セイコーグループ【8050】 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 - 41,292 39,131 35,355 34,229 33,844 26,112 32,611 30,740 36,324 32,683 39,429
売掛金 - 44,755 41,623 39,730 38,109 37,456 34,397 37,185 - - - -
商品及び製品 - 42,012 42,081 43,514 38,381 38,119 42,964 42,365 42,847 49,750 49,683 46,846
流動資産合計 - 164,901 159,649 153,925 142,488 138,989 138,123 150,039 154,786 173,410 174,694 174,183
有形固定資産 - 96,630 94,934 95,998 89,498 88,640 94,044 103,177 105,100 111,149 116,037 112,995
投資有価証券 - 48,116 42,407 48,131 46,774 45,913 38,759 41,463 43,536 45,490 56,374 53,123
固定資産合計 - 168,799 169,466 174,931 165,102 164,047 161,867 169,632 172,747 182,505 201,568 195,053
総資産 - 333,701 329,115 328,857 307,590 303,036 299,990 319,671 327,533 355,915 376,262 369,236
買掛金 - 26,019 24,267 21,196 24,921 26,449 21,869 19,310 21,027 18,790 21,500 21,238
短期借入金 - 43,585 39,565 49,468 49,916 49,610 59,140 72,611 63,709 72,598 64,350 50,547
一年内返済予定の長期借入金 - 35,771 35,342 30,038 21,476 19,698 16,843 17,315 23,719 22,117 21,727 23,065
流動負債合計 - 145,118 139,789 136,767 134,469 132,972 136,158 145,679 154,413 162,157 165,460 149,628
長期借入金 - 54,498 49,811 54,055 40,075 35,106 33,637 35,263 28,752 37,525 31,674 33,996
固定負債合計 - 95,993 86,633 84,928 67,950 59,647 59,558 60,909 51,494 62,009 59,467 61,592
総負債 - 241,112 226,423 221,696 202,420 192,620 195,717 206,589 205,908 224,166 224,927 211,221
資本金及び資本剰余金 - 17,414 17,246 17,245 17,245 17,245 17,245 17,245 17,245 17,245 17,245 17,256
利益剰余金 - 47,765 57,323 59,535 67,975 74,124 74,418 75,909 79,075 81,520 88,465 98,164
株主資本 64,766 92,589 102,692 107,161 105,170 110,415 104,273 113,082 121,624 131,748 151,334 158,014