エムティーアイ【9438】 業績推移・財務諸表

(単位:百万円) 4Q13 4Q14 4Q15 1Q16 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
現金同等物 - 4,783 11,609 11,197 10,651 11,342 12,613 8,926 9,801 9,293 10,134 9,570 9,414 9,441 10,504 12,469 13,557 12,938 12,422 12,743 12,678 12,725 13,354 12,949 15,812 15,336 15,540 12,722 12,591 11,055 12,098 12,623 12,764 13,801 13,721 12,109 13,427 14,617 14,829 15,027 15,241 16,871 17,817
売掛金 - 6,295 6,886 6,871 6,808 6,266 6,164 6,067 6,391 6,118 6,188 5,807 5,984 5,325 5,204 5,119 5,000 4,657 4,667 3,678 5,328 4,910 4,841 4,441 4,620 4,361 4,502 4,546 4,456 4,198 4,295 4,709 4,513 4,139 4,197 4,185 4,519 4,183 4,184 3,820 4,704 4,139 4,086
流動資産合計 - 12,183 20,211 19,116 18,388 18,545 20,052 16,141 17,273 16,395 17,367 16,699 16,512 16,126 16,764 18,731 19,576 18,761 18,469 18,234 19,377 19,218 19,744 18,842 21,738 21,219 21,263 18,482 18,136 17,705 18,779 18,916 18,225 19,077 18,940 17,375 18,795 20,050 20,153 20,045 20,933 22,411 23,213
有形固定資産 - 143 146 146 145 147 179 179 265 252 276 295 303 311 263 262 264 271 258 257 222 213 193 176 221 219 203 212 208 196 193 203 221 215 213 203 203 222 203 202 227 214 219
投資有価証券 - 813 796 1,045 908 874 1,054 2,635 2,327 2,484 2,438 3,027 3,520 3,608 3,309 2,574 3,009 5,294 4,977 5,145 4,640 4,857 4,536 4,552 4,688 4,517 4,512 4,077 3,901 3,742 3,675 3,667 4,002 4,072 4,081 4,445 4,594 4,636 4,467 4,519 4,626 4,626 4,691
固定資産合計 - 4,585 4,527 4,769 4,658 4,732 5,103 6,902 6,824 6,834 6,531 6,970 8,213 8,183 7,132 6,989 7,146 9,243 9,010 12,235 12,468 12,474 10,804 10,609 10,901 10,725 10,646 11,131 11,071 10,912 10,487 10,365 10,654 10,404 10,215 10,562 10,355 10,237 9,534 9,697 9,772 9,659 10,135
総資産 - 16,768 24,738 23,885 23,046 23,277 25,154 23,044 24,097 23,228 23,898 23,669 24,725 24,309 23,897 25,720 26,723 28,003 27,479 30,469 31,845 31,692 30,547 29,451 32,640 31,944 31,909 29,613 29,207 28,616 29,266 29,280 28,879 29,481 29,155 27,937 29,150 30,287 29,686 29,742 30,705 32,070 33,348
短期借入金 - - - - - - - - - - - - - - - - - - 2 2 - - - - - - - - 0 - - 50 9 37 - - - - - - - - -
一年内返済予定の長期借入金 - - 518 518 516 - - - 60 36 - - 3 3 - - - 4 14 14 451 451 451 451 451 451 451 452 451 451 751 751 751 750 747 744 740 737 737 737 737 737 737
流動負債合計 - 5,727 7,194 6,027 6,408 5,063 6,149 4,658 5,381 4,274 4,884 4,089 4,537 3,836 3,954 4,148 4,475 4,107 4,315 7,034 4,477 4,421 4,767 4,226 6,552 6,266 6,656 6,273 6,104 6,268 6,386 7,637 7,128 7,426 7,331 6,222 6,533 7,528 6,952 6,443 6,830 8,125 8,074
長期借入金 - 500 79 75 72 - - - 104 46 - - 6 5 - - - 15 52 49 3,137 3,025 2,882 2,769 2,656 2,543 2,430 2,342 2,204 2,090 3,178 2,991 2,802 2,616 2,431 2,247 2,062 1,878 1,693 1,509 1,325 1,140 956
固定負債合計 - 1,318 953 981 1,014 971 1,152 1,189 1,330 1,303 1,076 1,105 1,140 1,182 1,133 1,161 1,188 1,235 1,370 1,395 4,511 4,427 4,270 4,192 4,110 4,026 4,010 3,966 3,861 3,781 5,002 4,860 4,699 4,539 4,241 4,094 3,937 3,826 3,590 3,464 3,314 3,147 2,827
総負債 - 7,046 8,147 7,009 7,422 6,034 7,301 5,848 6,712 5,578 5,960 5,195 5,677 5,018 5,088 5,309 5,663 5,342 5,685 8,429 8,987 8,848 9,037 8,418 10,662 10,292 10,665 10,239 9,965 10,049 11,388 12,497 11,827 11,965 11,572 10,316 10,470 11,354 10,542 9,908 10,144 11,272 10,902
資本金及び資本剰余金 - 5,708 10,417 10,436 10,495 10,813 10,847 10,885 10,934 10,937 10,860 10,860 10,876 10,888 10,921 11,986 11,991 12,003 11,843 11,938 11,757 11,689 11,689 11,653 11,824 11,832 11,859 11,756 11,749 11,799 11,987 12,001 12,001 12,001 11,718 11,556 11,565 11,591 11,687 11,874 11,456 11,703 11,829
利益剰余金 - 4,306 6,300 6,543 7,270 8,031 8,728 8,960 8,776 9,029 9,311 9,694 10,047 10,351 10,081 10,186 10,504 11,627 10,989 10,869 11,881 11,978 10,707 10,489 8,852 8,735 8,665 6,848 6,718 6,066 5,224 4,194 4,458 4,886 5,143 5,333 6,262 6,506 6,626 6,410 7,563 7,367 8,710
株主資本 8,869 9,723 16,591 16,876 15,623 17,243 17,853 17,196 17,385 17,651 17,937 18,474 19,047 19,291 18,808 20,411 21,059 22,661 21,794 22,040 22,858 22,843 21,511 21,033 21,977 21,652 21,243 19,374 19,242 18,567 17,878 16,784 17,052 17,515 17,584 17,622 18,681 18,933 19,145 19,834 20,560 20,798 22,446