日機装【6376】 業績推移・財務諸表

(単位:百万円) 2014/3 2015/3 2015/12 2016/12 2017/12 2018/12 2019/12 2020/12 2021/12 2022/12 2023/12 2024/12
現金同等物 - 31,957 27,992 26,731 16,919 8,324 20,303 28,570 29,027 48,462 32,304 34,663
有価証券 - - - - - 1,107 468 487 331 343 583 2,047
売掛金 - 40,086 41,353 40,792 - 54,077 53,256 51,467 56,532 53,628 62,674 70,644
商品及び製品 - 9,456 10,179 10,394 5,021 5,328 35,523 40,300 46,777 49,100 56,470 57,501
流動資産合計 - 101,799 103,191 101,015 68,943 66,581 113,020 124,562 138,940 157,955 160,650 180,137
有形固定資産 - 31,716 31,770 33,859 14,111 13,831 41,849 48,480 55,209 50,971 53,598 53,369
投資有価証券 - 14,467 12,668 11,696 12,822 11,000 11,241 11,506 11,318 11,553 13,501 16,700
固定資産合計 - 79,387 74,455 74,441 123,084 128,536 139,964 148,332 160,022 128,646 135,578 145,426
総資産 - 181,187 177,646 175,457 192,028 249,788 252,984 272,894 298,963 286,602 296,228 325,563
買掛金 - 16,483 18,158 19,368 - 27,380 28,231 26,769 29,241 29,138 29,154 28,915
短期借入金 - 11,488 13,479 13,795 39,260 20,260 820 790 734 10,835 16,482 9,105
一年内返済予定の長期借入金 - 9,372 9,342 3,997 7,796 5,305 21,680 20,992 43,472 8,238 14,358 6,902
流動負債合計 - 51,233 52,971 51,886 83,961 50,812 67,625 67,333 96,686 71,235 101,696 82,653
長期借入金 - 34,341 31,944 32,146 39,940 73,108 89,588 105,786 97,515 72,815 59,356 93,338
固定負債合計 - 55,489 53,531 58,036 43,528 76,085 101,946 117,381 108,076 99,602 68,243 100,904
総負債 - 106,722 106,503 109,923 127,489 171,450 169,571 184,715 204,763 170,837 169,940 183,558
資本金及び資本剰余金 - 17,245 17,207 17,244 17,247 34,860 34,793 34,775 34,775 34,764 25,205 25,125
利益剰余金 - 48,997 49,794 46,663 44,330 49,246 65,063 70,501 69,509 81,702 89,724 95,912
株主資本 67,372 74,464 71,142 65,533 64,538 68,220 83,413 88,179 94,199 115,764 126,288 142,005