貸借対照表
|
流動資産
|
うち、現預金
|
うち、商品及び製品
|
固定資産
|
有形固定資産
|
無形固定資産
|
投資等
|
流動負債
|
うち、受託販売預り金
|
うち、短期借入金
|
固定負債
|
純資産
|
総資産
|
単位
|
FY2024
|
FY2023
|
FY2022
|
FY2021
|
1Q
|
2Q
|
3Q
|
4Q
|
通期
|
1Q
|
2Q
|
3Q
|
4Q
|
通期
|
1Q
|
2Q
|
3Q
|
4Q
|
通期
|
1Q
|
2Q
|
3Q
|
4Q
|
通期
|
百万円
|
114,164
|
|
|
|
|
111,860
|
122,489
|
119,602
|
123,137
|
|
94,819
|
103,775
|
115,692
|
123,493
|
|
60,877
|
80,390
|
95,035
|
102,305
|
|
百万円
|
53,557
|
|
|
|
|
54,861
|
68,048
|
45,510
|
64,747
|
|
56,426
|
66,888
|
66,018
|
69,126
|
|
27,034
|
47,810
|
50,937
|
65,520
|
|
百万円
|
4,363
|
|
|
|
|
3,707
|
4,141
|
3,376
|
3,784
|
|
2,837
|
3,178
|
3,101
|
3,155
|
|
2,223
|
2,132
|
2,050
|
2,060
|
|
百万円
|
37,866
|
|
|
|
|
32,994
|
35,962
|
38,955
|
38,724
|
|
24,990
|
25,367
|
28,067
|
32,248
|
|
24,848
|
24,685
|
24,677
|
24,971
|
|
百万円
|
24,243
|
|
|
|
|
20,265
|
22,402
|
25,548
|
24,660
|
|
12,009
|
13,783
|
16,790
|
18,796
|
|
12,010
|
11,769
|
11,673
|
11,284
|
|
百万円
|
2,816
|
|
|
|
|
2,455
|
2,664
|
2,403
|
2,611
|
|
2,507
|
2,383
|
2,578
|
2,381
|
|
2,790
|
2,657
|
2,560
|
2,621
|
|
百万円
|
10,805
|
|
|
|
|
10,272
|
10,895
|
11,003
|
11,452
|
|
10,473
|
9,200
|
8,698
|
11,070
|
|
10,048
|
10,258
|
10,443
|
11,065
|
|
百万円
|
63,247
|
|
|
|
|
61,943
|
64,095
|
72,353
|
68,261
|
|
59,074
|
58,946
|
68,678
|
72,204
|
|
56,207
|
56,334
|
66,725
|
66,172
|
|
百万円
|
24,953
|
|
|
|
|
23,859
|
23,053
|
33,342
|
26,668
|
|
22,387
|
21,731
|
29,772
|
25,590
|
|
21,017
|
20,094
|
29,093
|
23,447
|
|
百万円
|
20,000
|
|
|
|
|
20,400
|
20,500
|
20,000
|
20,000
|
|
20,200
|
20,200
|
20,400
|
20,400
|
|
20,000
|
20,119
|
20,100
|
20,200
|
|
百万円
|
9,046
|
|
|
|
|
7,116
|
9,029
|
8,919
|
8,856
|
|
6,343
|
6,487
|
6,575
|
6,844
|
|
5,126
|
5,315
|
5,732
|
6,005
|
|
百万円
|
79,736
|
|
|
|
|
75,794
|
85,326
|
77,285
|
84,744
|
|
54,391
|
63,707
|
68,507
|
76,693
|
|
24,392
|
43,425
|
47,255
|
55,099
|
|
百万円
|
152,030
|
|
|
|
|
144,854
|
158,452
|
158,558
|
161,862
|
|
119,810
|
129,142
|
143,760
|
155,742
|
|
85,726
|
105,076
|
119,713
|
127,276
|
|
provided by StockWeather.com,Inc.