|
(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
|
-
|
4,652
|
5,460
|
5,844
|
6,470
|
7,617
|
7,756
|
7,689
|
6,755
|
6,260
|
6,959
|
5,794
|
|
有価証券
|
-
|
800
|
300
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
|
現金 + 有価証券
|
-
|
5,452
|
5,760
|
5,844
|
6,470
|
7,617
|
7,756
|
7,689
|
6,755
|
6,260
|
6,959
|
5,794
|
|
売掛金
|
-
|
13,706
|
13,729
|
11,961
|
12,285
|
11,871
|
11,059
|
10,057
|
10,405
|
-
|
-
|
-
|
|
流動資産合計
|
-
|
21,323
|
21,541
|
22,138
|
23,901
|
25,307
|
24,400
|
21,305
|
21,243
|
22,394
|
22,865
|
21,959
|
|
有形固定資産
|
-
|
8,684
|
8,416
|
8,467
|
8,347
|
8,266
|
8,213
|
7,268
|
7,290
|
7,221
|
7,595
|
8,300
|
|
投資有価証券
|
-
|
2,531
|
2,183
|
2,728
|
2,935
|
2,560
|
2,506
|
2,194
|
2,333
|
2,417
|
3,401
|
3,096
|
|
固定資産合計
|
-
|
12,083
|
11,406
|
12,091
|
12,191
|
11,738
|
12,135
|
13,213
|
13,360
|
13,401
|
14,967
|
15,964
|
|
総資産
|
-
|
33,406
|
32,947
|
34,229
|
36,092
|
37,044
|
36,536
|
34,518
|
34,603
|
35,796
|
37,832
|
37,923
|
|
短期借入金
|
-
|
417
|
250
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
|
一年内返済予定の長期借入金
|
-
|
181
|
139
|
91
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
|
流動負債合計
|
-
|
5,835
|
4,971
|
5,007
|
5,294
|
5,215
|
4,887
|
4,453
|
4,489
|
4,406
|
4,715
|
5,030
|
|
長期借入金
|
-
|
278
|
139
|
47
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
|
固定負債合計
|
-
|
1,223
|
861
|
956
|
992
|
703
|
555
|
531
|
567
|
634
|
996
|
900
|
|
総負債
|
-
|
7,059
|
5,832
|
5,963
|
6,286
|
5,919
|
5,442
|
4,985
|
5,057
|
5,041
|
5,711
|
5,930
|
|
資本金及び資本剰余金
|
-
|
5,126
|
5,127
|
5,127
|
5,127
|
5,127
|
5,127
|
5,127
|
5,127
|
5,127
|
5,127
|
5,127
|
|
利益剰余金
|
-
|
20,550
|
21,680
|
22,767
|
24,128
|
25,692
|
26,720
|
25,586
|
25,930
|
27,050
|
27,739
|
29,196
|
|
株主資本
|
25,030
|
26,346
|
27,115
|
28,266
|
29,806
|
31,126
|
31,093
|
31,930
|
32,267
|
33,841
|
35,958
|
35,509
|
|
有利子負債合計
|
-
|
877
|
528
|
139
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
|
純有利子負債
|
-
|
-4,574
|
-5,231
|
-5,705
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
|
DEレシオ(%)
|
-
|
3.33
|
1.95
|
0.49
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|