Tile Shop Hldgs Inc【TTSH】 バランスシート

機能の使い方
(単位:千ドル) 2012/12 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 2,987 1,761 5,759 10,330 6,067 6,621 6,382 9,919 10,272 10,013 7,759 8,620 21,000 10,120
現金 + 有価証券 2,987 1,761 5,759 10,330 6,067 6,621 6,382 9,919 10,272 10,013 7,759 8,620 21,000 10,120
売掛金 1,009 1,198 1,712 1,966 2,414 2,381 3,084 3,370 3,000 3,200 3,400 2,900 3,085 3,500
商品及び製品 46,890 67,756 68,857 69,878 74,295 85,259 110,095 97,620 74,296 97,175 120,952 93,679 86,267 89,399
流動資産合計 72,268 91,704 88,533 87,352 96,201 105,559 130,290 122,179 104,654 127,082 146,403 114,558 119,822 113,002
有形固定資産 82,080 125,317 139,294 135,115 141,037 151,405 158,356 130,461 99,035 82,285 71,095 64,317 59,733 54,316
総資産 176,074 242,769 252,190 245,435 265,273 270,725 297,630 399,814 342,690 340,758 345,822 316,672 319,603 301,725
買掛金 14,968 22,867 13,759 14,584 20,321 30,771 25,853 18,181 15,382 30,884 23,506 23,345 23,808 25,326
一年内返済予定の長期借入金 3,860 3,590 3,595 5,095 6,286 8,833 - - - - - - - -
流動負債合計 35,879 39,985 32,152 40,107 60,188 62,034 50,516 69,850 76,804 97,713 83,291 78,745 78,394 79,207
長期借入金 69,310 91,646 88,525 51,255 22,126 18,182 53,000 63,000 - 5,000 45,400 - - 25,000
総負債 220,837 162,906 158,495 130,234 126,374 126,851 151,283 268,915 203,628 218,534 237,053 196,985 196,691 214,486
利益剰余金 -54,201 -89,861 -80,681 -64,985 -47,058 -36,239 -25,857 -25,518 -19,487 -4,713 -19,180 -9,109 -6,788 -11,282
株主資本 -44,763 79,863 93,695 115,201 138,899 143,874 146,347 130,899 139,062 122,224 108,769 119,687 122,912 87,239
運転資本 69,491 100,846 73,234 65,544 67,573