西華産業【8061】 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 - 15,703 13,211 14,210 15,147 12,957 15,062 15,763 17,334 10,653 10,428 16,829
有価証券 - 359 211 310 329 483 189 157 157 100 100 100
売掛金 - 36,927 35,507 35,427 39,564 37,605 38,693 36,159 36,029 35,809 53,475 58,664
商品及び製品 - 1,954 3,211 3,334 2,573 4,426 4,283 6,089 5,362 8,216 7,805 11,470
流動資産合計 - 62,341 73,061 99,771 81,111 68,878 79,417 81,371 89,746 61,429 95,599 105,833
有形固定資産 - 2,173 3,297 4,845 4,534 4,606 2,473 2,816 2,743 4,591 4,658 4,994
投資有価証券 - 11,027 9,953 11,446 11,028 10,598 9,400 11,271 10,439 12,052 16,413 16,922
固定資産合計 - 15,073 16,366 18,483 17,359 16,863 13,251 16,087 15,119 18,561 22,943 23,699
総資産 - 77,414 89,427 118,254 98,470 85,742 92,668 97,458 104,865 79,990 118,543 129,533
買掛金 - 30,804 30,870 30,038 34,105 31,474 32,883 32,730 31,602 31,417 44,588 55,287
短期借入金 - 6,502 7,009 6,608 6,790 6,897 7,026 6,365 5,506 2,006 7 11
一年内返済予定の長期借入金 - - 1,819 - - - - 1,200 - - - -
流動負債合計 - 44,899 60,015 84,201 63,911 51,500 62,141 64,536 70,409 40,473 70,146 77,119
長期借入金 - 1,860 65 2,064 2,116 2,147 1,963 53 27 23 18 21
固定負債合計 - 4,925 2,926 5,411 5,569 5,175 4,616 3,032 3,354 3,781 5,216 4,746
総負債 - 49,825 62,941 89,613 69,481 56,675 66,757 67,568 73,764 44,254 75,362 81,865
資本金及び資本剰余金 - 8,825 8,825 8,825 8,825 8,825 8,825 8,825 8,825 8,768 8,768 8,825
利益剰余金 - 15,092 15,505 16,675 16,633 17,508 15,738 17,907 18,734 22,813 25,992 31,613
株主資本 24,605 27,589 26,486 28,641 28,988 29,066 25,911 29,889 31,101 35,736 43,180 47,667