| (単位:千円) | 2014/8 | 2015/8 | 2016/8 | 2017/8 | 2018/8 | 2019/8 | 2020/8 | 2021/8 | 2022/8 | 2023/8 | 2024/8 | 2025/8 |
|---|---|---|---|---|---|---|---|---|---|---|---|---|
| 減価償却費 | 52,945 | 66,068 | 75,428 | 89,491 | 92,685 | 84,112 | 75,296 | 60,701 | 15,500 | 12,180 | 10,530 | 12,411 |
| 営業キャッシュフロー | 291,186 | 252,777 | 288,078 | 17,411 | 90,769 | 63,768 | -385,192 | 104,840 | -154,784 | -339,684 | 166,264 | -100,375 |
| 資本的支出 | -17,318 | -6,182 | -13,516 | -60,572 | -42,254 | -115,152 | -29,463 | -12,557 | -11,244 | -21,315 | -16,947 | -4,889 |
| 投資キャッシュフロー | 51,128 | -213,604 | -36,710 | -109,345 | 30,281 | 28,957 | 199,101 | -83,244 | -73,701 | -50,822 | 296,373 | 34,608 |
| 配当金の支払額 | -39,917 | -40,393 | -40,237 | -48,275 | -56,150 | -48,238 | -48,447 | -32,261 | -32,054 | -24,346 | -135 | -40,132 |
| 自己株式の取得による支出 | -96 | -95 | -262 | -394 | -399 | -85 | -72 | - | -40 | -67 | -64 | - |
| 長期借入れによる収入 | 300,000 | - | 292,000 | - | 250,000 | 190,000 | 150,000 | 500,000 | 300,000 | 250,000 | 300,000 | 300,000 |
| 長期借入金の返済による支出 | -105,036 | -104,976 | -624,428 | -112,968 | -115,507 | -214,609 | -116,696 | -192,696 | -223,696 | -274,637 | -297,085 | -278,666 |
| 財務キャッシュフロー | -120,899 | -32,282 | -331,171 | 21,642 | -75,497 | 48,450 | 195,719 | 114,906 | 74,208 | 230,948 | -240,062 | -68,798 |