東邦亜鉛【5707】 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 - 8,628 9,801 10,368 13,802 10,248 8,207 5,934 7,929 9,536 13,409 20,979
売掛金 - 15,953 13,807 16,805 16,814 14,027 10,655 14,061 17,594 16,128 15,502 9,816
商品及び製品 - 14,082 13,196 11,730 10,713 10,907 9,157 7,582 10,726 9,490 10,322 11,719
流動資産合計 - 70,150 61,610 71,491 78,643 72,984 59,301 56,979 82,613 76,618 72,470 74,896
有形固定資産 - 50,052 44,110 41,598 40,949 38,945 39,038 35,978 35,271 36,068 30,994 21,448
投資有価証券 - 3,804 3,172 3,617 3,572 2,995 4,943 6,981 10,246 10,698 1,081 156
固定資産合計 - 81,819 60,549 58,209 59,228 57,247 58,031 56,655 63,183 66,381 35,965 24,402
総資産 - 151,970 122,160 129,700 137,872 130,231 117,333 113,635 145,796 142,999 108,436 99,299
買掛金 - 6,686 6,344 6,709 7,728 7,067 6,890 6,217 10,720 7,749 6,955 6,974
短期借入金 - 16,853 14,749 14,592 11,462 11,828 24,101 23,883 30,100 32,835 50,727 -
一年内返済予定の長期借入金 - 7,800 7,339 5,377 9,548 11,137 7,848 7,586 10,192 6,419 7,843 11,010
流動負債合計 - 46,210 37,674 38,240 42,699 47,844 50,690 46,589 72,404 62,433 73,722 23,040
長期借入金 - 32,332 31,160 30,853 23,608 18,866 20,486 16,431 18,153 21,118 17,225 62,500
固定負債合計 - 41,218 40,297 39,480 32,792 26,885 30,334 25,581 27,427 30,046 32,007 66,176
総負債 - 87,428 77,971 77,721 75,492 74,730 81,024 72,171 99,831 92,480 105,730 89,216
資本金及び資本剰余金 - 24,506 24,506 24,506 24,506 24,506 24,506 24,506 24,506 24,506 24,493 31,996
利益剰余金 - 25,226 8,054 16,189 25,211 20,963 1,648 7,546 14,787 14,563 -32,907 -32,432
株主資本 59,774 64,542 44,188 51,979 62,380 55,501 36,309 41,464 45,964 50,519 2,705 10,082