Lindsay Corporation【LNN】 業績推移・財務諸表

(単位:千ドル) 2012/8 2013/8 2014/8 2015/8 2016/8 2017/8 2018/8 2019/8 2020/8 2021/8 2022/8 2023/8 2024/8
現金同等物 143,444 151,927 171,842 139,093 101,246 121,620 160,787 127,204 121,403 127,107 105,048 160,755 190,879
有価証券 - - - - - - - - 19,511 19,604 11,460 5,556 -
現金 + 有価証券 143,444 151,927 171,842 139,093 101,246 121,620 160,787 127,204 140,914 146,711 116,508 166,311 190,879
商品及び製品 52,873 68,607 71,696 74,930 74,750 86,155 79,233 92,287 104,792 145,244 193,776 155,932 154,500
流動資産合計 298,865 368,791 374,058 322,167 292,124 292,934 331,051 313,490 347,935 416,103 477,101 487,484 493,212
有形固定資産 56,180 65,064 72,457 78,656 77,627 74,498 57,248 68,968 79,581 91,997 94,472 99,681 112,815
固定資産合計 116,666 143,505 152,493 214,301 207,441 213,098 169,205 186,824 222,591 221,082 233,552 258,176 267,020
総資産 415,531 512,296 526,551 536,468 499,565 506,032 500,256 500,314 570,526 637,185 710,653 745,660 760,232
買掛金 31,372 42,276 42,424 38,814 32,268 36,717 30,530 29,434 29,554 45,209 60,036 44,278 37,417
一年内返済予定の長期借入金 4,285 - - 193 197 201 205 209 195 217 222 226 228
流動負債合計 80,438 102,092 116,367 95,112 87,870 92,037 80,094 82,131 102,395 138,240 160,942 136,108 125,816
長期借入金 - - - 117,173 116,976 116,775 116,570 115,846 115,682 115,514 115,341 115,164 114,994
固定負債合計 24,255 29,566 27,537 152,796 160,128 143,940 143,296 149,974 169,613 160,500 156,353 153,901 153,523
総負債 104,693 131,658 143,904 247,908 247,998 235,977 223,390 232,105 272,008 298,740 317,295 290,009 279,339
資本金及び資本剰余金 61,561 68,335 71,502 73,868 76,051 81,786 18,841 18,870 18,918 18,991 19,063 19,094 19,124
利益剰余金 341,115 405,580 445,366 458,903 466,926 477,615 484,886 474,740 499,724 528,130 579,000 636,297 687,093
株主資本 310,838 380,638 382,647 288,560 251,567 270,055 276,866 268,209 298,518 338,445 393,358 455,651 480,893
有利子負債合計 4,285 - - 117,366 117,173 116,976 116,334 116,055 115,877 115,731 115,563 115,390 115,222
純有利子負債 -139,159 - - -21,727 15,927 -4,644 -44,453 -11,149 -25,037 -30,980 -945 -50,921 -75,657
DEレシオ(%) 1.38 - - 40.67 46.58 43.32 42.02 43.27 38.82 34.19 29.38 25.32 23.96