OBARA GROUP【6877】 業績推移・財務諸表

(単位:百万円) 2013/9 2014/9 2015/9 2016/9 2017/9 2018/9 2019/9 2020/9 2021/9 2022/9 2023/9 2024/9 2025/9
現金同等物 - 20,440 17,205 18,475 18,575 21,124 23,147 21,267 26,635 36,829 39,202 42,315 26,118
有価証券 - 124 8,363 102 2,720 1,348 1,301 44 63 42 88 95 61
売掛金 - 16,540 16,439 14,708 17,281 18,718 12,738 12,223 12,326 - - - -
商品及び製品 - 6,767 6,904 3,738 5,420 6,057 5,775 5,647 5,923 8,641 7,310 7,286 10,629
流動資産合計 - 49,634 56,041 42,930 51,121 56,591 55,794 50,683 55,948 72,831 75,383 79,806 69,243
有形固定資産 - 7,936 8,659 9,842 12,282 13,182 13,083 13,780 14,278 15,711 15,457 17,242 22,768
投資有価証券 - 1,181 1,603 1,481 2,025 1,905 1,677 1,302 1,489 1,202 1,155 1,442 1,681
固定資産合計 - 10,753 11,680 13,109 16,217 17,573 17,286 21,623 22,465 19,515 19,240 21,001 34,586
総資産 - 60,388 67,722 56,039 67,339 74,164 73,081 72,306 78,414 92,347 94,623 100,808 103,830
買掛金 - 4,897 3,841 3,762 4,882 5,540 4,603 3,458 4,340 4,829 3,983 4,580 5,634
短期借入金 - 803 756 400 443 434 436 194 - - - - -
一年内返済予定の長期借入金 - 17 16 13 15 15 68 104 130 139 153 85 82
流動負債合計 - 16,990 14,661 10,738 12,825 14,477 19,046 11,261 13,328 17,458 14,888 15,651 16,838
長期借入金 - 95 137 102 103 394 279 815 666 572 475 382 289
固定負債合計 - 3,229 10,718 10,350 10,863 11,599 3,928 10,621 10,911 11,232 5,624 11,356 12,311
総負債 - 20,220 25,380 21,088 23,689 26,077 22,974 21,882 24,240 28,691 20,512 27,007 29,150
資本金及び資本剰余金 - 4,298 4,298 4,298 4,298 4,298 4,298 4,298 1,927 1,927 4,295 4,295 1,925
利益剰余金 - 31,340 37,397 41,919 46,591 52,597 58,175 61,296 65,450 69,897 74,027 77,884 82,205
株主資本 32,812 40,168 42,342 34,951 43,650 48,087 50,106 50,424 54,174 63,656 74,111 73,800 74,679