キヤノンマーケティングジャパン【8060】 業績推移・財務諸表

(単位:百万円) 2013/12 2014/12 2015/12 2016/12 2017/12 2018/12 2019/12 2020/12 2021/12 2022/12 2023/12 2024/12 2025/12
現金同等物 - 36,107 36,773 76,785 66,479 65,071 53,993 59,631 67,528 84,132 88,190 109,226 159,573
有価証券 - 84,500 62,800 30,500 70,500 70,500 500 500 500 500 1,500 1,500 500
売掛金 - 128,473 125,906 124,475 125,626 117,041 112,666 105,328 107,367 110,431 111,649 119,016 126,624
商品及び製品 - 26,471 28,327 28,270 32,076 31,182 33,281 27,091 34,578 37,897 39,149 41,423 39,681
流動資産合計 - 339,596 347,542 362,141 397,506 387,244 377,403 380,349 396,082 419,708 418,611 332,185 339,646
有形固定資産 - 100,059 99,310 96,701 75,090 71,987 82,813 83,729 85,154 85,276 85,024 88,101 86,797
投資有価証券 - 6,292 7,789 7,422 9,027 7,985 11,037 11,302 17,353 13,312 16,314 17,771 21,971
固定資産合計 - 140,151 138,959 135,585 113,325 111,545 126,295 126,255 130,336 124,032 138,755 192,406 224,780
総資産 - 479,747 486,502 497,727 510,832 498,790 503,698 506,604 526,418 543,740 557,366 524,591 564,426
買掛金 - 101,337 101,834 102,662 100,940 75,831 51,542 44,107 46,323 47,376 45,552 50,124 52,125
短期借入金 - 32,250 - - 147 - - - - - - 1,100 1,100
一年内返済予定の長期借入金 - - - - - - - - - - - 209 209
流動負債合計 - 164,770 159,678 156,966 157,398 129,903 120,023 108,440 107,109 108,062 110,590 123,539 125,081
長期借入金 - - - - - - - - - - - 1,699 1,489
固定負債合計 - 44,623 49,385 59,841 55,911 65,317 58,582 52,049 44,632 35,305 11,266 17,350 25,530
総負債 - 209,394 209,064 216,808 213,310 195,220 178,606 160,490 151,741 143,368 121,856 140,889 150,612
資本金及び資本剰余金 - 156,122 156,123 156,123 156,123 156,123 156,123 156,117 156,127 156,130 156,030 156,013 156,013
利益剰余金 - 143,864 151,036 163,363 176,911 189,957 202,783 188,481 208,824 233,354 256,880 200,928 226,048
株主資本 257,075 270,352 277,438 280,919 297,522 303,570 325,092 346,114 374,676 400,372 435,509 383,701 413,814