38,152 36,483 35,567 44,238 49,791 53,588 52,143
有形固定資産 - 23,634 23,190 22,811 22,068 22,037 23,115 22,451 23,402 27,118 28,498 32,383
投資有価証券 - 6,644 6,352 7,207 7,721 9,597 8,895 8,708 8,863 8,967 9,992 9,292
固定資産合計 - 32,465 31,838 32,234 31,996 34,719 34,912 33,823 34,667 42,648 44,995 47,901
総資産 - 75,256 70,772 67,353 69,772 72,871 71,395 69,390 78,905 92,439 98,583 100,044
買掛金 - 9,971 7,879 8,348 8,833 9,020 8,863 8,081 10,586 10,293 10,725 10,980
短期借入金 - 8,933 8,186 4,759 10,816 13,423 12,384 8,626 7,725 18,350 29,925 28,071
一年内返済予定の長期借入金 - 1,241 2,341 632 2,711 1,614 1,327 434 312 7,099 1,322 395
流動負債合計 - 24,723 22,382 17,555 26,237 28,529 26,568 20,902 23,150 41,657 47,690 45,878
長期借入金 - 12,441 11,743 10,484 2,358 2,393 3,251 7,727 12,662 6,185 6,200 11,743
固定負債合計 - 17,453 17,028 15,984 7,437 6,531 7,081 11,046 15,651 9,962 10,012 16,154
総負債 - 42,176 39,410 33,540 33,674 35,059 33,649 31,948 38,801 51,619 57,702 62,033
資本金及び資本剰余金 - 19,757 19,757 19,757 19,780 19,781 19,781 19,778 19,773 19,760 19,755 18,621
利益剰余金 - 8,475 9,334 11,366 13,573 16,950 18,201 18,337 19,128 19,016 16,836 16,561
株主資本 31,466 33,079 31,362 33,813 36,098 37,811 37,746 37,442 40,104 40,820 40,881 38,010