サンゲツ【8130】 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 - 28,238 29,802 25,945 22,482 27,220 30,756 25,719 18,347 24,817 25,096 33,727
有価証券 - 13,300 300 1,800 2,003 300 4,125 300 300 300 300 300
売掛金 - 38,543 38,461 40,186 38,289 37,927 34,751 30,735 - - - -
商品及び製品 - 10,543 10,311 13,797 13,996 14,597 15,083 14,267 14,700 18,166 18,380 19,300
流動資産合計 - 99,613 88,825 96,200 95,787 97,674 100,591 89,469 87,525 104,843 107,463 117,011
有形固定資産 - 28,579 31,003 35,103 36,627 35,688 35,673 40,516 35,285 36,825 39,909 41,665
投資有価証券 - 10,025 12,489 11,583 11,662 12,237 10,222 10,502 8,656 6,182 8,128 8,203
固定資産合計 - 43,462 50,395 67,517 75,207 73,200 63,509 69,356 60,417 59,610 63,287 66,848
総資産 - 143,076 139,220 163,717 170,995 170,875 164,101 158,826 147,943 164,454 170,750 183,859
買掛金 - 12,007 12,200 14,741 14,391 13,978 12,235 12,755 13,810 15,410 16,131 18,157
短期借入金 - - - 489 547 1,298 1,457 1,169 862 801 5,711 9,098
一年内返済予定の長期借入金 - 23 - 500 500 500 11,383 6,092 1,101 7,801 - -
流動負債合計 - 18,967 22,716 32,578 34,275 39,389 50,701 43,790 40,758 56,565 53,273 58,276
長期借入金 - 69 - 12,719 17,404 18,925 7,638 8,660 7,734 - - 2,000
固定負債合計 - 5,350 7,986 22,247 30,573 31,342 19,182 21,375 18,857 12,063 10,767 11,800
総負債 - 24,317 30,702 54,825 64,848 70,732 69,883 65,165 59,616 68,629 64,040 70,077
資本金及び資本剰余金 - 33,621 33,621 33,621 33,621 33,616 33,616 33,389 33,389 30,766 30,791 30,834
利益剰余金 - 83,033 76,185 77,177 73,967 67,171 62,853 61,387 54,537 64,138 70,799 74,555
株主資本 119,887 118,758 108,517 108,892 106,146 100,143 94,217 93,660 88,326 95,825 106,709 113,781