タキヒヨー【9982】 業績推移・財務諸表

(単位:百万円) 2014/2 2015/2 2016/2 2017/2 2018/2 2019/2 2020/2 2021/2 2022/2 2023/2 2024/2 2025/2
現金同等物 - 3,167 3,350 3,447 6,157 3,510 3,406 3,877 4,533 3,333 3,441 3,225
現金 + 有価証券 - 3,167 3,350 3,447 6,157 3,510 3,406 3,877 4,533 3,333 3,441 3,225
売掛金 - 18,131 18,102 13,996 13,410 12,141 11,286 10,083 11,071 12,366 11,882 11,552
商品及び製品 - 4,948 5,138 3,501 3,959 4,061 3,452 3,868 4,516 6,177 5,595 4,733
流動資産合計 - 31,861 28,261 22,131 24,730 20,864 18,840 18,830 21,599 22,912 22,978 20,578
有形固定資産 - 22,779 22,990 22,813 19,086 20,889 20,715 20,713 20,806 20,010 20,586 17,815
投資有価証券 - 5,008 3,978 4,786 5,316 4,771 3,721 3,736 3,205 3,000 3,768 3,881
固定資産合計 - 29,180 28,769 30,163 26,938 26,922 25,853 25,843 25,449 24,208 25,577 23,775
総資産 - 61,041 57,030 52,294 51,669 47,786 44,694 44,673 47,048 47,121 48,555 44,354
買掛金 - 11,356 12,008 8,015 7,520 6,574 4,813 4,932 3,222 5,632 6,649 6,863
短期借入金 - 1,740 1,980 1,180 210 780 1,133 40 7,000 5,000 2,000 1,962
一年内返済予定の長期借入金 - 2,025 2,250 1,050 1,050 950 925 800 1,925 1,200 1,600 1,450
流動負債合計 - 21,235 21,934 13,883 12,520 9,576 8,511 7,994 14,525 14,375 12,871 12,483
長期借入金 - 1,800 1,075 2,525 1,475 2,450 1,525 3,275 1,350 3,000 3,150 3,200
固定負債合計 - 4,146 3,751 4,652 3,795 4,753 3,563 5,274 3,374 4,876 5,399 4,994
総負債 - 25,381 25,686 18,536 16,315 14,329 12,074 13,269 17,900 19,252 18,270 17,477
資本金及び資本剰余金 - 7,770 7,770 7,770 7,770 7,770 7,770 7,770 7,770 7,770 7,770 7,770
利益剰余金 - 23,414 24,404 24,705 26,291 24,297 24,131 22,725 20,311 19,844 20,058 17,463
株主資本 31,744 35,660 31,344 33,758 35,353 33,456 32,619 31,404 29,148 27,868 30,285 30,267
有利子負債合計 - 5,565 5,305 4,755 2,735 4,180 3,583 4,115 10,275 9,200 6,750 6,612
純有利子負債 - 2,398 1,955 1,308 -3,422 670 177 238 5,742 5,867 3,309 3,387
DEレシオ(%) - 15.61 16.93 14.09 7.74 12.49 10.98 13.1 35.25 33.01 22.29 21.85
運転資本 - 9,019 12,365 12,911 10,828 9,422