Stoneridge, Inc.【SRI】 バランスシート

機能の使い方
(単位:千ドル) 2011/12 2013/12 2014/12 2015/12 2016/12 2017/12 2018/12 2019/12 2020/12 2021/12 2022/12 2023/12 2024/12 2025/12
現金同等物 78,731 62,825 43,021 54,361 50,389 66,003 81,092 69,403 73,919 85,547 54,798 40,841 71,832 66,252
現金 + 有価証券 78,731 62,825 43,021 54,361 50,389 66,003 81,092 69,403 73,919 85,547 54,798 40,841 71,832 66,252
売掛金 162,354 133,736 105,102 94,937 113,225 142,438 139,076 138,564 136,745 150,388 158,155 166,545 137,766 131,430
商品及び製品 120,645 114,058 71,253 61,009 60,117 73,471 79,278 93,449 90,548 138,115 152,580 187,758 151,337 132,673
流動資産合計 390,123 340,236 245,511 231,909 240,893 303,369 320,177 331,266 334,664 410,824 409,551 429,390 387,514 361,869
有形固定資産 124,802 110,872 85,311 85,264 91,500 110,402 112,213 122,483 119,324 107,901 104,643 110,126 97,667 78,922
固定資産合計 307,534 248,086 153,240 132,343 153,636 255,668 239,342 270,943 286,744 254,575 242,554 250,510 234,042 189,319
総資産 697,657 588,322 398,751 364,252 394,529 559,037 559,519 602,209 621,408 665,399 652,105 679,900 621,556 551,188
買掛金 83,859 84,884 58,593 55,225 62,594 79,386 87,894 80,701 86,103 97,679 110,202 111,925 83,478 82,235
一年内返済予定の長期借入金 44,246 12,187 19,655 13,905 8,626 4,192 1,533 2,672 7,673 5,248 1,450 - - -
流動負債合計 258,703 153,722 120,314 108,050 112,709 136,124 147,307 138,596 146,048 173,066 177,692 178,241 149,972 157,556
長期借入金 183,711 185,045 10,651 4,458 8,060 3,852 983 454 - - - - - -
固定負債合計 258,315 246,066 164,631 149,773 89,743 178,841 128,946 173,709 178,726 196,383 193,471 213,942 226,324 213,853
利益剰余金 -28,263 -7,771 -54,879 -32,105 45,356 92,264 146,251 206,542 212,342 215,748 201,692 196,509 179,985 77,150
株主資本 180,639 188,534 113,806 106,429 192,077 244,072 283,266 289,904 296,634 295,950 280,942 287,717 245,260 179,779
運転資本 190,824 200,533 242,378 205,625 181,868