OpenFiling
ホームウォッチリストスクリーニング企業比較決算カレンダー新着有報大量保有報告書開示内容検索

© 2026 OpenFiling

OpenFiling は日本企業の公表情報に基づく確認・整理を支援する情報提供サービスです。金融商品取引の勧誘、媒介、投資助言、売買推奨を行うものではありません。

© 2026 OpenFiling

公式X公式note
有価証券報告書の検索方法プライバシーポリシー利用規約特定商取引法に基づく表記データソース・第三者権利表示お問い合わせ

OpenFiling は日本企業の公表情報に基づく確認・整理を支援する情報提供サービスです。金融商品取引の勧誘、媒介、投資助言、売買推奨を行うものではありません。

有価証券報告書の検索方法プライバシーポリシー利用規約
特定商取引法に基づく表記データソース・第三者権利表示お問い合わせ

目次

  1. ホーム
  2. 企業検索
  3. 大盛工業(1844)

1844
大盛工業
1844大盛工業

建設業
スタンダード市場|規模区分なし|7月決算
主要な経営指標財務諸表四半期決算財務指標株主構成有価証券報告書決算短信セグメント情報株式保有
損益計算書
損益計算書の連結/単体切り替え
チャート種別の切り替え
貸借対照表
貸借対照表の連結/単体切り替え
キャッシュ・フロー計算書
キャッシュ・フロー計算書の連結/単体切り替え
チャート種別の切り替え

大盛工業の業績更新をウォッチリストで確認

保存した企業の新しい有価証券報告書・決算発表を、新着一覧と決算カレンダーで確認できます

登録は無料・支払い情報不要

本開示情報の原文は提出企業に著作権が帰属します。出典:EDINET(金融庁)

(単位: 百万円)
勘定科目
2017年
JGAAP
2018年
JGAAP
2019年
JGAAP
2020年
JGAAP
2021年
JGAAP
2022年
JGAAP
2023年
JGAAP
2024年
JGAAP
2025年
JGAAP
勘定科目2017年2018年2019年2020年2021年2022年2023年2024年2025年
売上高
完成工事高
2,752
-
3,107
↑ +12.9%
4,503
↑ +45.0%
3,974
↓ -11.7%
3,551
↓ -10.7%
3,549
↓ -0.1%
4,410
↑ +24.3%
4,339
↓ -1.6%
4,815
↑ +11.0%
不動産事業売上高
-
-
-
-
-
-
-
-
-
-
-
-
565
-
676
↑ +19.7%
600
↓ -11.2%
OLY事業売上高
-
-
-
-
-
-
-
-
-
-
-
-
706
-
549
↓ -22.3%
579
↑ +5.6%
通信関連売上高
-
-
392
-
404
↑ +2.9%
372
↓ -7.8%
338
↓ -9.2%
317
↓ -6.3%
373
↑ +17.7%
418
↑ +12.1%
449
↑ +7.4%
売上高
3,859
-
4,141
↑ +7.3%
5,976
↑ +44.3%
5,187
↓ -13.2%
4,955
↓ -4.5%
5,245
↑ +5.9%
6,054
↑ +15.4%
5,982
↓ -1.2%
6,444
↑ +7.7%
売上原価
完成工事原価
2,310
-
2,522
↑ +9.2%
3,831
↑ +51.9%
3,129
↓ -18.3%
2,989
↓ -4.5%
3,003
↑ +0.5%
3,763
↑ +25.3%
3,539
↓ -6.0%
3,894
↑ +10.0%
不動産事業売上原価
-
-
-
-
-
-
-
-
-
-
-
-
460
-
526
↑ +14.3%
422
↓ -19.7%
OLY事業売上原価
-
-
-
-
-
-
-
-
-
-
-
-
534
-
414
↓ -22.4%
452
↑ +9.0%
通信関連原価
-
-
202
-
188
↓ -6.9%
177
↓ -5.8%
157
↓ -11.5%
258
↑ +64.2%
282
↑ +9.6%
313
↑ +11.0%
325
↑ +3.6%
売上原価
3,348
-
3,365
↑ +0.5%
4,944
↑ +47.0%
4,036
↓ -18.4%
4,023
↓ -0.3%
4,367
↑ +8.6%
5,040
↑ +15.4%
4,793
↓ -4.9%
5,093
↑ +6.3%
売上総利益
完成工事総利益又は完成工事総損失(△)
442
-
584
↑ +32.2%
673
↑ +15.1%
845
↑ +25.6%
562
↓ -33.5%
545
↓ -3.0%
647
↑ +18.6%
800
↑ +23.7%
921
↑ +15.1%
不動産事業総利益又は不動産事業総損失(△)
-
-
-
-
-
-
-
-
-
-
-
-
105
-
150
↑ +43.3%
178
↑ +18.5%
OLY事業総利益
-
-
-
-
-
-
-
-
-
-
-
-
171
-
134
↓ -21.8%
128
↓ -4.8%
通信関連総利益
-
-
190
-
216
↑ +13.3%
195
↓ -9.6%
181
↓ -7.1%
59
↓ -67.2%
91
↑ +52.8%
105
↑ +15.6%
125
↑ +19.0%
売上総利益又は売上総損失(△)
511
-
776
↑ +51.9%
1,031
↑ +32.9%
1,152
↑ +11.7%
931
↓ -19.1%
877
↓ -5.8%
1,014
↑ +15.6%
1,189
↑ +17.3%
1,351
↑ +13.6%
販売費及び一般管理費
役員報酬
44
-
80
↑ +83.8%
105
↑ +30.5%
105
↓ -0.2%
87
↓ -17.2%
90
↑ +4.4%
102
↑ +12.3%
121
↑ +19.4%
130
↑ +7.3%
従業員給料手当
51
-
135
↑ +164.8%
158
↑ +16.8%
160
↑ +1.0%
178
↑ +11.1%
128
↓ -28.2%
113
↓ -11.3%
106
↓ -5.9%
104
↓ -2.6%
退職給付費用
2
-
1
↓ -57.2%
2
↑ +117.2%
1
↓ -52.4%
-1
↓ -231.2%
4
↑ +382.2%
-0
↓ -103.8%
8
↑ +5418.8%
1
↓ -82.5%
賞与引当金繰入額
2
-
9
↑ +460.1%
10
↑ +10.1%
12
↑ +10.2%
15
↑ +28.7%
13
↓ -12.9%
20
↑ +58.0%
19
↓ -7.7%
21
↑ +11.1%
役員退職慰労引当金繰入額
-
-
-
-
-
-
-
-
-
-
9
-
3
↓ -70.5%
3
0.0%
3
0.0%
役員賞与引当金繰入額
-
-
-
-
-
-
-
-
12
-
11
↓ -7.7%
16
↑ +43.5%
19
↑ +16.2%
25
↑ +35.8%
貸倒引当金繰入額
0
-
3
↑ +2154.7%
-0
↓ -105.0%
1
↑ +694.0%
-
-
-1
-
-3
↓ -391.1%
0
↑ +102.6%
-0
0.0%
地代家賃
18
-
23
↑ +27.8%
24
↑ +4.8%
25
↑ +2.4%
27
↑ +9.0%
28
↑ +4.0%
27
↓ -1.7%
28
↑ +1.2%
28
↑ +0.4%
支払手数料
50
-
38
↓ -25.0%
39
↑ +3.2%
52
↑ +34.3%
80
↑ +53.4%
49
↓ -38.4%
48
↓ -3.3%
48
↑ +1.8%
56
↑ +14.8%
減価償却費
14
-
14
↓ -2.2%
13
↓ -5.7%
12
↓ -10.1%
11
↓ -4.5%
8
↓ -25.3%
8
↓ -1.5%
7
↓ -9.4%
8
↑ +13.4%
租税公課
24
-
30
↑ +24.3%
32
↑ +5.0%
46
↑ +45.3%
43
↓ -6.8%
40
↓ -6.8%
46
↑ +13.5%
51
↑ +11.9%
54
↑ +6.5%
その他
65
-
130
↑ +100.0%
215
↑ +64.7%
186
↓ -13.2%
155
↓ -16.6%
183
↑ +17.8%
182
↓ -0.4%
157
↓ -14.0%
136
↓ -13.5%
販売費及び一般管理費
273
-
464
↑ +69.9%
598
↑ +28.7%
612
↑ +2.4%
606
↓ -0.9%
563
↓ -7.1%
562
↓ -0.2%
567
↑ +0.9%
566
↓ -0.2%
営業利益又は営業損失(△)
237
-
312
↑ +31.2%
434
↑ +39.2%
540
↑ +24.5%
325
↓ -39.8%
314
↓ -3.4%
452
↑ +43.8%
622
↑ +37.7%
785
↑ +26.2%
営業外収益
受取利息及び配当金
16
-
4
↓ -72.4%
3
↓ -41.0%
3
↑ +0.9%
2
↓ -18.0%
1
↓ -44.4%
1
↓ -49.5%
0
↓ -71.2%
2
↑ +852.9%
未払配当金除斥益
-
-
-
-
2
-
2
↓ -14.5%
1
↓ -54.1%
1
↑ +72.0%
1
↓ -12.8%
1
↑ +19.7%
1
↓ -3.5%
その他
5
-
4
↓ -20.9%
12
↑ +198.9%
5
↓ -54.7%
5
↓ -14.5%
5
↑ +14.0%
5
↓ -9.1%
4
↓ -7.9%
7
↑ +53.4%
営業外収益
100
-
58
↓ -42.4%
84
↑ +45.6%
15
↓ -82.7%
43
↑ +192.8%
32
↓ -24.4%
46
↑ +42.2%
6
↓ -87.2%
10
↑ +63.6%
営業外費用
支払利息
34
-
30
↓ -12.9%
38
↑ +28.2%
31
↓ -19.7%
30
↓ -2.9%
26
↓ -11.4%
30
↑ +15.9%
32
↑ +5.4%
34
↑ +5.3%
貸倒引当金繰入額
-
-
-
-
-
-
4
-
-
-
0
-
33
↑ +15478.1%
0
↓ -99.0%
-
-
その他
2
-
0
↓ -95.6%
6
↑ +7827.1%
4
↓ -24.3%
1
↓ -79.5%
2
↑ +145.2%
0
↓ -96.2%
0
0.0%
1
↑ +20033.3%
営業外費用
336
-
62
↓ -81.5%
60
↓ -4.4%
42
↓ -29.9%
54
↑ +30.3%
29
↓ -47.5%
64
↑ +124.0%
32
↓ -49.4%
35
↑ +7.9%
経常利益又は経常損失(△)
2
-
307
↑ +16154.6%
458
↑ +49.2%
513
↑ +11.9%
313
↓ -38.9%
318
↑ +1.4%
433
↑ +36.4%
595
↑ +37.3%
760
↑ +27.6%
特別利益
固定資産売却益
-
-
0
-
0
0.0%
0
0.0%
12
↑ +40196.6%
3
↓ -70.2%
-
-
32
-
-
-
その他
-
-
-
-
-
-
-
-
-
-
-
-
-
-
0
-
-
-
特別利益
-
-
0
-
0
0.0%
0
0.0%
12
↑ +40196.6%
3
↓ -70.2%
-
-
32
-
-
-
特別損失
減損損失
-
-
14
-
279
↑ +1951.9%
73
↓ -73.8%
-
-
-
-
16
-
21
↑ +29.9%
-
-
その他
-
-
0
-
-
-
-
-
-
-
-
-
-
-
1
-
-
-
特別損失
-
-
14
-
279
↑ +1880.8%
86
↓ -69.3%
0
↓ -99.6%
-
-
16
-
22
↑ +34.8%
-
-
税引前当期純利益又は税引前当期純損失(△)
2
-
293
↑ +15413.6%
180
↓ -38.7%
427
↑ +137.8%
325
↓ -24.0%
321
↓ -1.1%
417
↑ +29.9%
605
↑ +45.0%
760
↑ +25.5%
法人税、住民税及び事業税
8
-
52
↑ +540.7%
29
↓ -44.3%
92
↑ +218.4%
50
↓ -45.7%
80
↑ +59.3%
107
↑ +34.1%
157
↑ +46.2%
265
↑ +68.8%
法人税等調整額
-41
-
-20
↑ +50.9%
-7
↑ +65.7%
-3
↑ +63.3%
31
↑ +1346.9%
-14
↓ -143.8%
17
↑ +222.5%
34
↑ +102.5%
-24
↓ -169.8%
法人税等
-32
-
32
↑ +199.1%
22
↓ -31.0%
90
↑ +305.1%
82
↓ -9.4%
66
↓ -18.6%
124
↑ +87.0%
191
↑ +53.8%
241
↑ +26.3%
当期純利益又は当期純損失(△)
34
-
261
↑ +659.3%
158
↓ -39.6%
337
↑ +114.2%
243
↓ -27.9%
255
↑ +4.8%
293
↑ +15.0%
414
↑ +41.3%
519
↑ +25.2%
(内訳)
親会社株主に帰属する当期純利益又は親会社株主に帰属する当期純損失(△)
34
-
261
↑ +659.3%
158
↓ -39.6%
337
↑ +114.2%
243
↓ -27.9%
255
↑ +4.8%
293
↑ +15.0%
414
↑ +41.3%
519
↑ +25.2%
包括利益
34
-
261
↑ +659.3%
158
↓ -39.6%
337
↑ +114.2%
243
↓ -27.9%
255
↑ +4.8%
293
↑ +15.0%
414
↑ +41.3%
519
↑ +25.2%
(内訳)
親会社株主に係る包括利益
34
-
261
↑ +659.3%
158
↓ -39.6%
337
↑ +114.2%
243
↓ -27.9%
255
↑ +4.8%
293
↑ +15.0%
414
↑ +41.3%
519
↑ +25.2%
2017年2018年2019年2020年2021年2022年2023年2024年2025年
売上高
完成工事高
2,752
-
3,107
↑ +12.9%
4,503
↑ +45.0%
3,974
↓ -11.7%
3,551
↓ -10.7%
3,549
↓ -0.1%
4,410
↑ +24.3%
4,339
↓ -1.6%
4,815
↑ +11.0%
不動産事業売上高
-
-
-
-
-
-
-
-
-
-
-
-
565
-
676
↑ +19.7%
600
↓ -11.2%
OLY事業売上高
-
-
-
-
-
-
-
-
-
-
-
-
706
-
549
↓ -22.3%
579
↑ +5.6%
通信関連売上高
-
-
392
-
404
↑ +2.9%
372
↓ -7.8%
338
↓ -9.2%
317
↓ -6.3%
373
↑ +17.7%
418
↑ +12.1%
449
↑ +7.4%
売上高
3,859
-
4,141
↑ +7.3%
5,976
↑ +44.3%
5,187
↓ -13.2%
4,955
↓ -4.5%
5,245
↑ +5.9%
6,054
↑ +15.4%
5,982
↓ -1.2%
6,444
↑ +7.7%
売上原価
完成工事原価
2,310
-
2,522
↑ +9.2%
3,831
↑ +51.9%
3,129
↓ -18.3%
2,989
↓ -4.5%
3,003
↑ +0.5%
3,763
↑ +25.3%
3,539
↓ -6.0%
3,894
↑ +10.0%
不動産事業売上原価
-
-
-
-
-
-
-
-
-
-
-
-
460
-
526
↑ +14.3%
422
↓ -19.7%
OLY事業売上原価
-
-
-
-
-
-
-
-
-
-
-
-
534
-
414
↓ -22.4%
452
↑ +9.0%
通信関連原価
-
-
202
-
188
↓ -6.9%
177
↓ -5.8%
157
↓ -11.5%
258
↑ +64.2%
282
↑ +9.6%
313
↑ +11.0%
325
↑ +3.6%
売上原価
3,348
-
3,365
↑ +0.5%
4,944
↑ +47.0%
4,036
↓ -18.4%
4,023
↓ -0.3%
4,367
↑ +8.6%
5,040
↑ +15.4%
4,793
↓ -4.9%
5,093
↑ +6.3%
売上総利益
完成工事総利益又は完成工事総損失(△)
442
-
584
↑ +32.2%
673
↑ +15.1%
845
↑ +25.6%
562
↓ -33.5%
545
↓ -3.0%
647
↑ +18.6%
800
↑ +23.7%
921
↑ +15.1%
不動産事業総利益又は不動産事業総損失(△)
-
-
-
-
-
-
-
-
-
-
-
-
105
-
150
↑ +43.3%
178
↑ +18.5%
OLY事業総利益
-
-
-
-
-
-
-
-
-
-
-
-
171
-
134
↓ -21.8%
128
↓ -4.8%
通信関連総利益
-
-
190
-
216
↑ +13.3%
195
↓ -9.6%
181
↓ -7.1%
59
↓ -67.2%
91
↑ +52.8%
105
↑ +15.6%
125
↑ +19.0%
売上総利益又は売上総損失(△)
511
-
776
↑ +51.9%
1,031
↑ +32.9%
1,152
↑ +11.7%
931
↓ -19.1%
877
↓ -5.8%
1,014
↑ +15.6%
1,189
↑ +17.3%
1,351
↑ +13.6%
販売費及び一般管理費
役員報酬
44
-
80
↑ +83.8%
105
↑ +30.5%
105
↓ -0.2%
87
↓ -17.2%
90
↑ +4.4%
102
↑ +12.3%
121
↑ +19.4%
130
↑ +7.3%
従業員給料手当
51
-
135
↑ +164.8%
158
↑ +16.8%
160
↑ +1.0%
178
↑ +11.1%
128
↓ -28.2%
113
↓ -11.3%
106
↓ -5.9%
104
↓ -2.6%
退職給付費用
2
-
1
↓ -57.2%
2
↑ +117.2%
1
↓ -52.4%
-1
↓ -231.2%
4
↑ +382.2%
-0
↓ -103.8%
8
↑ +5418.8%
1
↓ -82.5%
賞与引当金繰入額
2
-
9
↑ +460.1%
10
↑ +10.1%
12
↑ +10.2%
15
↑ +28.7%
13
↓ -12.9%
20
↑ +58.0%
19
↓ -7.7%
21
↑ +11.1%
役員退職慰労引当金繰入額
-
-
-
-
-
-
-
-
-
-
9
-
3
↓ -70.5%
3
0.0%
3
0.0%
役員賞与引当金繰入額
-
-
-
-
-
-
-
-
12
-
11
↓ -7.7%
16
↑ +43.5%
19
↑ +16.2%
25
↑ +35.8%
貸倒引当金繰入額
0
-
3
↑ +2154.7%
-0
↓ -105.0%
1
↑ +694.0%
-
-
-1
-
-3
↓ -391.1%
0
↑ +102.6%
-0
0.0%
地代家賃
18
-
23
↑ +27.8%
24
↑ +4.8%
25
↑ +2.4%
27
↑ +9.0%
28
↑ +4.0%
27
↓ -1.7%
28
↑ +1.2%
28
↑ +0.4%
支払手数料
50
-
38
↓ -25.0%
39
↑ +3.2%
52
↑ +34.3%
80
↑ +53.4%
49
↓ -38.4%
48
↓ -3.3%
48
↑ +1.8%
56
↑ +14.8%
減価償却費
14
-
14
↓ -2.2%
13
↓ -5.7%
12
↓ -10.1%
11
↓ -4.5%
8
↓ -25.3%
8
↓ -1.5%
7
↓ -9.4%
8
↑ +13.4%
租税公課
24
-
30
↑ +24.3%
32
↑ +5.0%
46
↑ +45.3%
43
↓ -6.8%
40
↓ -6.8%
46
↑ +13.5%
51
↑ +11.9%
54
↑ +6.5%
その他
65
-
130
↑ +100.0%
215
↑ +64.7%
186
↓ -13.2%
155
↓ -16.6%
183
↑ +17.8%
182
↓ -0.4%
157
↓ -14.0%
136
↓ -13.5%
販売費及び一般管理費
273
-
464
↑ +69.9%
598
↑ +28.7%
612
↑ +2.4%
606
↓ -0.9%
563
↓ -7.1%
562
↓ -0.2%
567
↑ +0.9%
566
↓ -0.2%
営業利益又は営業損失(△)
237
-
312
↑ +31.2%
434
↑ +39.2%
540
↑ +24.5%
325
↓ -39.8%
314
↓ -3.4%
452
↑ +43.8%
622
↑ +37.7%
785
↑ +26.2%
営業外収益
受取利息及び配当金
16
-
4
↓ -72.4%
3
↓ -41.0%
3
↑ +0.9%
2
↓ -18.0%
1
↓ -44.4%
1
↓ -49.5%
0
↓ -71.2%
2
↑ +852.9%
未払配当金除斥益
-
-
-
-
2
-
2
↓ -14.5%
1
↓ -54.1%
1
↑ +72.0%
1
↓ -12.8%
1
↑ +19.7%
1
↓ -3.5%
その他
5
-
4
↓ -20.9%
12
↑ +198.9%
5
↓ -54.7%
5
↓ -14.5%
5
↑ +14.0%
5
↓ -9.1%
4
↓ -7.9%
7
↑ +53.4%
営業外収益
100
-
58
↓ -42.4%
84
↑ +45.6%
15
↓ -82.7%
43
↑ +192.8%
32
↓ -24.4%
46
↑ +42.2%
6
↓ -87.2%
10
↑ +63.6%
営業外費用
支払利息
34
-
30
↓ -12.9%
38
↑ +28.2%
31
↓ -19.7%
30
↓ -2.9%
26
↓ -11.4%
30
↑ +15.9%
32
↑ +5.4%
34
↑ +5.3%
貸倒引当金繰入額
-
-
-
-
-
-
4
-
-
-
0
-
33
↑ +15478.1%
0
↓ -99.0%
-
-
その他
2
-
0
↓ -95.6%
6
↑ +7827.1%
4
↓ -24.3%
1
↓ -79.5%
2
↑ +145.2%
0
↓ -96.2%
0
0.0%
1
↑ +20033.3%
営業外費用
336
-
62
↓ -81.5%
60
↓ -4.4%
42
↓ -29.9%
54
↑ +30.3%
29
↓ -47.5%
64
↑ +124.0%
32
↓ -49.4%
35
↑ +7.9%
経常利益又は経常損失(△)
2
-
307
↑ +16154.6%
458
↑ +49.2%
513
↑ +11.9%
313
↓ -38.9%
318
↑ +1.4%
433
↑ +36.4%
595
↑ +37.3%
760
↑ +27.6%
特別利益
固定資産売却益
-
-
0
-
0
0.0%
0
0.0%
12
↑ +40196.6%
3
↓ -70.2%
-
-
32
-
-
-
その他
-
-
-
-
-
-
-
-
-
-
-
-
-
-
0
-
-
-
特別利益
-
-
0
-
0
0.0%
0
0.0%
12
↑ +40196.6%
3
↓ -70.2%
-
-
32
-
-
-
特別損失
減損損失
-
-
14
-
279
↑ +1951.9%
73
↓ -73.8%
-
-
-
-
16
-
21
↑ +29.9%
-
-
その他
-
-
0
-
-
-
-
-
-
-
-
-
-
-
1
-
-
-
特別損失
-
-
14
-
279
↑ +1880.8%
86
↓ -69.3%
0
↓ -99.6%
-
-
16
-
22
↑ +34.8%
-
-
税引前当期純利益又は税引前当期純損失(△)
2
-
293
↑ +15413.6%
180
↓ -38.7%
427
↑ +137.8%
325
↓ -24.0%
321
↓ -1.1%
417
↑ +29.9%
605
↑ +45.0%
760
↑ +25.5%
法人税、住民税及び事業税
8
-
52
↑ +540.7%
29
↓ -44.3%
92
↑ +218.4%
50
↓ -45.7%
80
↑ +59.3%
107
↑ +34.1%
157
↑ +46.2%
265
↑ +68.8%
法人税等調整額
-41
-
-20
↑ +50.9%
-7
↑ +65.7%
-3
↑ +63.3%
31
↑ +1346.9%
-14
↓ -143.8%
17
↑ +222.5%
34
↑ +102.5%
-24
↓ -169.8%
法人税等
-32
-
32
↑ +199.1%
22
↓ -31.0%
90
↑ +305.1%
82
↓ -9.4%
66
↓ -18.6%
124
↑ +87.0%
191
↑ +53.8%
241
↑ +26.3%
当期純利益又は当期純損失(△)
34
-
261
↑ +659.3%
158
↓ -39.6%
337
↑ +114.2%
243
↓ -27.9%
255
↑ +4.8%
293
↑ +15.0%
414
↑ +41.3%
519
↑ +25.2%
(内訳)
親会社株主に帰属する当期純利益又は親会社株主に帰属する当期純損失(△)
34
-
261
↑ +659.3%
158
↓ -39.6%
337
↑ +114.2%
243
↓ -27.9%
255
↑ +4.8%
293
↑ +15.0%
414
↑ +41.3%
519
↑ +25.2%
包括利益
34
-
261
↑ +659.3%
158
↓ -39.6%
337
↑ +114.2%
243
↓ -27.9%
255
↑ +4.8%
293
↑ +15.0%
414
↑ +41.3%
519
↑ +25.2%
(内訳)
親会社株主に係る包括利益
34
-
261
↑ +659.3%
158
↓ -39.6%
337
↑ +114.2%
243
↓ -27.9%
255
↑ +4.8%
293
↑ +15.0%
414
↑ +41.3%
519
↑ +25.2%
(単位: 百万円)
勘定科目
2016年
JGAAP
2017年
JGAAP
2018年
JGAAP
2019年
JGAAP
2020年
JGAAP
2021年
JGAAP
2022年
JGAAP
2023年
JGAAP
2024年
JGAAP
2025年
JGAAP
勘定科目2016年2017年2018年2019年2020年2021年2022年2023年2024年2025年
資産の部
流動資産
現金及び預金
-
-
2,700
-
1,661
↓ -38.5%
1,959
↑ +17.9%
2,411
↑ +23.1%
2,353
↓ -2.4%
2,659
↑ +13.0%
2,398
↓ -9.8%
3,448
↑ +43.8%
2,506
↓ -27.3%
受取手形・完成工事未収入金等
-
-
1,018
-
1,088
↑ +6.9%
2,115
↑ +94.4%
1,965
↓ -7.1%
1,302
↓ -33.8%
1,554
↑ +19.4%
2,648
↑ +70.4%
2,294
↓ -13.4%
1,970
↓ -14.1%
未成工事支出金
-
-
189
-
142
↓ -24.6%
303
↑ +112.8%
401
↑ +32.3%
178
↓ -55.6%
280
↑ +57.2%
127
↓ -54.5%
110
↓ -13.5%
370
↑ +236.3%
不動産事業等支出金
-
-
113
-
116
↑ +2.9%
179
↑ +53.8%
133
↓ -25.5%
51
↓ -62.0%
36
↓ -29.5%
22
↓ -39.4%
15
↓ -29.0%
45
↑ +195.4%
販売用不動産
-
-
872
-
1,655
↑ +89.8%
2,003
↑ +21.0%
2,729
↑ +36.3%
3,462
↑ +26.9%
3,556
↑ +2.7%
5,115
↑ +43.9%
4,896
↓ -4.3%
5,764
↑ +17.7%
貯蔵品
-
-
-
-
0
-
0
0.0%
0
0.0%
0
0.0%
0
0.0%
0
0.0%
0
0.0%
18
↑ +71268.0%
その他
-
-
107
-
134
↑ +24.8%
111
↓ -17.0%
115
↑ +3.4%
80
↓ -30.2%
80
↓ -0.4%
86
↑ +7.4%
109
↑ +27.3%
97
↓ -10.8%
貸倒引当金
-
-
-37
-
-12
↑ +67.4%
-3
↑ +71.2%
-3
↑ +19.3%
-3
↑ +3.4%
-2
↑ +13.0%
-1
↑ +72.2%
-1
↓ -77.2%
-1
↑ +30.0%
流動資産
-
-
5,079
-
4,784
↓ -5.8%
6,665
↑ +39.3%
7,751
↑ +16.3%
7,423
↓ -4.2%
8,162
↑ +10.0%
10,395
↑ +27.4%
10,870
↑ +4.6%
10,769
↓ -0.9%
固定資産
有形固定資産
建物及び構築物(純額)
-
-
833
-
778
↓ -6.6%
488
↓ -37.3%
378
↓ -22.5%
356
↓ -5.7%
335
↓ -6.1%
147
↓ -56.2%
146
↓ -0.7%
178
↑ +22.3%
機械装置及び運搬具(純額)
-
-
32
-
67
↑ +107.0%
71
↑ +5.4%
59
↓ -17.3%
81
↑ +38.1%
87
↑ +7.9%
95
↑ +9.2%
116
↑ +21.1%
130
↑ +12.9%
土地
-
-
612
-
612
0.0%
609
↓ -0.5%
609
0.0%
609
0.0%
609
0.0%
472
↓ -22.4%
442
↓ -6.4%
505
↑ +14.3%
有形固定資産
-
-
1,527
-
1,512
↓ -1.0%
1,173
↓ -22.4%
1,048
↓ -10.6%
1,046
↓ -0.2%
1,031
↓ -1.4%
714
↓ -30.7%
703
↓ -1.6%
814
↑ +15.7%
無形固定資産
その他
-
-
6
-
6
↓ -4.1%
3
↓ -38.6%
3
↓ -27.3%
3
↑ +23.4%
2
↓ -40.1%
1
↓ -23.0%
1
↓ -13.7%
1
↓ -35.8%
無形固定資産
-
-
17
-
37
↑ +113.3%
110
↑ +196.3%
67
↓ -38.8%
99
↑ +47.1%
69
↓ -30.3%
39
↓ -43.4%
1
↓ -96.8%
1
↓ -35.8%
投資その他の資産
長期貸付金
-
-
158
-
64
↓ -59.8%
41
↓ -34.7%
66
↑ +59.9%
56
↓ -16.2%
43
↓ -22.0%
3
↓ -92.7%
3
↑ +3.2%
3
↓ -10.8%
固定化営業債権
-
-
207
-
337
↑ +62.7%
2
↓ -99.5%
10
↑ +448.9%
2
↓ -81.8%
2
0.0%
2
0.0%
2
0.0%
2
0.0%
保険積立金
-
-
71
-
73
↑ +3.2%
37
↓ -49.9%
37
0.0%
44
↑ +20.3%
8
↓ -81.8%
8
0.0%
58
↑ +628.3%
73
↑ +25.2%
退職給付に係る資産
-
-
-
-
6
-
2
↓ -61.1%
6
↑ +167.8%
32
↑ +407.9%
37
↑ +17.8%
66
↑ +77.5%
110
↑ +66.6%
130
↑ +18.1%
繰延税金資産
-
-
-
-
-
-
68
-
70
↑ +2.8%
48
↓ -31.3%
62
↑ +29.2%
43
↓ -30.3%
10
↓ -76.2%
33
↑ +222.4%
その他
-
-
108
-
129
↑ +20.1%
129
↓ -0.3%
107
↓ -16.8%
115
↑ +6.8%
133
↑ +16.5%
177
↑ +32.8%
182
↑ +2.7%
222
↑ +21.7%
貸倒引当金
-
-
-351
-
-346
↑ +1.4%
-11
↑ +96.8%
-17
↓ -53.8%
-9
↑ +49.1%
-9
↑ +0.1%
-41
↓ -368.3%
-9
↑ +79.0%
-9
↑ +0.3%
投資その他の資産
-
-
192
-
324
↑ +68.4%
268
↓ -17.4%
279
↑ +4.2%
287
↑ +2.7%
277
↓ -3.4%
258
↓ -6.8%
357
↑ +38.3%
453
↑ +27.1%
固定資産
-
-
1,737
-
1,873
↑ +7.8%
1,550
↓ -17.2%
1,394
↓ -10.1%
1,432
↑ +2.7%
1,377
↓ -3.8%
1,011
↓ -26.6%
1,061
↑ +4.9%
1,268
↑ +19.5%
資産
-
-
6,817
-
6,658
↓ -2.3%
8,215
↑ +23.4%
9,146
↑ +11.3%
8,854
↓ -3.2%
9,538
↑ +7.7%
11,406
↑ +19.6%
11,931
↑ +4.6%
12,037
↑ +0.9%
負債の部
流動負債
工事未払金
-
-
229
-
419
↑ +82.6%
388
↓ -7.2%
299
↓ -23.1%
489
↑ +63.8%
562
↑ +14.9%
381
↓ -32.2%
374
↓ -1.8%
345
↓ -7.8%
短期借入金
-
-
696
-
322
↓ -53.8%
1,151
↑ +257.6%
986
↓ -14.3%
370
↓ -62.5%
322
↓ -12.8%
347
↑ +7.5%
687
↑ +98.2%
291
↓ -57.6%
未払金
-
-
101
-
105
↑ +4.2%
54
↓ -48.9%
51
↓ -4.9%
54
↑ +5.6%
20
↓ -62.4%
29
↑ +42.7%
25
↓ -13.1%
53
↑ +111.3%
未払法人税等
-
-
29
-
51
↑ +73.6%
26
↓ -49.2%
98
↑ +279.4%
31
↓ -68.3%
66
↑ +110.2%
74
↑ +12.1%
133
↑ +80.6%
208
↑ +56.3%
未成工事受入金
-
-
788
-
303
↓ -61.6%
577
↑ +90.6%
857
↑ +48.5%
253
↓ -70.4%
848
↑ +234.6%
1,070
↑ +26.2%
1,357
↑ +26.8%
792
↓ -41.6%
賞与引当金
-
-
12
-
54
↑ +339.1%
60
↑ +10.3%
70
↑ +17.4%
80
↑ +14.1%
72
↓ -9.6%
108
↑ +49.6%
106
↓ -2.4%
50
↓ -52.2%
役員賞与引当金
-
-
-
-
-
-
-
-
4
-
26
↑ +560.4%
12
↓ -51.8%
19
↑ +56.5%
18
↓ -8.7%
-
-
完成工事補償引当金
-
-
21
-
27
↑ +28.9%
30
↑ +13.0%
28
↓ -6.9%
23
↓ -18.3%
14
↓ -40.8%
18
↑ +29.0%
16
↓ -10.4%
12
↓ -26.6%
資産除去債務
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
14
-
その他
-
-
114
-
162
↑ +41.5%
169
↑ +4.4%
129
↓ -23.6%
192
↑ +49.0%
167
↓ -13.1%
149
↓ -10.5%
220
↑ +47.5%
248
↑ +12.7%
流動負債
-
-
2,095
-
1,442
↓ -31.2%
2,454
↑ +70.3%
2,578
↑ +5.0%
1,548
↓ -40.0%
2,085
↑ +34.7%
2,194
↑ +5.2%
2,935
↑ +33.7%
2,013
↓ -31.4%
固定負債
長期借入金
-
-
907
-
1,200
↑ +32.3%
1,868
↑ +55.7%
2,399
↑ +28.4%
2,972
↑ +23.9%
2,920
↓ -1.8%
4,009
↑ +37.3%
3,313
↓ -17.4%
4,019
↑ +21.3%
役員退職慰労引当金
-
-
-
-
-
-
-
-
-
-
-
-
9
-
14
↑ +50.5%
19
↑ +34.7%
21
↑ +14.6%
資産除去債務
-
-
-
-
-
-
-
-
-
-
-
-
-
-
14
-
14
0.0%
-
-
繰延税金負債
-
-
-
-
-
-
-
-
-
-
2
-
2
↑ +17.8%
-
-
1
-
-
-
その他
-
-
37
-
38
↑ +0.6%
27
↓ -29.5%
26
↓ -3.4%
29
↑ +14.4%
40
↑ +37.5%
31
↓ -23.6%
32
↑ +3.4%
35
↑ +9.2%
固定負債
-
-
1,193
-
1,448
↑ +21.3%
1,895
↑ +30.9%
2,425
↑ +28.0%
3,003
↑ +23.8%
2,971
↓ -1.1%
4,067
↑ +36.9%
3,379
↓ -16.9%
4,075
↑ +20.6%
負債
-
-
3,288
-
2,889
↓ -12.1%
4,349
↑ +50.5%
5,003
↑ +15.0%
4,551
↓ -9.0%
5,057
↑ +11.1%
6,262
↑ +23.8%
6,313
↑ +0.8%
6,087
↓ -3.6%
純資産の部
株主資本
資本金
-
-
2,765
-
2,765
0.0%
2,765
0.0%
2,765
0.0%
2,769
↑ +0.1%
2,779
↑ +0.4%
3,001
↑ +8.0%
3,101
↑ +3.3%
3,101
0.0%
資本剰余金
-
-
705
-
705
0.0%
705
↓ -0.1%
704
↓ -0.1%
707
↑ +0.4%
718
↑ +1.5%
939
↑ +30.9%
1,039
↑ +10.6%
1,039
0.0%
利益剰余金
-
-
92
-
324
↑ +250.2%
407
↑ +25.8%
670
↑ +64.7%
810
↑ +20.8%
960
↑ +18.6%
1,179
↑ +22.7%
1,453
↑ +23.3%
1,785
↑ +22.8%
自己株式
-
-
-54
-
-55
↓ -1.6%
-55
↑ +0.5%
-54
↑ +0.4%
-54
↑ +0.2%
-54
↑ +0.5%
-54
↓ -0.3%
-54
↓ -0.3%
-54
↓ -0.1%
株主資本
-
-
3,509
-
3,739
↑ +6.6%
3,822
↑ +2.2%
4,085
↑ +6.9%
4,231
↑ +3.6%
4,403
↑ +4.1%
5,065
↑ +15.0%
5,540
↑ +9.4%
5,871
↑ +6.0%
新株予約権
-
-
19
-
30
↑ +51.8%
44
↑ +47.5%
58
↑ +32.2%
72
↑ +25.0%
78
↑ +8.7%
79
↑ +1.4%
78
↓ -1.4%
78
0.0%
純資産
3,568
-
3,528
↓ -1.1%
3,769
↑ +6.8%
3,866
↑ +2.6%
4,143
↑ +7.2%
4,303
↑ +3.9%
4,482
↑ +4.2%
5,145
↑ +14.8%
5,618
↑ +9.2%
5,950
↑ +5.9%
負債純資産
-
-
6,817
-
6,658
↓ -2.3%
8,215
↑ +23.4%
9,146
↑ +11.3%
8,854
↓ -3.2%
9,538
↑ +7.7%
11,406
↑ +19.6%
11,931
↑ +4.6%
12,037
↑ +0.9%
2016年2017年2018年2019年2020年2021年2022年2023年2024年2025年
資産の部
流動資産
現金及び預金
-
-
2,700
-
1,661
↓ -38.5%
1,959
↑ +17.9%
2,411
↑ +23.1%
2,353
↓ -2.4%
2,659
↑ +13.0%
2,398
↓ -9.8%
3,448
↑ +43.8%
2,506
↓ -27.3%
受取手形・完成工事未収入金等
-
-
1,018
-
1,088
↑ +6.9%
2,115
↑ +94.4%
1,965
↓ -7.1%
1,302
↓ -33.8%
1,554
↑ +19.4%
2,648
↑ +70.4%
2,294
↓ -13.4%
1,970
↓ -14.1%
未成工事支出金
-
-
189
-
142
↓ -24.6%
303
↑ +112.8%
401
↑ +32.3%
178
↓ -55.6%
280
↑ +57.2%
127
↓ -54.5%
110
↓ -13.5%
370
↑ +236.3%
不動産事業等支出金
-
-
113
-
116
↑ +2.9%
179
↑ +53.8%
133
↓ -25.5%
51
↓ -62.0%
36
↓ -29.5%
22
↓ -39.4%
15
↓ -29.0%
45
↑ +195.4%
販売用不動産
-
-
872
-
1,655
↑ +89.8%
2,003
↑ +21.0%
2,729
↑ +36.3%
3,462
↑ +26.9%
3,556
↑ +2.7%
5,115
↑ +43.9%
4,896
↓ -4.3%
5,764
↑ +17.7%
貯蔵品
-
-
-
-
0
-
0
0.0%
0
0.0%
0
0.0%
0
0.0%
0
0.0%
0
0.0%
18
↑ +71268.0%
その他
-
-
107
-
134
↑ +24.8%
111
↓ -17.0%
115
↑ +3.4%
80
↓ -30.2%
80
↓ -0.4%
86
↑ +7.4%
109
↑ +27.3%
97
↓ -10.8%
貸倒引当金
-
-
-37
-
-12
↑ +67.4%
-3
↑ +71.2%
-3
↑ +19.3%
-3
↑ +3.4%
-2
↑ +13.0%
-1
↑ +72.2%
-1
↓ -77.2%
-1
↑ +30.0%
流動資産
-
-
5,079
-
4,784
↓ -5.8%
6,665
↑ +39.3%
7,751
↑ +16.3%
7,423
↓ -4.2%
8,162
↑ +10.0%
10,395
↑ +27.4%
10,870
↑ +4.6%
10,769
↓ -0.9%
固定資産
有形固定資産
建物及び構築物(純額)
-
-
833
-
778
↓ -6.6%
488
↓ -37.3%
378
↓ -22.5%
356
↓ -5.7%
335
↓ -6.1%
147
↓ -56.2%
146
↓ -0.7%
178
↑ +22.3%
機械装置及び運搬具(純額)
-
-
32
-
67
↑ +107.0%
71
↑ +5.4%
59
↓ -17.3%
81
↑ +38.1%
87
↑ +7.9%
95
↑ +9.2%
116
↑ +21.1%
130
↑ +12.9%
土地
-
-
612
-
612
0.0%
609
↓ -0.5%
609
0.0%
609
0.0%
609
0.0%
472
↓ -22.4%
442
↓ -6.4%
505
↑ +14.3%
有形固定資産
-
-
1,527
-
1,512
↓ -1.0%
1,173
↓ -22.4%
1,048
↓ -10.6%
1,046
↓ -0.2%
1,031
↓ -1.4%
714
↓ -30.7%
703
↓ -1.6%
814
↑ +15.7%
無形固定資産
その他
-
-
6
-
6
↓ -4.1%
3
↓ -38.6%
3
↓ -27.3%
3
↑ +23.4%
2
↓ -40.1%
1
↓ -23.0%
1
↓ -13.7%
1
↓ -35.8%
無形固定資産
-
-
17
-
37
↑ +113.3%
110
↑ +196.3%
67
↓ -38.8%
99
↑ +47.1%
69
↓ -30.3%
39
↓ -43.4%
1
↓ -96.8%
1
↓ -35.8%
投資その他の資産
長期貸付金
-
-
158
-
64
↓ -59.8%
41
↓ -34.7%
66
↑ +59.9%
56
↓ -16.2%
43
↓ -22.0%
3
↓ -92.7%
3
↑ +3.2%
3
↓ -10.8%
固定化営業債権
-
-
207
-
337
↑ +62.7%
2
↓ -99.5%
10
↑ +448.9%
2
↓ -81.8%
2
0.0%
2
0.0%
2
0.0%
2
0.0%
保険積立金
-
-
71
-
73
↑ +3.2%
37
↓ -49.9%
37
0.0%
44
↑ +20.3%
8
↓ -81.8%
8
0.0%
58
↑ +628.3%
73
↑ +25.2%
退職給付に係る資産
-
-
-
-
6
-
2
↓ -61.1%
6
↑ +167.8%
32
↑ +407.9%
37
↑ +17.8%
66
↑ +77.5%
110
↑ +66.6%
130
↑ +18.1%
繰延税金資産
-
-
-
-
-
-
68
-
70
↑ +2.8%
48
↓ -31.3%
62
↑ +29.2%
43
↓ -30.3%
10
↓ -76.2%
33
↑ +222.4%
その他
-
-
108
-
129
↑ +20.1%
129
↓ -0.3%
107
↓ -16.8%
115
↑ +6.8%
133
↑ +16.5%
177
↑ +32.8%
182
↑ +2.7%
222
↑ +21.7%
貸倒引当金
-
-
-351
-
-346
↑ +1.4%
-11
↑ +96.8%
-17
↓ -53.8%
-9
↑ +49.1%
-9
↑ +0.1%
-41
↓ -368.3%
-9
↑ +79.0%
-9
↑ +0.3%
投資その他の資産
-
-
192
-
324
↑ +68.4%
268
↓ -17.4%
279
↑ +4.2%
287
↑ +2.7%
277
↓ -3.4%
258
↓ -6.8%
357
↑ +38.3%
453
↑ +27.1%
固定資産
-
-
1,737
-
1,873
↑ +7.8%
1,550
↓ -17.2%
1,394
↓ -10.1%
1,432
↑ +2.7%
1,377
↓ -3.8%
1,011
↓ -26.6%
1,061
↑ +4.9%
1,268
↑ +19.5%
資産
-
-
6,817
-
6,658
↓ -2.3%
8,215
↑ +23.4%
9,146
↑ +11.3%
8,854
↓ -3.2%
9,538
↑ +7.7%
11,406
↑ +19.6%
11,931
↑ +4.6%
12,037
↑ +0.9%
負債の部
流動負債
工事未払金
-
-
229
-
419
↑ +82.6%
388
↓ -7.2%
299
↓ -23.1%
489
↑ +63.8%
562
↑ +14.9%
381
↓ -32.2%
374
↓ -1.8%
345
↓ -7.8%
短期借入金
-
-
696
-
322
↓ -53.8%
1,151
↑ +257.6%
986
↓ -14.3%
370
↓ -62.5%
322
↓ -12.8%
347
↑ +7.5%
687
↑ +98.2%
291
↓ -57.6%
未払金
-
-
101
-
105
↑ +4.2%
54
↓ -48.9%
51
↓ -4.9%
54
↑ +5.6%
20
↓ -62.4%
29
↑ +42.7%
25
↓ -13.1%
53
↑ +111.3%
未払法人税等
-
-
29
-
51
↑ +73.6%
26
↓ -49.2%
98
↑ +279.4%
31
↓ -68.3%
66
↑ +110.2%
74
↑ +12.1%
133
↑ +80.6%
208
↑ +56.3%
未成工事受入金
-
-
788
-
303
↓ -61.6%
577
↑ +90.6%
857
↑ +48.5%
253
↓ -70.4%
848
↑ +234.6%
1,070
↑ +26.2%
1,357
↑ +26.8%
792
↓ -41.6%
賞与引当金
-
-
12
-
54
↑ +339.1%
60
↑ +10.3%
70
↑ +17.4%
80
↑ +14.1%
72
↓ -9.6%
108
↑ +49.6%
106
↓ -2.4%
50
↓ -52.2%
役員賞与引当金
-
-
-
-
-
-
-
-
4
-
26
↑ +560.4%
12
↓ -51.8%
19
↑ +56.5%
18
↓ -8.7%
-
-
完成工事補償引当金
-
-
21
-
27
↑ +28.9%
30
↑ +13.0%
28
↓ -6.9%
23
↓ -18.3%
14
↓ -40.8%
18
↑ +29.0%
16
↓ -10.4%
12
↓ -26.6%
資産除去債務
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
14
-
その他
-
-
114
-
162
↑ +41.5%
169
↑ +4.4%
129
↓ -23.6%
192
↑ +49.0%
167
↓ -13.1%
149
↓ -10.5%
220
↑ +47.5%
248
↑ +12.7%
流動負債
-
-
2,095
-
1,442
↓ -31.2%
2,454
↑ +70.3%
2,578
↑ +5.0%
1,548
↓ -40.0%
2,085
↑ +34.7%
2,194
↑ +5.2%
2,935
↑ +33.7%
2,013
↓ -31.4%
固定負債
長期借入金
-
-
907
-
1,200
↑ +32.3%
1,868
↑ +55.7%
2,399
↑ +28.4%
2,972
↑ +23.9%
2,920
↓ -1.8%
4,009
↑ +37.3%
3,313
↓ -17.4%
4,019
↑ +21.3%
役員退職慰労引当金
-
-
-
-
-
-
-
-
-
-
-
-
9
-
14
↑ +50.5%
19
↑ +34.7%
21
↑ +14.6%
資産除去債務
-
-
-
-
-
-
-
-
-
-
-
-
-
-
14
-
14
0.0%
-
-
繰延税金負債
-
-
-
-
-
-
-
-
-
-
2
-
2
↑ +17.8%
-
-
1
-
-
-
その他
-
-
37
-
38
↑ +0.6%
27
↓ -29.5%
26
↓ -3.4%
29
↑ +14.4%
40
↑ +37.5%
31
↓ -23.6%
32
↑ +3.4%
35
↑ +9.2%
固定負債
-
-
1,193
-
1,448
↑ +21.3%
1,895
↑ +30.9%
2,425
↑ +28.0%
3,003
↑ +23.8%
2,971
↓ -1.1%
4,067
↑ +36.9%
3,379
↓ -16.9%
4,075
↑ +20.6%
負債
-
-
3,288
-
2,889
↓ -12.1%
4,349
↑ +50.5%
5,003
↑ +15.0%
4,551
↓ -9.0%
5,057
↑ +11.1%
6,262
↑ +23.8%
6,313
↑ +0.8%
6,087
↓ -3.6%
純資産の部
株主資本
資本金
-
-
2,765
-
2,765
0.0%
2,765
0.0%
2,765
0.0%
2,769
↑ +0.1%
2,779
↑ +0.4%
3,001
↑ +8.0%
3,101
↑ +3.3%
3,101
0.0%
資本剰余金
-
-
705
-
705
0.0%
705
↓ -0.1%
704
↓ -0.1%
707
↑ +0.4%
718
↑ +1.5%
939
↑ +30.9%
1,039
↑ +10.6%
1,039
0.0%
利益剰余金
-
-
92
-
324
↑ +250.2%
407
↑ +25.8%
670
↑ +64.7%
810
↑ +20.8%
960
↑ +18.6%
1,179
↑ +22.7%
1,453
↑ +23.3%
1,785
↑ +22.8%
自己株式
-
-
-54
-
-55
↓ -1.6%
-55
↑ +0.5%
-54
↑ +0.4%
-54
↑ +0.2%
-54
↑ +0.5%
-54
↓ -0.3%
-54
↓ -0.3%
-54
↓ -0.1%
株主資本
-
-
3,509
-
3,739
↑ +6.6%
3,822
↑ +2.2%
4,085
↑ +6.9%
4,231
↑ +3.6%
4,403
↑ +4.1%
5,065
↑ +15.0%
5,540
↑ +9.4%
5,871
↑ +6.0%
新株予約権
-
-
19
-
30
↑ +51.8%
44
↑ +47.5%
58
↑ +32.2%
72
↑ +25.0%
78
↑ +8.7%
79
↑ +1.4%
78
↓ -1.4%
78
0.0%
純資産
3,568
-
3,528
↓ -1.1%
3,769
↑ +6.8%
3,866
↑ +2.6%
4,143
↑ +7.2%
4,303
↑ +3.9%
4,482
↑ +4.2%
5,145
↑ +14.8%
5,618
↑ +9.2%
5,950
↑ +5.9%
負債純資産
-
-
6,817
-
6,658
↓ -2.3%
8,215
↑ +23.4%
9,146
↑ +11.3%
8,854
↓ -3.2%
9,538
↑ +7.7%
11,406
↑ +19.6%
11,931
↑ +4.6%
12,037
↑ +0.9%
(単位: 百万円)
勘定科目
2016年
JGAAP
2017年
JGAAP
2018年
JGAAP
2019年
JGAAP
2020年
JGAAP
2021年
JGAAP
2022年
JGAAP
2023年
JGAAP
2024年
JGAAP
2025年
JGAAP
勘定科目2016年2017年2018年2019年2020年2021年2022年2023年2024年2025年
営業活動によるキャッシュ・フロー
税引前当期純利益又は税引前当期純損失(△)
-
-
2
-
293
↑ +15413.6%
180
↓ -38.7%
427
↑ +137.8%
325
↓ -24.0%
321
↓ -1.1%
417
↑ +29.9%
605
↑ +45.0%
760
↑ +25.5%
減価償却費
-
-
57
-
77
↑ +35.5%
90
↑ +16.5%
61
↓ -32.3%
60
↓ -2.4%
68
↑ +13.6%
53
↓ -21.9%
48
↓ -8.3%
60
↑ +24.5%
のれん償却額
-
-
-
-
6
-
22
↑ +241.3%
42
↑ +89.3%
19
↓ -53.5%
29
↑ +47.7%
29
↑ +2.9%
17
↓ -43.9%
-
-
減損損失
-
-
-
-
14
-
279
↑ +1951.9%
73
↓ -73.8%
-
-
-
-
16
-
21
↑ +29.9%
-
-
貸倒引当金の増減額(△は減少)
-
-
-3
-
-30
↓ -753.1%
-340
↓ -1044.7%
5
↑ +101.6%
-9
↓ -260.8%
-0
↑ +95.8%
31
↑ +8695.0%
0
↓ -98.7%
-0
0.0%
賞与引当金の増減額(△は減少)
-
-
-25
-
42
↑ +268.8%
4
↓ -90.8%
10
↑ +171.7%
8
↓ -27.4%
-8
↓ -202.3%
36
↑ +564.6%
-3
↓ -107.1%
-55
↓ -2055.3%
役員退職慰労引当金の増減額(△は減少)
-
-
-
-
-
-
-
-
-
-
-
-
9
-
5
↓ -49.5%
5
↑ +3.5%
3
↓ -43.5%
役員賞与引当金の増減額(△は減少)
-
-
-
-
-
-
-
-
4
-
22
↑ +460.4%
-13
↓ -161.1%
7
↑ +152.5%
-2
↓ -124.2%
-18
↓ -944.5%
退職給付に係る資産の増減額(△は増加)
-
-
-
-
-
-
-
-
-
-
-
-
-6
-
-29
↓ -414.2%
-44
↓ -52.5%
-20
↑ +54.7%
完成工事補償引当金の増減額(△は減少)
-
-
11
-
6
↓ -47.2%
3
↓ -42.1%
-2
↓ -160.3%
-5
↓ -146.2%
-9
↓ -81.6%
4
↑ +142.2%
-2
↓ -146.2%
-4
↓ -129.5%
受取利息及び受取配当金
-
-
-16
-
-4
↑ +73.2%
-3
↑ +41.0%
-2
↑ +2.6%
-2
↑ +15.0%
-1
↑ +44.4%
-1
↑ +49.5%
-0
↑ +71.2%
-2
↓ -852.9%
支払利息
-
-
35
-
30
↓ -14.2%
38
↑ +28.2%
31
↓ -19.7%
30
↓ -2.9%
26
↓ -11.4%
30
↑ +15.9%
32
↑ +5.4%
34
↑ +5.3%
固定資産売却損益(△は益)
-
-
-
-
-
-
-
-
-
-
-
-
-3
-
-39
↓ -1030.6%
-32
↑ +19.5%
-
-
売上債権の増減額(△は増加)
-
-
304
-
18
↓ -94.2%
-984
↓ -5719.7%
149
↑ +115.2%
976
↑ +553.2%
-252
↓ -125.9%
-1,094
↓ -333.6%
354
↑ +132.4%
324
↓ -8.6%
棚卸資産の増減額(△は増加)
-
-
-154
-
-739
↓ -379.3%
-522
↑ +29.3%
-779
↓ -49.1%
-424
↑ +45.5%
-180
↑ +57.6%
-1,265
↓ -602.7%
275
↑ +121.7%
-1,176
↓ -527.8%
仕入債務の増減額(△は減少)
-
-
-141
-
137
↑ +197.1%
-67
↓ -149.0%
-90
↓ -34.2%
33
↑ +136.6%
73
↑ +120.7%
-181
↓ -349.0%
-7
↑ +96.2%
-29
↓ -326.9%
未成工事受入金の増減額(△は減少)
-
-
136
-
-486
↓ -456.7%
254
↑ +152.3%
280
↑ +10.4%
-604
↓ -315.6%
594
↑ +198.4%
223
↓ -62.6%
287
↑ +28.8%
-565
↓ -297.1%
未払消費税等の増減額(△は減少)
-
-
-
-
-
-
-
-
-
-
61
-
-29
↓ -146.8%
-22
↑ +24.6%
62
↑ +387.6%
-78
↓ -225.5%
長期前払費用の増減額(△は増加)
-
-
-
-
-
-
-
-
-
-
-
-
-14
-
-27
↓ -92.7%
6
↑ +121.2%
-33
↓ -677.0%
前払費用の増減額(△は増加)
-
-
-
-
-
-
-
-
-
-
-
-
-9
-
-15
↓ -62.8%
-1
↑ +91.8%
-11
↓ -791.1%
未払金の増減額(△は減少)
-
-
-
-
-
-
-
-
-
-
2
-
-33
↓ -1627.1%
9
↑ +126.7%
-4
↓ -144.0%
28
↑ +813.7%
未払費用の増減額(△は減少)
-
-
-
-
-
-
-
-
-
-
-6
-
-4
↑ +31.9%
-3
↑ +18.7%
10
↑ +422.8%
107
↑ +964.0%
その他
-
-
127
-
106
↓ -16.5%
-17
↓ -115.9%
-27
↓ -61.0%
-4
↑ +85.9%
52
↑ +1441.3%
8
↓ -85.0%
3
↓ -55.1%
35
↑ +901.2%
小計
-
-
571
-
-639
↓ -211.8%
-727
↓ -13.9%
229
↑ +131.5%
464
↑ +102.7%
582
↑ +25.3%
-1,810
↓ -411.1%
1,631
↑ +190.1%
-639
↓ -139.2%
利息及び配当金の受取額
-
-
16
-
4
↓ -73.2%
3
↓ -41.0%
2
↓ -2.6%
2
↓ -15.0%
1
↓ -44.4%
0
↓ -61.2%
0
0.0%
2
↑ +852.9%
利息の支払額
-
-
-33
-
-29
↑ +11.7%
-38
↓ -28.4%
-33
↑ +13.3%
-30
↑ +9.7%
-26
↑ +10.7%
-31
↓ -16.6%
-32
↓ -3.6%
-35
↓ -8.7%
法人税等の支払額
-
-
-33
-
-33
↓ -1.6%
-70
↓ -111.5%
-30
↑ +57.8%
-103
↓ -246.9%
-70
↑ +32.0%
-110
↓ -57.7%
-124
↓ -12.6%
-207
↓ -67.5%
法人税等の還付額
-
-
-
-
11
-
-
-
20
-
-
-
17
-
-
-
-
-
8
-
営業活動によるキャッシュ・フロー
-
-
221
-
-679
↓ -406.6%
-811
↓ -19.5%
189
↑ +123.3%
334
↑ +76.6%
504
↑ +50.9%
-1,950
↓ -487.0%
1,476
↑ +175.7%
-871
↓ -159.0%
投資活動によるキャッシュ・フロー
有形固定資産の取得による支出
-
-
-325
-
-69
↑ +78.6%
-31
↑ +55.0%
-24
↑ +22.3%
-53
↓ -119.3%
-51
↑ +3.4%
-142
↓ -175.8%
-68
↑ +52.1%
-170
↓ -150.4%
有形固定資産の売却による収入
-
-
316
-
0
↓ -100.0%
0
0.0%
3
↑ +1197.0%
12
↑ +291.3%
3
↓ -70.9%
316
↑ +8973.7%
32
↓ -90.0%
-
-
貸付けによる支出
-
-
-3
-
-295
↓ -10250.9%
-5
↑ +98.3%
-40
↓ -700.0%
-77
↓ -92.3%
-7
↑ +91.0%
-
-
-1
-
-
-
貸付金の回収による収入
-
-
8
-
226
↑ +2827.9%
41
↓ -81.8%
15
↓ -62.4%
91
↑ +488.4%
19
↓ -79.0%
15
↓ -19.4%
3
↓ -83.0%
2
↓ -37.6%
保険積立金の積立による支出
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-50
-
-15
↑ +70.8%
定期預金の預入による支出
-
-
-
-
-4
-
-60
↓ -1496.0%
-10
↑ +84.0%
-8
↑ +11.6%
-6
↑ +29.3%
-76
↓ -1170.3%
-141
↓ -85.5%
-105
↑ +25.7%
定期預金の払戻による収入
-
-
-
-
-
-
100
-
-
-
-
-
-
-
62
-
92
↑ +48.5%
95
↑ +3.9%
その他
-
-
0
-
-3
↓ -1982.0%
-3
↑ +9.1%
6
↑ +282.3%
-0
↓ -107.6%
1
↑ +409.5%
-0
↓ -114.8%
-0
0.0%
-1
↓ -173.3%
投資活動によるキャッシュ・フロー
-
-
96
-
-200
↓ -309.6%
-28
↑ +85.9%
-50
↓ -77.0%
-150
↓ -201.5%
-4
↑ +97.0%
175
↑ +4003.0%
-135
↓ -177.5%
-194
↓ -43.1%
財務活動によるキャッシュ・フロー
短期借入れによる収入
-
-
2,630
-
1,604
↓ -39.0%
3,045
↑ +89.8%
4,760
↑ +56.3%
1,880
↓ -60.5%
2,450
↑ +30.3%
3,000
↑ +22.4%
2,900
↓ -3.3%
1,400
↓ -51.7%
短期借入金の返済による支出
-
-
-2,440
-
-1,869
↑ +23.4%
-2,270
↓ -21.5%
-5,013
↓ -120.9%
-2,433
↑ +51.5%
-2,450
↓ -0.7%
-3,000
↓ -22.4%
-2,700
↑ +10.0%
-1,800
↑ +33.3%
長期借入れによる収入
-
-
594
-
530
↓ -10.8%
1,200
↑ +126.4%
1,036
↓ -13.7%
877
↓ -15.3%
748
↓ -14.7%
1,520
↑ +103.2%
-
-
1,000
-
長期借入金の返済による支出
-
-
-313
-
-351
↓ -12.2%
-478
↓ -35.9%
-416
↑ +12.9%
-463
↓ -11.3%
-848
↓ -83.2%
-407
↑ +52.0%
-555
↓ -36.6%
-290
↑ +47.7%
株式の発行による収入
-
-
-
-
-
-
-
-
-
-
0
-
0
0.0%
441
↑ +450053.1%
199
↓ -54.9%
-
-
配当金の支払額
-
-
-72
-
-29
↑ +60.2%
-75
↓ -159.4%
-75
↑ +0.3%
-103
↓ -38.1%
-104
↓ -0.9%
-75
↑ +27.9%
-140
↓ -86.4%
-187
↓ -33.5%
その他
-
-
-0
-
-1
↓ -110.4%
-0
↑ +76.1%
-0
0.0%
-0
0.0%
-0
0.0%
3
↑ +3725.5%
-0
↓ -105.0%
-0
0.0%
財務活動によるキャッシュ・フロー
-
-
365
-
-164
↓ -144.9%
1,161
↑ +807.7%
289
↓ -75.1%
-244
↓ -184.5%
-204
↑ +16.6%
1,483
↑ +827.1%
-296
↓ -120.0%
123
↑ +141.4%
現金及び現金同等物の増減額(△は減少)
-
-
677
-
-1,043
↓ -254.1%
320
↑ +130.7%
427
↑ +33.2%
-58
↓ -113.7%
306
↑ +624.7%
-293
↓ -195.6%
1,044
↑ +456.4%
-942
↓ -190.3%
現金及び現金同等物の残高
1,972
-
2,650
↑ +34.4%
1,607
↓ -39.4%
1,927
↑ +19.9%
2,354
↑ +22.1%
2,296
↓ -2.5%
2,602
↑ +13.4%
2,309
↓ -11.3%
3,353
↑ +45.2%
2,411
↓ -28.1%
2016年2017年2018年2019年2020年2021年2022年2023年2024年2025年
営業活動によるキャッシュ・フロー
税引前当期純利益又は税引前当期純損失(△)
-
-
2
-
293
↑ +15413.6%
180
↓ -38.7%
427
↑ +137.8%
325
↓ -24.0%
321
↓ -1.1%
417
↑ +29.9%
605
↑ +45.0%
760
↑ +25.5%
減価償却費
-
-
57
-
77
↑ +35.5%
90
↑ +16.5%
61
↓ -32.3%
60
↓ -2.4%
68
↑ +13.6%
53
↓ -21.9%
48
↓ -8.3%
60
↑ +24.5%
のれん償却額
-
-
-
-
6
-
22
↑ +241.3%
42
↑ +89.3%
19
↓ -53.5%
29
↑ +47.7%
29
↑ +2.9%
17
↓ -43.9%
-
-
減損損失
-
-
-
-
14
-
279
↑ +1951.9%
73
↓ -73.8%
-
-
-
-
16
-
21
↑ +29.9%
-
-
貸倒引当金の増減額(△は減少)
-
-
-3
-
-30
↓ -753.1%
-340
↓ -1044.7%
5
↑ +101.6%
-9
↓ -260.8%
-0
↑ +95.8%
31
↑ +8695.0%
0
↓ -98.7%
-0
0.0%
賞与引当金の増減額(△は減少)
-
-
-25
-
42
↑ +268.8%
4
↓ -90.8%
10
↑ +171.7%
8
↓ -27.4%
-8
↓ -202.3%
36
↑ +564.6%
-3
↓ -107.1%
-55
↓ -2055.3%
役員退職慰労引当金の増減額(△は減少)
-
-
-
-
-
-
-
-
-
-
-
-
9
-
5
↓ -49.5%
5
↑ +3.5%
3
↓ -43.5%
役員賞与引当金の増減額(△は減少)
-
-
-
-
-
-
-
-
4
-
22
↑ +460.4%
-13
↓ -161.1%
7
↑ +152.5%
-2
↓ -124.2%
-18
↓ -944.5%
退職給付に係る資産の増減額(△は増加)
-
-
-
-
-
-
-
-
-
-
-
-
-6
-
-29
↓ -414.2%
-44
↓ -52.5%
-20
↑ +54.7%
完成工事補償引当金の増減額(△は減少)
-
-
11
-
6
↓ -47.2%
3
↓ -42.1%
-2
↓ -160.3%
-5
↓ -146.2%
-9
↓ -81.6%
4
↑ +142.2%
-2
↓ -146.2%
-4
↓ -129.5%
受取利息及び受取配当金
-
-
-16
-
-4
↑ +73.2%
-3
↑ +41.0%
-2
↑ +2.6%
-2
↑ +15.0%
-1
↑ +44.4%
-1
↑ +49.5%
-0
↑ +71.2%
-2
↓ -852.9%
支払利息
-
-
35
-
30
↓ -14.2%
38
↑ +28.2%
31
↓ -19.7%
30
↓ -2.9%
26
↓ -11.4%
30
↑ +15.9%
32
↑ +5.4%
34
↑ +5.3%
固定資産売却損益(△は益)
-
-
-
-
-
-
-
-
-
-
-
-
-3
-
-39
↓ -1030.6%
-32
↑ +19.5%
-
-
売上債権の増減額(△は増加)
-
-
304
-
18
↓ -94.2%
-984
↓ -5719.7%
149
↑ +115.2%
976
↑ +553.2%
-252
↓ -125.9%
-1,094
↓ -333.6%
354
↑ +132.4%
324
↓ -8.6%
棚卸資産の増減額(△は増加)
-
-
-154
-
-739
↓ -379.3%
-522
↑ +29.3%
-779
↓ -49.1%
-424
↑ +45.5%
-180
↑ +57.6%
-1,265
↓ -602.7%
275
↑ +121.7%
-1,176
↓ -527.8%
仕入債務の増減額(△は減少)
-
-
-141
-
137
↑ +197.1%
-67
↓ -149.0%
-90
↓ -34.2%
33
↑ +136.6%
73
↑ +120.7%
-181
↓ -349.0%
-7
↑ +96.2%
-29
↓ -326.9%
未成工事受入金の増減額(△は減少)
-
-
136
-
-486
↓ -456.7%
254
↑ +152.3%
280
↑ +10.4%
-604
↓ -315.6%
594
↑ +198.4%
223
↓ -62.6%
287
↑ +28.8%
-565
↓ -297.1%
未払消費税等の増減額(△は減少)
-
-
-
-
-
-
-
-
-
-
61
-
-29
↓ -146.8%
-22
↑ +24.6%
62
↑ +387.6%
-78
↓ -225.5%
長期前払費用の増減額(△は増加)
-
-
-
-
-
-
-
-
-
-
-
-
-14
-
-27
↓ -92.7%
6
↑ +121.2%
-33
↓ -677.0%
前払費用の増減額(△は増加)
-
-
-
-
-
-
-
-
-
-
-
-
-9
-
-15
↓ -62.8%
-1
↑ +91.8%
-11
↓ -791.1%
未払金の増減額(△は減少)
-
-
-
-
-
-
-
-
-
-
2
-
-33
↓ -1627.1%
9
↑ +126.7%
-4
↓ -144.0%
28
↑ +813.7%
未払費用の増減額(△は減少)
-
-
-
-
-
-
-
-
-
-
-6
-
-4
↑ +31.9%
-3
↑ +18.7%
10
↑ +422.8%
107
↑ +964.0%
その他
-
-
127
-
106
↓ -16.5%
-17
↓ -115.9%
-27
↓ -61.0%
-4
↑ +85.9%
52
↑ +1441.3%
8
↓ -85.0%
3
↓ -55.1%
35
↑ +901.2%
小計
-
-
571
-
-639
↓ -211.8%
-727
↓ -13.9%
229
↑ +131.5%
464
↑ +102.7%
582
↑ +25.3%
-1,810
↓ -411.1%
1,631
↑ +190.1%
-639
↓ -139.2%
利息及び配当金の受取額
-
-
16
-
4
↓ -73.2%
3
↓ -41.0%
2
↓ -2.6%
2
↓ -15.0%
1
↓ -44.4%
0
↓ -61.2%
0
0.0%
2
↑ +852.9%
利息の支払額
-
-
-33
-
-29
↑ +11.7%
-38
↓ -28.4%
-33
↑ +13.3%
-30
↑ +9.7%
-26
↑ +10.7%
-31
↓ -16.6%
-32
↓ -3.6%
-35
↓ -8.7%
法人税等の支払額
-
-
-33
-
-33
↓ -1.6%
-70
↓ -111.5%
-30
↑ +57.8%
-103
↓ -246.9%
-70
↑ +32.0%
-110
↓ -57.7%
-124
↓ -12.6%
-207
↓ -67.5%
法人税等の還付額
-
-
-
-
11
-
-
-
20
-
-
-
17
-
-
-
-
-
8
-
営業活動によるキャッシュ・フロー
-
-
221
-
-679
↓ -406.6%
-811
↓ -19.5%
189
↑ +123.3%
334
↑ +76.6%
504
↑ +50.9%
-1,950
↓ -487.0%
1,476
↑ +175.7%
-871
↓ -159.0%
投資活動によるキャッシュ・フロー
有形固定資産の取得による支出
-
-
-325
-
-69
↑ +78.6%
-31
↑ +55.0%
-24
↑ +22.3%
-53
↓ -119.3%
-51
↑ +3.4%
-142
↓ -175.8%
-68
↑ +52.1%
-170
↓ -150.4%
有形固定資産の売却による収入
-
-
316
-
0
↓ -100.0%
0
0.0%
3
↑ +1197.0%
12
↑ +291.3%
3
↓ -70.9%
316
↑ +8973.7%
32
↓ -90.0%
-
-
貸付けによる支出
-
-
-3
-
-295
↓ -10250.9%
-5
↑ +98.3%
-40
↓ -700.0%
-77
↓ -92.3%
-7
↑ +91.0%
-
-
-1
-
-
-
貸付金の回収による収入
-
-
8
-
226
↑ +2827.9%
41
↓ -81.8%
15
↓ -62.4%
91
↑ +488.4%
19
↓ -79.0%
15
↓ -19.4%
3
↓ -83.0%
2
↓ -37.6%
保険積立金の積立による支出
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-50
-
-15
↑ +70.8%
定期預金の預入による支出
-
-
-
-
-4
-
-60
↓ -1496.0%
-10
↑ +84.0%
-8
↑ +11.6%
-6
↑ +29.3%
-76
↓ -1170.3%
-141
↓ -85.5%
-105
↑ +25.7%
定期預金の払戻による収入
-
-
-
-
-
-
100
-
-
-
-
-
-
-
62
-
92
↑ +48.5%
95
↑ +3.9%
その他
-
-
0
-
-3
↓ -1982.0%
-3
↑ +9.1%
6
↑ +282.3%
-0
↓ -107.6%
1
↑ +409.5%
-0
↓ -114.8%
-0
0.0%
-1
↓ -173.3%
投資活動によるキャッシュ・フロー
-
-
96
-
-200
↓ -309.6%
-28
↑ +85.9%
-50
↓ -77.0%
-150
↓ -201.5%
-4
↑ +97.0%
175
↑ +4003.0%
-135
↓ -177.5%
-194
↓ -43.1%
財務活動によるキャッシュ・フロー
短期借入れによる収入
-
-
2,630
-
1,604
↓ -39.0%
3,045
↑ +89.8%
4,760
↑ +56.3%
1,880
↓ -60.5%
2,450
↑ +30.3%
3,000
↑ +22.4%
2,900
↓ -3.3%
1,400
↓ -51.7%
短期借入金の返済による支出
-
-
-2,440
-
-1,869
↑ +23.4%
-2,270
↓ -21.5%
-5,013
↓ -120.9%
-2,433
↑ +51.5%
-2,450
↓ -0.7%
-3,000
↓ -22.4%
-2,700
↑ +10.0%
-1,800
↑ +33.3%
長期借入れによる収入
-
-
594
-
530
↓ -10.8%
1,200
↑ +126.4%
1,036
↓ -13.7%
877
↓ -15.3%
748
↓ -14.7%
1,520
↑ +103.2%
-
-
1,000
-
長期借入金の返済による支出
-
-
-313
-
-351
↓ -12.2%
-478
↓ -35.9%
-416
↑ +12.9%
-463
↓ -11.3%
-848
↓ -83.2%
-407
↑ +52.0%
-555
↓ -36.6%
-290
↑ +47.7%
株式の発行による収入
-
-
-
-
-
-
-
-
-
-
0
-
0
0.0%
441
↑ +450053.1%
199
↓ -54.9%
-
-
配当金の支払額
-
-
-72
-
-29
↑ +60.2%
-75
↓ -159.4%
-75
↑ +0.3%
-103
↓ -38.1%
-104
↓ -0.9%
-75
↑ +27.9%
-140
↓ -86.4%
-187
↓ -33.5%
その他
-
-
-0
-
-1
↓ -110.4%
-0
↑ +76.1%
-0
0.0%
-0
0.0%
-0
0.0%
3
↑ +3725.5%
-0
↓ -105.0%
-0
0.0%
財務活動によるキャッシュ・フロー
-
-
365
-
-164
↓ -144.9%
1,161
↑ +807.7%
289
↓ -75.1%
-244
↓ -184.5%
-204
↑ +16.6%
1,483
↑ +827.1%
-296
↓ -120.0%
123
↑ +141.4%
現金及び現金同等物の増減額(△は減少)
-
-
677
-
-1,043
↓ -254.1%
320
↑ +130.7%
427
↑ +33.2%
-58
↓ -113.7%
306
↑ +624.7%
-293
↓ -195.6%
1,044
↑ +456.4%
-942
↓ -190.3%
現金及び現金同等物の残高
1,972
-
2,650
↑ +34.4%
1,607
↓ -39.4%
1,927
↑ +19.9%
2,354
↑ +22.1%
2,296
↓ -2.5%
2,602
↑ +13.4%
2,309
↓ -11.3%
3,353
↑ +45.2%
2,411
↓ -28.1%