Sonic Foundry, Inc.【SOFO】 業績推移・財務諸表

(単位:千ドル) 2011/9 2012/9 2013/9 2014/9 2015/9 2016/9 2017/9 2018/9 2019/9 2020/9 2021/9 2022/9 2023/9
現金同等物 5,515 4,478 3,482 4,344 1,976 1,794 1,211 1,189 4,295 7,619 10,000 3,300 840
現金 + 有価証券 5,515 4,478 3,482 4,344 1,976 1,794 1,211 1,189 4,295 7,619 10,000 3,300 840
売掛金 5,799 5,578 6,885 8,449 12,659 11,646 7,903 7,418 6,532 6,250 5,167 4,923 4,000
商品及び製品 536 1,053 1,447 1,721 2,385 1,904 986 1,027 558 1,167 442 1,462 1,855
流動資産合計 12,590 11,866 12,619 16,058 17,947 16,748 12,258 10,825 12,984 16,816 17,405 11,134 8,124
有形固定資産 1,636 2,944 3,280 3,396 2,808 2,031 1,750 1,913 1,568 3,159 2,798 3,434 1,638
固定資産合計 9,250 10,955 11,714 18,565 16,856 16,410 16,098 2,758 2,196 5,813 6,610 8,766 4,139
総資産 21,840 22,821 24,333 34,623 34,803 33,158 28,356 13,583 15,180 22,629 24,015 19,900 12,263
買掛金 1,373 1,604 1,513 1,183 2,026 961 1,314 1,610 843 2,689 1,072 1,904 2,094
一年内返済予定の長期借入金 - - - - 1,299 1,567 737 593 968 1,104 - 565 -
流動負債合計 9,507 8,534 10,044 16,040 18,565 19,393 17,091 16,590 13,831 18,304 14,016 13,746 20,861
長期借入金 - - - - 2,080 871 123 1,357 5,429 2,673 556 356 -
固定負債合計 3,072 3,748 3,585 7,268 8,435 7,249 8,147 3,451 7,602 5,373 3,859 2,576 5,141
総負債 12,579 12,282 13,629 23,308 27,000 26,642 25,238 20,041 21,433 23,677 17,875 16,322 26,002
資本金及び資本剰余金 188,377 189,498 190,693 194,303 196,017 197,108 197,881 200,181 203,802 209,102 213,369 218,254 220,174
利益剰余金 -178,921 -178,764 -179,556 -182,372 -186,897 -190,214 -195,253 -207,419 -209,340 -209,519 -206,442 -213,525 -232,873
株主資本 9,261 10,539 10,704 11,315 7,803 6,516 3,118 -6,458 -6,253 -1,048 6,140 3,578 -13,700
有利子負債合計 - - - - 3,379 2,362 860 1,950 6,397 3,777 556 921 -
純有利子負債 - - - - 1,403 568 -351 761 2,102 -3,842 -9,444 -2,379 -
DEレシオ(%) - - - - 43.3 36.25 27.58 -30.2 -102.3 -360.4 9.06 25.74 -
運転資本