ステップ【9795】 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 - 2,563 3,136 3,315 3,267 2,522 3,108 3,332 3,257 2,640 3,669 3,783 4,103 3,412 4,197 5,136 5,049 4,211 4,839 5,388 5,517 6,694 7,878 8,402 8,722 7,482 8,647 8,644 8,990 7,643 9,354 9,840 9,702 9,271 9,726 9,520 9,957 9,063 9,674 9,677 10,055 8,687 7,844
現金 + 有価証券 - 2,563 3,136 3,315 3,267 2,522 3,108 3,332 3,257 2,640 3,669 3,783 4,103 3,412 4,197 5,136 5,049 4,211 4,839 5,388 5,517 6,694 7,878 8,402 8,722 7,482 8,647 8,644 8,990 7,643 9,354 9,840 9,702 9,271 9,726 9,520 9,957 9,063 9,674 9,677 10,055 8,687 7,844
流動資産合計 - 2,823 3,405 3,691 3,674 2,877 3,388 3,722 3,577 2,986 3,936 4,200 4,417 3,808 4,504 5,443 5,328 4,532 5,131 5,715 5,789 7,084 8,215 8,866 9,142 7,856 8,968 9,122 9,425 8,016 9,725 10,400 10,280 9,736 10,158 10,438 10,828 9,777 10,257 10,543 10,988 9,550 8,589
有形固定資産 - 13,857 14,479 14,580 14,826 15,321 15,443 15,662 15,852 15,854 16,088 16,191 16,126 16,145 16,278 16,376 16,567 16,853 16,938 16,983 17,158 17,055 16,989 16,962 16,918 16,890 16,909 16,872 16,946 16,918 16,848 16,836 16,920 16,326 16,271 16,259 16,205 16,123 16,029 15,986 15,915 15,842 15,993
投資有価証券 - 20 24 - - - 15 - - - 19 - - - 20 - - - 14 - - - 13 - - - 17 - - - 16 - - - 1,165 - - - 1,766 - - - 4,700
固定資産合計 - 14,491 15,131 15,234 15,481 15,974 16,103 16,319 16,514 16,522 16,781 16,881 16,817 16,847 16,970 17,200 17,322 17,754 17,788 17,887 17,969 17,933 17,822 17,881 17,769 17,857 17,822 17,844 17,840 17,897 17,848 17,950 18,460 17,977 18,476 18,608 18,441 18,662 19,003 19,043 18,878 19,387 21,982
総資産 - 17,314 18,535 18,925 19,155 18,850 19,491 20,041 20,090 19,508 20,717 21,081 21,234 20,655 21,474 22,643 22,650 22,286 22,919 23,602 23,758 25,017 26,037 26,746 26,912 25,713 26,790 26,966 27,265 25,912 27,573 28,350 28,740 27,713 28,634 29,046 29,269 28,439 29,260 29,586 29,866 28,937 30,571
一年内返済予定の長期借入金 - 631 588 542 512 549 600 581 572 572 651 588 525 462 424 657 599 530 455 421 386 1,887 1,871 1,838 1,795 1,681 1,506 1,338 1,159 55 116 104 104 104 104 104 104 104 136 119 102 86 70
流動負債合計 - 1,750 1,730 1,954 1,920 1,719 1,674 2,094 1,866 1,510 1,866 2,055 1,910 1,539 1,743 2,162 2,013 1,733 1,612 2,020 2,058 2,660 3,058 3,596 3,400 3,222 3,441 3,273 2,895 1,537 2,041 2,237 1,979 1,873 2,013 2,371 2,140 1,940 2,376 2,287 2,132 1,743 2,370
長期借入金 - 909 1,051 923 806 874 924 781 638 495 643 536 430 323 219 877 756 645 542 456 369 1,736 1,518 1,338 1,159 55 11 - - - 245 219 192 166 140 114 88 62 104 86 68 51 33
固定負債合計 - 1,233 1,383 1,260 1,158 1,236 1,304 1,153 1,008 866 1,015 912 810 702 612 1,273 1,150 1,038 944 857 768 2,132 1,918 1,745 1,574 484 474 465 484 491 733 713 710 683 684 663 638 608 647 633 612 595 778
総負債 - 2,984 3,114 3,215 3,079 2,955 2,979 3,248 2,875 2,377 2,882 2,969 2,721 2,242 2,356 3,435 3,164 2,772 2,557 2,878 2,828 4,792 4,976 5,342 4,974 3,707 3,916 3,738 3,380 2,028 2,775 2,950 2,690 2,557 2,698 3,034 2,779 2,549 3,023 2,921 2,745 2,339 3,148
資本金及び資本剰余金 - 3,851 3,851 3,851 3,851 3,851 3,851 3,851 3,851 3,851 3,851 3,851 3,851 3,851 3,851 3,851 3,851 3,861 3,861 3,861 3,861 3,861 3,861 3,861 3,861 3,861 3,861 3,861 3,861 3,861 3,899 3,899 3,910 3,910 3,910 3,910 3,910 3,910 3,917 3,917 3,919 3,919 3,953
利益剰余金 - 10,477 11,565 11,853 12,225 12,150 12,767 13,045 13,467 13,383 14,087 14,360 14,764 14,664 15,369 15,652 15,930 15,870 16,718 17,079 17,288 16,583 17,418 17,762 18,292 18,361 19,228 19,583 20,240 20,238 20,999 21,597 22,210 21,847 22,624 22,857 23,407 23,148 23,751 24,268 24,768 24,472 25,172
株主資本 13,374 14,331 15,421 15,710 16,077 15,895 16,513 16,794 17,215 17,131 17,835 18,112 18,513 18,413 19,118 19,208 19,486 19,514 20,362 20,724 20,930 20,225 21,061 21,405 21,937 22,005 22,874 23,228 23,885 23,884 24,799 25,399 26,050 25,156 25,936 26,012 26,489 25,890 26,237 26,665 27,122 26,598 27,423
有利子負債合計 - 1,541 1,639 1,465 1,318 1,424 1,524 1,362 1,210 1,067 1,294 1,125 955 786 643 1,535 1,355 1,176 998 877 756 3,624 3,391 3,177 2,955 1,736 1,518 1,338 1,159 55 361 323 297 271 245 219 192 166 240 206 171 137 104
純有利子負債 - -1,022 -1,497 -1,850 -1,949 -1,098 -1,583 -1,970 -2,046 -1,573 -2,374 -2,658 -3,147 -2,626 -3,554 -3,601 -3,693 -3,035 -3,840 -4,510 -4,761 -3,070 -4,487 -5,225 -5,767 -5,745 -7,128 -7,305 -7,831 -7,588 -8,992 -9,517 -9,404 -8,999 -9,481 -9,301 -9,764 -8,897 -9,434 -9,471 -9,884 -8,549 -7,740
DEレシオ(%) - 10.76 10.63 9.33 8.2 8.96 9.24 8.11 7.03 6.23 7.26 6.21 5.16 4.27 3.37 7.99 6.96 6.03 4.9 4.23 3.61 17.92 16.1 14.84 13.47 7.89 6.64 5.76 4.85 0.23 1.46 1.27 1.14 1.08 0.95 0.84 0.73 0.64 0.92 0.77 0.63 0.52 0.38