マルヨシセンター【7515】 業績推移・財務諸表

(単位:百万円) 4Q14 4Q15 2Q16 3Q16 4Q16 1Q17 2Q17 3Q17 4Q17 1Q18 2Q18 3Q18 4Q18 1Q19 2Q19 3Q19 4Q19 1Q20 2Q20 3Q20 4Q20 1Q21 2Q21 3Q21 4Q21 1Q22 2Q22 3Q22 4Q22 1Q23 2Q23 3Q23 4Q23 1Q24 2Q24 3Q24 4Q24 1Q25 2Q25 3Q25 4Q25 1Q26 2Q26
現金同等物 - 1,711 1,318 1,429 992 1,595 1,328 1,288 1,246 1,754 1,496 1,334 1,183 1,511 1,332 1,353 1,225 1,796 2,288 1,831 1,719 2,950 1,577 2,031 2,958 2,478 2,082 1,872 1,240 1,430 1,393 1,113 1,128 1,388 1,309 1,106 1,110 1,195 1,442 1,167 653 1,064 1,248
有価証券 - 30 - - 30 - - - 30 - - - - - - - - - - - 30 - - - - - - - - - - - - - - - - - - - - - -
流動資産合計 - 3,911 3,619 3,648 3,004 3,652 3,391 3,489 3,164 3,761 3,394 3,294 2,922 3,352 3,159 3,261 2,976 3,483 4,118 3,816 3,577 4,881 3,528 3,936 4,642 4,337 3,989 3,756 2,986 3,405 3,450 3,190 2,990 3,479 3,469 3,258 3,050 3,496 4,023 3,813 3,070 3,596 3,924
有形固定資産 - 13,417 13,151 13,051 12,784 12,550 12,676 12,596 12,478 12,412 12,221 12,142 12,000 12,506 12,164 12,082 11,854 12,107 12,063 11,952 11,808 11,835 11,704 11,638 11,409 11,429 11,326 11,222 11,127 11,078 11,063 10,977 10,878 10,817 10,816 10,759 10,947 10,853 10,787 11,023 10,884 10,847 10,956
投資有価証券 - 538 521 541 430 471 440 477 489 462 454 453 449 449 435 401 337 319 254 289 237 263 329 330 262 283 292 274 302 277 271 279 297 276 312 319 323 320 279 293 289 293 339
固定資産合計 - 16,025 15,667 15,578 15,272 14,883 14,982 14,907 14,793 14,717 14,530 14,444 14,299 14,899 14,560 14,436 14,100 14,496 14,439 14,372 14,084 14,147 14,044 13,979 13,482 13,554 13,412 13,338 13,485 13,425 13,402 13,271 13,153 13,053 13,020 13,004 13,142 13,073 13,109 13,324 13,127 13,110 13,221
総資産 - 19,946 19,293 19,232 18,282 18,539 18,376 18,398 17,960 18,481 17,927 17,740 17,223 18,256 17,724 17,703 17,083 17,986 18,564 18,195 17,667 19,034 17,577 17,922 18,130 17,899 17,408 17,101 16,478 16,835 16,858 16,466 16,148 16,536 16,493 16,265 16,195 16,572 17,134 17,139 16,199 16,708 17,145
短期借入金 - 635 556 1,530 1,255 850 770 1,250 1,700 1,100 830 750 1,300 600 600 1,000 1,450 950 - 300 - - - - - - - - 150 - - 150 250 - - - 550 900 - 450 1,080 20 125
一年内返済予定の長期借入金 - 3,019 3,082 2,925 2,911 3,056 2,915 2,768 2,603 2,712 2,689 2,744 2,675 2,764 2,497 2,430 2,351 2,393 2,629 2,555 2,325 2,432 2,249 2,298 2,346 2,230 2,232 2,233 2,180 2,204 2,165 2,171 2,145 2,161 1,958 1,953 1,972 1,785 1,835 1,804 1,665 1,758 1,832
流動負債合計 - 9,256 8,293 8,869 8,611 8,202 8,141 8,150 7,983 7,950 7,860 7,480 7,510 7,400 7,296 7,259 7,325 7,331 8,439 8,203 7,152 8,369 6,818 6,631 7,430 6,367 6,404 6,245 6,025 6,349 6,656 6,182 6,024 6,352 6,442 6,162 6,415 6,763 7,783 8,057 6,611 7,355 7,998
長期借入金 - 6,064 6,747 6,136 5,701 6,720 6,563 6,602 6,254 6,849 6,567 6,757 6,204 7,089 6,929 6,813 6,373 6,844 6,421 6,317 6,315 6,300 6,239 6,507 6,012 6,692 6,086 5,987 5,464 5,606 5,354 5,462 5,203 5,313 5,143 5,178 4,601 4,645 4,317 4,157 4,540 4,304 4,008
固定負債合計 - 8,194 8,678 7,945 7,785 8,370 8,234 8,180 7,816 8,419 8,123 8,250 7,712 8,875 8,711 8,728 8,289 9,102 8,698 8,528 8,462 8,409 8,331 8,705 8,128 8,879 8,258 8,052 7,493 7,497 7,301 7,319 7,056 7,086 6,932 6,905 6,524 6,500 6,133 5,913 6,355 6,074 5,840
総負債 - 17,450 16,972 16,813 16,396 16,572 16,375 16,330 15,799 16,369 15,983 15,730 15,222 16,274 16,007 15,987 15,614 16,433 17,137 16,731 15,614 16,777 15,149 15,336 15,557 15,246 14,663 14,297 13,519 13,847 13,958 13,501 13,081 13,438 13,375 13,067 12,940 13,263 13,917 13,969 12,966 13,430 13,838
資本金及び資本剰余金 - 1,891 1,891 1,891 1,891 1,891 1,891 1,891 1,891 1,891 1,891 1,891 1,891 1,891 1,891 1,891 1,891 1,891 1,630 1,630 1,592 1,592 1,592 1,592 1,592 1,592 1,592 1,592 1,592 1,592 1,592 1,592 1,592 1,592 1,592 1,593 1,595 1,595 1,595 1,595 1,595 1,595 1,595
利益剰余金 - 846 908 980 516 565 591 625 675 639 471 533 513 490 224 243 -35 56 209 217 366 547 718 869 818 903 987 1,056 1,208 1,252 1,161 1,215 1,321 1,360 1,358 1,410 1,428 1,465 1,389 1,321 1,414 1,444 1,429
株主資本 2,404 2,496 2,322 2,419 1,885 1,967 2,001 2,068 2,160 2,111 1,943 2,009 2,000 1,981 1,717 1,716 1,468 1,553 1,427 1,464 2,052 2,257 2,428 2,586 2,573 2,653 2,746 2,804 2,959 2,989 2,901 2,965 3,068 3,098 3,119 3,198 3,256 3,309 3,216 3,169 3,233 3,278 3,307