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. 田谷(4679)

4679
田谷
4679田谷

サービス業
スタンダード市場|規模区分なし|3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

田谷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
2015年
JGAAP
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
2026年
JGAAP
勘定科目2015年2016年2017年2018年2019年2020年2021年2022年2023年2024年2025年2026年
売上高
美容施術売上高
10,382
-
10,429
↑ +0.4%
10,067
↓ -3.5%
9,393
↓ -6.7%
8,680
↓ -7.6%
7,830
↓ -9.8%
6,042
↓ -22.8%
5,849
↓ -3.2%
5,449
↓ -6.9%
5,263
↓ -3.4%
4,804
↓ -8.7%
4,495
↓ -6.4%
商品売上高
1,338
-
1,377
↑ +2.9%
1,299
↓ -5.7%
1,118
↓ -13.9%
1,014
↓ -9.3%
890
↓ -12.2%
735
↓ -17.4%
657
↓ -10.6%
543
↓ -17.3%
521
↓ -4.1%
550
↑ +5.5%
471
↓ -14.3%
その他の売上高
43
-
38
↓ -11.1%
35
↓ -7.0%
34
↓ -2.6%
34
↓ -1.7%
27
↓ -20.2%
8
↓ -71.7%
13
↑ +69.4%
13
↑ +0.2%
56
↑ +333.4%
91
↑ +62.5%
109
↑ +20.4%
売上高
11,763
-
11,844
↑ +0.7%
11,402
↓ -3.7%
10,546
↓ -7.5%
9,728
↓ -7.8%
8,747
↓ -10.1%
6,785
↓ -22.4%
6,519
↓ -3.9%
6,005
↓ -7.9%
5,840
↓ -2.7%
5,445
↓ -6.8%
5,076
↓ -6.8%
売上原価
美容施術売上原価
10,044
-
9,923
↓ -1.2%
9,340
↓ -5.9%
8,690
↓ -7.0%
7,955
↓ -8.5%
7,390
↓ -7.1%
6,586
↓ -10.9%
6,361
↓ -3.4%
5,360
↓ -15.7%
4,728
↓ -11.8%
4,310
↓ -8.8%
4,007
↓ -7.0%
商品売上原価
613
-
630
↑ +2.8%
602
↓ -4.4%
519
↓ -13.8%
472
↓ -9.1%
427
↓ -9.6%
349
↓ -18.1%
312
↓ -10.6%
287
↓ -8.0%
268
↓ -6.7%
283
↑ +5.8%
240
↓ -15.5%
その他の売上原価
22
-
18
↓ -18.4%
18
↓ -3.2%
17
↓ -4.2%
18
↑ +9.4%
17
↓ -9.2%
0
↓ -97.9%
0
0.0%
3
↑ +1587.5%
7
↑ +115.5%
8
↑ +16.7%
9
↑ +2.6%
売上原価
10,679
-
10,572
↓ -1.0%
9,960
↓ -5.8%
9,226
↓ -7.4%
8,445
↓ -8.5%
7,834
↓ -7.2%
6,935
↓ -11.5%
6,673
↓ -3.8%
5,651
↓ -15.3%
5,003
↓ -11.5%
4,602
↓ -8.0%
4,255
↓ -7.5%
売上総利益又は売上総損失(△)
1,084
-
1,272
↑ +17.3%
1,442
↑ +13.3%
1,320
↓ -8.5%
1,282
↓ -2.8%
913
↓ -28.8%
-150
↓ -116.5%
-153
↓ -2.1%
354
↑ +330.7%
837
↑ +136.3%
842
↑ +0.7%
820
↓ -2.6%
販売費及び一般管理費
1,505
-
1,504
↓ -0.1%
1,413
↓ -6.0%
1,366
↓ -3.3%
1,268
↓ -7.2%
1,298
↑ +2.4%
1,114
↓ -14.2%
953
↓ -14.4%
974
↑ +2.2%
860
↓ -11.7%
838
↓ -2.6%
782
↓ -6.7%
営業利益又は営業損失(△)
-421
-
-232
↑ +45.0%
29
↑ +112.5%
-47
↓ -261.7%
14
↑ +130.7%
-385
↓ -2781.3%
-1,264
↓ -228.5%
-1,107
↑ +12.5%
-620
↑ +44.0%
-24
↑ +96.2%
4
↑ +116.4%
38
↑ +877.3%
営業外収益
受取利息
3
-
1
↓ -79.1%
0
↓ -68.5%
0
0.0%
0
0.0%
0
0.0%
0
0.0%
0
0.0%
0
0.0%
0
0.0%
0
0.0%
1
↑ +408.3%
助成金収入
-
-
-
-
-
-
0
-
4
↑ +1121.3%
-
-
-
-
-
-
5
-
3
↓ -40.8%
3
↓ -19.3%
4
↑ +61.2%
協賛金収入
-
-
6
-
5
↓ -13.3%
5
↑ +4.3%
6
↑ +11.9%
6
↓ -1.9%
6
↓ -1.9%
3
↓ -55.6%
4
↑ +66.7%
2
↓ -46.0%
3
↑ +22.6%
3
↑ +18.9%
物品売却益
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
4
-
-
-
受取保険金
-
-
-
-
-
-
1
-
6
↑ +512.0%
-
-
-
-
0
-
3
↑ +687.2%
2
↓ -39.4%
0
↓ -99.1%
2
↑ +15707.1%
受取補償金
-
-
6
-
6
↑ +5.0%
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
2
-
その他
37
-
10
↓ -73.8%
13
↑ +33.1%
8
↓ -38.6%
18
↑ +127.7%
6
↓ -65.6%
8
↑ +33.4%
8
↓ -8.7%
13
↑ +66.6%
9
↓ -25.0%
6
↓ -38.6%
4
↓ -35.8%
営業外収益
54
-
40
↓ -26.4%
25
↓ -38.0%
20
↓ -18.3%
29
↑ +45.2%
18
↓ -39.4%
15
↓ -14.0%
10
↓ -31.7%
25
↑ +137.9%
15
↓ -39.9%
15
↑ +0.6%
16
↑ +7.2%
営業外費用
支払利息
23
-
21
↓ -7.3%
19
↓ -12.6%
21
↑ +13.7%
22
↑ +6.3%
20
↓ -11.4%
21
↑ +6.4%
4
↓ -80.7%
3
↓ -33.6%
3
↑ +23.4%
5
↑ +62.4%
7
↑ +24.4%
資金調達費用
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
3
-
5
↑ +100.0%
6
↑ +10.9%
10
↑ +72.8%
その他
12
-
7
↓ -37.4%
4
↓ -49.5%
6
↑ +52.1%
6
↑ +10.5%
2
↓ -71.8%
3
↑ +50.1%
4
↑ +51.3%
2
↓ -47.2%
11
↑ +409.2%
4
↓ -66.5%
3
↓ -9.2%
営業外費用
43
-
37
↓ -14.1%
85
↑ +130.6%
31
↓ -63.7%
33
↑ +6.3%
34
↑ +4.3%
34
↓ -2.3%
10
↓ -69.0%
7
↓ -29.3%
19
↑ +161.8%
15
↓ -23.9%
20
↑ +34.4%
経常利益又は経常損失(△)
-410
-
-229
↑ +44.2%
-32
↑ +86.1%
-57
↓ -81.1%
11
↑ +118.7%
-401
↓ -3835.8%
-1,282
↓ -219.5%
-1,107
↑ +13.7%
-602
↑ +45.6%
-28
↑ +95.3%
4
↑ +115.1%
34
↑ +709.9%
特別利益
受取保険金
-
-
-
-
-
-
-
-
-
-
-
-
6
-
-
-
-
-
-
-
-
-
3
-
特別利益
12
-
131
↑ +959.5%
38
↓ -71.1%
-
-
-
-
263
-
113
↓ -57.2%
2,364
↑ +1998.6%
4
↓ -99.8%
-
-
-
-
3
-
特別損失
固定資産除却損
33
-
15
↓ -53.7%
14
↓ -5.4%
27
↑ +86.6%
3
↓ -89.4%
35
↑ +1124.6%
14
↓ -61.5%
1
↓ -95.7%
3
↑ +449.1%
-
-
2
-
1
↓ -15.8%
減損損失
44
-
12
↓ -72.6%
107
↑ +797.0%
-
-
-
-
164
-
63
↓ -61.6%
156
↑ +148.1%
93
↓ -40.6%
90
↓ -3.4%
-
-
165
-
資産除去債務履行差額
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
9
-
-
-
店舗閉鎖損失
-
-
-
-
-
-
-
-
5
-
2
↓ -52.2%
177
↑ +8108.8%
31
↓ -82.3%
80
↑ +154.1%
22
↓ -72.7%
26
↑ +20.4%
3
↓ -87.3%
特別損失
77
-
27
↓ -64.5%
122
↑ +346.6%
27
↓ -77.8%
7
↓ -72.7%
201
↑ +2628.8%
388
↑ +92.4%
226
↓ -41.7%
176
↓ -22.3%
112
↓ -36.5%
37
↓ -67.2%
170
↑ +363.2%
税引前当期純利益又は税引前当期純損失(△)
-474
-
-125
↑ +73.6%
-116
↑ +7.5%
-84
↑ +27.1%
3
↑ +104.0%
-340
↓ -10207.8%
-1,557
↓ -358.6%
1,032
↑ +166.2%
-774
↓ -175.0%
-140
↑ +82.0%
-32
↑ +76.8%
-132
↓ -308.4%
法人税、住民税及び事業税
51
-
59
↑ +15.2%
57
↓ -4.1%
52
↓ -7.4%
47
↓ -9.9%
44
↓ -6.0%
48
↑ +7.5%
43
↓ -10.2%
35
↓ -18.6%
32
↓ -8.5%
30
↓ -6.2%
28
↓ -5.8%
法人税等
418
-
57
↓ -86.4%
62
↑ +9.1%
48
↓ -22.7%
45
↓ -5.6%
45
↓ -1.0%
-543
↓ -1312.0%
642
↑ +218.1%
31
↓ -95.2%
19
↓ -37.4%
30
↑ +56.0%
28
↓ -5.8%
当期純利益又は当期純損失(△)
-893
-
-182
↑ +79.6%
-178
↑ +2.3%
-132
↑ +25.5%
-42
↑ +68.3%
-384
↓ -816.6%
-1,014
↓ -163.7%
390
↑ +138.5%
-805
↓ -306.4%
-159
↑ +80.3%
-62
↑ +60.8%
-160
↓ -157.5%
2015年2016年2017年2018年2019年2020年2021年2022年2023年2024年2025年2026年
売上高
美容施術売上高
10,382
-
10,429
↑ +0.4%
10,067
↓ -3.5%
9,393
↓ -6.7%
8,680
↓ -7.6%
7,830
↓ -9.8%
6,042
↓ -22.8%
5,849
↓ -3.2%
5,449
↓ -6.9%
5,263
↓ -3.4%
4,804
↓ -8.7%
4,495
↓ -6.4%
商品売上高
1,338
-
1,377
↑ +2.9%
1,299
↓ -5.7%
1,118
↓ -13.9%
1,014
↓ -9.3%
890
↓ -12.2%
735
↓ -17.4%
657
↓ -10.6%
543
↓ -17.3%
521
↓ -4.1%
550
↑ +5.5%
471
↓ -14.3%
その他の売上高
43
-
38
↓ -11.1%
35
↓ -7.0%
34
↓ -2.6%
34
↓ -1.7%
27
↓ -20.2%
8
↓ -71.7%
13
↑ +69.4%
13
↑ +0.2%
56
↑ +333.4%
91
↑ +62.5%
109
↑ +20.4%
売上高
11,763
-
11,844
↑ +0.7%
11,402
↓ -3.7%
10,546
↓ -7.5%
9,728
↓ -7.8%
8,747
↓ -10.1%
6,785
↓ -22.4%
6,519
↓ -3.9%
6,005
↓ -7.9%
5,840
↓ -2.7%
5,445
↓ -6.8%
5,076
↓ -6.8%
売上原価
美容施術売上原価
10,044
-
9,923
↓ -1.2%
9,340
↓ -5.9%
8,690
↓ -7.0%
7,955
↓ -8.5%
7,390
↓ -7.1%
6,586
↓ -10.9%
6,361
↓ -3.4%
5,360
↓ -15.7%
4,728
↓ -11.8%
4,310
↓ -8.8%
4,007
↓ -7.0%
商品売上原価
613
-
630
↑ +2.8%
602
↓ -4.4%
519
↓ -13.8%
472
↓ -9.1%
427
↓ -9.6%
349
↓ -18.1%
312
↓ -10.6%
287
↓ -8.0%
268
↓ -6.7%
283
↑ +5.8%
240
↓ -15.5%
その他の売上原価
22
-
18
↓ -18.4%
18
↓ -3.2%
17
↓ -4.2%
18
↑ +9.4%
17
↓ -9.2%
0
↓ -97.9%
0
0.0%
3
↑ +1587.5%
7
↑ +115.5%
8
↑ +16.7%
9
↑ +2.6%
売上原価
10,679
-
10,572
↓ -1.0%
9,960
↓ -5.8%
9,226
↓ -7.4%
8,445
↓ -8.5%
7,834
↓ -7.2%
6,935
↓ -11.5%
6,673
↓ -3.8%
5,651
↓ -15.3%
5,003
↓ -11.5%
4,602
↓ -8.0%
4,255
↓ -7.5%
売上総利益又は売上総損失(△)
1,084
-
1,272
↑ +17.3%
1,442
↑ +13.3%
1,320
↓ -8.5%
1,282
↓ -2.8%
913
↓ -28.8%
-150
↓ -116.5%
-153
↓ -2.1%
354
↑ +330.7%
837
↑ +136.3%
842
↑ +0.7%
820
↓ -2.6%
販売費及び一般管理費
1,505
-
1,504
↓ -0.1%
1,413
↓ -6.0%
1,366
↓ -3.3%
1,268
↓ -7.2%
1,298
↑ +2.4%
1,114
↓ -14.2%
953
↓ -14.4%
974
↑ +2.2%
860
↓ -11.7%
838
↓ -2.6%
782
↓ -6.7%
営業利益又は営業損失(△)
-421
-
-232
↑ +45.0%
29
↑ +112.5%
-47
↓ -261.7%
14
↑ +130.7%
-385
↓ -2781.3%
-1,264
↓ -228.5%
-1,107
↑ +12.5%
-620
↑ +44.0%
-24
↑ +96.2%
4
↑ +116.4%
38
↑ +877.3%
営業外収益
受取利息
3
-
1
↓ -79.1%
0
↓ -68.5%
0
0.0%
0
0.0%
0
0.0%
0
0.0%
0
0.0%
0
0.0%
0
0.0%
0
0.0%
1
↑ +408.3%
助成金収入
-
-
-
-
-
-
0
-
4
↑ +1121.3%
-
-
-
-
-
-
5
-
3
↓ -40.8%
3
↓ -19.3%
4
↑ +61.2%
協賛金収入
-
-
6
-
5
↓ -13.3%
5
↑ +4.3%
6
↑ +11.9%
6
↓ -1.9%
6
↓ -1.9%
3
↓ -55.6%
4
↑ +66.7%
2
↓ -46.0%
3
↑ +22.6%
3
↑ +18.9%
物品売却益
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
4
-
-
-
受取保険金
-
-
-
-
-
-
1
-
6
↑ +512.0%
-
-
-
-
0
-
3
↑ +687.2%
2
↓ -39.4%
0
↓ -99.1%
2
↑ +15707.1%
受取補償金
-
-
6
-
6
↑ +5.0%
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
2
-
その他
37
-
10
↓ -73.8%
13
↑ +33.1%
8
↓ -38.6%
18
↑ +127.7%
6
↓ -65.6%
8
↑ +33.4%
8
↓ -8.7%
13
↑ +66.6%
9
↓ -25.0%
6
↓ -38.6%
4
↓ -35.8%
営業外収益
54
-
40
↓ -26.4%
25
↓ -38.0%
20
↓ -18.3%
29
↑ +45.2%
18
↓ -39.4%
15
↓ -14.0%
10
↓ -31.7%
25
↑ +137.9%
15
↓ -39.9%
15
↑ +0.6%
16
↑ +7.2%
営業外費用
支払利息
23
-
21
↓ -7.3%
19
↓ -12.6%
21
↑ +13.7%
22
↑ +6.3%
20
↓ -11.4%
21
↑ +6.4%
4
↓ -80.7%
3
↓ -33.6%
3
↑ +23.4%
5
↑ +62.4%
7
↑ +24.4%
資金調達費用
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
3
-
5
↑ +100.0%
6
↑ +10.9%
10
↑ +72.8%
その他
12
-
7
↓ -37.4%
4
↓ -49.5%
6
↑ +52.1%
6
↑ +10.5%
2
↓ -71.8%
3
↑ +50.1%
4
↑ +51.3%
2
↓ -47.2%
11
↑ +409.2%
4
↓ -66.5%
3
↓ -9.2%
営業外費用
43
-
37
↓ -14.1%
85
↑ +130.6%
31
↓ -63.7%
33
↑ +6.3%
34
↑ +4.3%
34
↓ -2.3%
10
↓ -69.0%
7
↓ -29.3%
19
↑ +161.8%
15
↓ -23.9%
20
↑ +34.4%
経常利益又は経常損失(△)
-410
-
-229
↑ +44.2%
-32
↑ +86.1%
-57
↓ -81.1%
11
↑ +118.7%
-401
↓ -3835.8%
-1,282
↓ -219.5%
-1,107
↑ +13.7%
-602
↑ +45.6%
-28
↑ +95.3%
4
↑ +115.1%
34
↑ +709.9%
特別利益
受取保険金
-
-
-
-
-
-
-
-
-
-
-
-
6
-
-
-
-
-
-
-
-
-
3
-
特別利益
12
-
131
↑ +959.5%
38
↓ -71.1%
-
-
-
-
263
-
113
↓ -57.2%
2,364
↑ +1998.6%
4
↓ -99.8%
-
-
-
-
3
-
特別損失
固定資産除却損
33
-
15
↓ -53.7%
14
↓ -5.4%
27
↑ +86.6%
3
↓ -89.4%
35
↑ +1124.6%
14
↓ -61.5%
1
↓ -95.7%
3
↑ +449.1%
-
-
2
-
1
↓ -15.8%
減損損失
44
-
12
↓ -72.6%
107
↑ +797.0%
-
-
-
-
164
-
63
↓ -61.6%
156
↑ +148.1%
93
↓ -40.6%
90
↓ -3.4%
-
-
165
-
資産除去債務履行差額
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
9
-
-
-
店舗閉鎖損失
-
-
-
-
-
-
-
-
5
-
2
↓ -52.2%
177
↑ +8108.8%
31
↓ -82.3%
80
↑ +154.1%
22
↓ -72.7%
26
↑ +20.4%
3
↓ -87.3%
特別損失
77
-
27
↓ -64.5%
122
↑ +346.6%
27
↓ -77.8%
7
↓ -72.7%
201
↑ +2628.8%
388
↑ +92.4%
226
↓ -41.7%
176
↓ -22.3%
112
↓ -36.5%
37
↓ -67.2%
170
↑ +363.2%
税引前当期純利益又は税引前当期純損失(△)
-474
-
-125
↑ +73.6%
-116
↑ +7.5%
-84
↑ +27.1%
3
↑ +104.0%
-340
↓ -10207.8%
-1,557
↓ -358.6%
1,032
↑ +166.2%
-774
↓ -175.0%
-140
↑ +82.0%
-32
↑ +76.8%
-132
↓ -308.4%
法人税、住民税及び事業税
51
-
59
↑ +15.2%
57
↓ -4.1%
52
↓ -7.4%
47
↓ -9.9%
44
↓ -6.0%
48
↑ +7.5%
43
↓ -10.2%
35
↓ -18.6%
32
↓ -8.5%
30
↓ -6.2%
28
↓ -5.8%
法人税等
418
-
57
↓ -86.4%
62
↑ +9.1%
48
↓ -22.7%
45
↓ -5.6%
45
↓ -1.0%
-543
↓ -1312.0%
642
↑ +218.1%
31
↓ -95.2%
19
↓ -37.4%
30
↑ +56.0%
28
↓ -5.8%
当期純利益又は当期純損失(△)
-893
-
-182
↑ +79.6%
-178
↑ +2.3%
-132
↑ +25.5%
-42
↑ +68.3%
-384
↓ -816.6%
-1,014
↓ -163.7%
390
↑ +138.5%
-805
↓ -306.4%
-159
↑ +80.3%
-62
↑ +60.8%
-160
↓ -157.5%
(単位: 百万円)
勘定科目
2014年
JGAAP
2015年
JGAAP
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
2026年
JGAAP
勘定科目2014年2015年2016年2017年2018年2019年2020年2021年2022年2023年2024年2025年2026年
資産の部
流動資産
現金及び預金
-
-
1,398
-
1,539
↑ +10.1%
1,083
↓ -29.6%
1,168
↑ +7.8%
1,096
↓ -6.1%
785
↓ -28.4%
390
↓ -50.3%
979
↑ +151.2%
386
↓ -60.6%
277
↓ -28.3%
175
↓ -36.8%
532
↑ +203.8%
売掛金
-
-
525
-
530
↑ +0.9%
507
↓ -4.3%
501
↓ -1.2%
460
↓ -8.1%
298
↓ -35.3%
330
↑ +10.9%
297
↓ -10.1%
273
↓ -8.0%
282
↑ +3.0%
258
↓ -8.4%
249
↓ -3.7%
商品
-
-
63
-
81
↑ +28.8%
88
↑ +9.0%
74
↓ -16.9%
60
↓ -18.2%
75
↑ +24.0%
59
↓ -21.1%
49
↓ -16.0%
37
↓ -25.9%
26
↓ -28.2%
24
↓ -9.9%
24
↑ +1.0%
美容材料
-
-
25
-
35
↑ +40.4%
26
↓ -26.0%
22
↓ -16.0%
19
↓ -11.7%
23
↑ +20.0%
20
↓ -15.2%
23
↑ +19.4%
18
↓ -23.6%
14
↓ -24.0%
17
↑ +24.7%
13
↓ -23.6%
貯蔵品
-
-
16
-
15
↓ -8.7%
13
↓ -11.7%
11
↓ -14.6%
11
↓ -3.3%
12
↑ +6.8%
11
↓ -6.8%
8
↓ -29.9%
6
↓ -24.3%
6
↑ +11.8%
6
↓ -8.6%
6
↓ -3.9%
前払費用
-
-
122
-
115
↓ -6.0%
107
↓ -7.3%
106
↓ -0.7%
94
↓ -10.9%
99
↑ +4.9%
114
↑ +15.0%
103
↓ -9.7%
75
↓ -27.5%
66
↓ -10.8%
50
↓ -24.1%
50
↓ -1.3%
その他
-
-
116
-
61
↓ -47.4%
107
↑ +75.3%
84
↓ -21.8%
39
↓ -53.0%
29
↓ -26.4%
46
↑ +57.3%
104
↑ +128.0%
50
↓ -51.8%
42
↓ -16.7%
28
↓ -32.4%
38
↑ +34.5%
貸倒引当金
-
-
-1
-
-0
↑ +56.5%
-0
0.0%
-0
0.0%
-0
0.0%
-0
0.0%
-1
↓ -199.3%
-1
↓ -7.6%
-1
↑ +4.7%
-1
↓ -5.9%
-1
↑ +4.2%
-1
↑ +41.2%
流動資産
-
-
2,365
-
2,376
↑ +0.5%
1,931
↓ -18.7%
1,964
↑ +1.7%
1,780
↓ -9.4%
1,320
↓ -25.9%
968
↓ -26.7%
1,563
↑ +61.4%
844
↓ -46.0%
712
↓ -15.6%
557
↓ -21.7%
910
↑ +63.3%
固定資産
有形固定資産
建物
-
-
4,330
-
4,253
↓ -1.8%
4,159
↓ -2.2%
4,269
↑ +2.6%
4,308
↑ +0.9%
4,133
↓ -4.1%
4,012
↓ -2.9%
2,996
↓ -25.3%
2,609
↓ -12.9%
2,370
↓ -9.2%
2,244
↓ -5.3%
2,173
↓ -3.2%
減価償却累計額
-
-
-2,909
-
-2,952
↓ -1.5%
-3,004
↓ -1.8%
-2,956
↑ +1.6%
-3,090
↓ -4.5%
-3,193
↓ -3.3%
-3,307
↓ -3.6%
-2,589
↑ +21.7%
-2,296
↑ +11.3%
-2,126
↑ +7.4%
-1,803
↑ +15.2%
-1,825
↓ -1.2%
建物(純額)
-
-
1,421
-
1,300
↓ -8.5%
1,155
↓ -11.2%
1,313
↑ +13.7%
1,219
↓ -7.2%
940
↓ -22.8%
705
↓ -25.0%
406
↓ -42.3%
314
↓ -22.8%
244
↓ -22.2%
441
↑ +80.8%
349
↓ -20.9%
構築物
-
-
26
-
26
↓ -1.9%
26
↑ +0.9%
26
0.0%
26
0.0%
26
↓ -0.6%
26
0.0%
18
↓ -30.8%
18
0.0%
16
↓ -10.8%
16
0.0%
20
↑ +26.0%
減価償却累計額
-
-
-23
-
-23
↓ -1.0%
-23
↓ -2.1%
-24
↓ -1.9%
-24
↓ -1.1%
-24
↓ -1.1%
-25
↓ -1.1%
-17
↑ +29.7%
-17
↓ -0.5%
-16
↑ +10.1%
-16
↓ -0.3%
-16
↓ -0.6%
構築物(純額)
-
-
4
-
3
↓ -20.3%
3
↓ -9.3%
2
↓ -17.3%
2
↓ -11.9%
1
↓ -21.5%
1
↓ -17.8%
1
↓ -53.6%
0
↓ -14.7%
0
0.0%
0
0.0%
4
↑ +1527.8%
工具、器具及び備品
-
-
40
-
40
0.0%
41
↑ +3.6%
83
↑ +101.4%
99
↑ +18.2%
125
↑ +26.6%
121
↓ -3.1%
137
↑ +13.6%
140
↑ +1.9%
150
↑ +7.5%
168
↑ +11.7%
180
↑ +6.9%
減価償却累計額
-
-
-40
-
-40
↓ -0.4%
-38
↑ +4.2%
-43
↓ -14.3%
-47
↓ -8.2%
-67
↓ -43.0%
-85
↓ -26.3%
-92
↓ -7.9%
-102
↓ -11.2%
-115
↓ -13.4%
-131
↓ -13.5%
-140
↓ -6.9%
工具、器具及び備品(純額)
-
-
1
-
0
↓ -27.1%
3
↑ +831.0%
40
↑ +1050.9%
52
↑ +29.0%
58
↑ +11.7%
36
↓ -37.3%
46
↑ +26.7%
38
↓ -16.7%
35
↓ -8.4%
37
↑ +5.7%
40
↑ +6.8%
土地
-
-
1,375
-
1,194
↓ -13.2%
1,194
0.0%
1,194
0.0%
1,194
0.0%
1,177
↓ -1.4%
1,177
↓ -0.0%
182
↓ -84.5%
159
↓ -12.7%
128
↓ -19.7%
128
0.0%
128
0.0%
有形固定資産
-
-
2,830
-
2,546
↓ -10.0%
2,391
↓ -6.1%
2,578
↑ +7.8%
2,490
↓ -3.4%
2,189
↓ -12.1%
1,925
↓ -12.1%
637
↓ -66.9%
512
↓ -19.7%
412
↓ -19.4%
606
↑ +47.1%
520
↓ -14.1%
無形固定資産
ソフトウエア
-
-
3
-
4
↑ +14.5%
3
↓ -17.4%
2
↓ -36.0%
1
↓ -45.2%
1
↑ +28.0%
1
↓ -41.6%
0
↓ -36.1%
22
↑ +4334.7%
31
↑ +41.0%
89
↑ +187.0%
67
↓ -25.1%
その他
-
-
30
-
30
0.0%
30
0.0%
30
0.0%
30
0.0%
30
0.0%
30
0.0%
31
↑ +2.9%
36
↑ +16.5%
9
↓ -74.1%
0
↓ -99.3%
3
↑ +4306.5%
無形固定資産
-
-
41
-
36
↓ -11.9%
33
↓ -7.9%
32
↓ -3.2%
31
↓ -2.7%
31
↑ +0.9%
31
↓ -1.8%
31
↑ +1.9%
58
↑ +84.6%
40
↓ -30.5%
89
↑ +120.6%
69
↓ -22.0%
投資その他の資産
出資金
-
-
0
-
0
0.0%
0
0.0%
0
0.0%
0
0.0%
0
0.0%
0
0.0%
0
0.0%
0
0.0%
0
0.0%
0
0.0%
0
0.0%
長期前払費用
-
-
33
-
24
↓ -28.0%
20
↓ -16.2%
15
↓ -24.7%
12
↓ -21.3%
13
↑ +11.5%
9
↓ -31.7%
7
↓ -27.9%
4
↓ -36.8%
7
↑ +75.7%
9
↑ +27.0%
9
↑ +2.4%
敷金及び保証金
-
-
1,950
-
1,807
↓ -7.3%
1,729
↓ -4.3%
1,540
↓ -10.9%
1,478
↓ -4.0%
1,465
↓ -0.9%
1,378
↓ -5.9%
1,000
↓ -27.5%
947
↓ -5.3%
831
↓ -12.2%
723
↓ -13.1%
706
↓ -2.3%
その他
-
-
7
-
9
↑ +23.2%
9
↑ +0.1%
9
0.0%
9
↑ +0.0%
9
0.0%
6
↓ -31.9%
6
0.0%
2
↓ -62.4%
2
0.0%
2
0.0%
2
0.0%
投資その他の資産
-
-
1,993
-
1,841
↓ -7.6%
1,759
↓ -4.4%
1,565
↓ -11.0%
1,500
↓ -4.2%
1,488
↓ -0.8%
1,976
↑ +32.8%
1,013
↓ -48.7%
954
↓ -5.8%
841
↓ -11.8%
734
↓ -12.7%
718
↓ -2.2%
固定資産
-
-
4,864
-
4,423
↓ -9.1%
4,183
↓ -5.4%
4,175
↓ -0.2%
4,021
↓ -3.7%
3,709
↓ -7.8%
3,932
↑ +6.0%
1,681
↓ -57.2%
1,523
↓ -9.4%
1,294
↓ -15.1%
1,429
↑ +10.5%
1,308
↓ -8.5%
資産
-
-
7,229
-
6,799
↓ -5.9%
6,114
↓ -10.1%
6,139
↑ +0.4%
5,801
↓ -5.5%
5,029
↓ -13.3%
4,900
↓ -2.6%
3,244
↓ -33.8%
2,367
↓ -27.0%
2,006
↓ -15.3%
1,987
↓ -1.0%
2,218
↑ +11.6%
負債の部
流動負債
支払手形
-
-
410
-
368
↓ -10.2%
352
↓ -4.4%
166
↓ -52.9%
147
↓ -11.1%
121
↓ -17.7%
80
↓ -33.8%
54
↓ -32.9%
60
↑ +11.6%
53
↓ -11.5%
9
↓ -82.9%
-
-
電子記録債務
-
-
-
-
-
-
-
-
149
-
136
↓ -8.4%
145
↑ +6.6%
129
↓ -10.9%
117
↓ -9.5%
80
↓ -31.9%
71
↓ -10.3%
127
↑ +77.3%
110
↓ -13.4%
買掛金
-
-
73
-
77
↑ +4.4%
59
↓ -23.3%
53
↓ -9.9%
55
↑ +4.8%
52
↓ -7.1%
51
↓ -1.8%
47
↓ -7.7%
33
↓ -29.9%
34
↑ +3.5%
38
↑ +12.3%
30
↓ -20.5%
短期借入金
-
-
87
-
102
↑ +17.3%
397
↑ +290.3%
441
↑ +11.0%
369
↓ -16.3%
455
↑ +23.2%
743
↑ +63.3%
28
↓ -96.2%
123
↑ +337.6%
96
↓ -21.4%
70
↓ -27.3%
50
↓ -28.6%
1年内償還予定の社債
-
-
70
-
40
↓ -42.9%
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
56
-
-
-
1年内返済予定の長期借入金
-
-
387
-
688
↑ +78.0%
137
↓ -80.1%
173
↑ +26.1%
213
↑ +23.0%
205
↓ -3.4%
219
↑ +6.7%
42
↓ -80.9%
43
↑ +3.3%
49
↑ +13.9%
75
↑ +51.6%
91
↑ +21.7%
未払金
-
-
118
-
144
↑ +21.9%
142
↓ -1.0%
177
↑ +24.5%
107
↓ -39.7%
89
↓ -16.5%
90
↑ +1.4%
228
↑ +152.2%
121
↓ -46.8%
79
↓ -34.5%
124
↑ +55.9%
88
↓ -28.8%
未払費用
-
-
502
-
495
↓ -1.3%
469
↓ -5.3%
502
↑ +7.1%
459
↓ -8.7%
369
↓ -19.5%
505
↑ +36.8%
331
↓ -34.6%
282
↓ -14.7%
333
↑ +18.1%
244
↓ -26.6%
240
↓ -1.7%
未払法人税等
-
-
79
-
96
↑ +21.0%
124
↑ +29.6%
94
↓ -24.1%
88
↓ -6.1%
85
↓ -3.4%
151
↑ +76.8%
43
↓ -71.6%
37
↓ -14.9%
32
↓ -12.6%
30
↓ -6.2%
28
↓ -5.8%
未払消費税等
-
-
250
-
229
↓ -8.7%
70
↓ -69.2%
78
↑ +10.4%
104
↑ +33.2%
66
↓ -36.8%
169
↑ +157.2%
64
↓ -62.1%
32
↓ -50.6%
68
↑ +115.1%
8
↓ -87.7%
51
↑ +512.2%
契約負債
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
103
-
34
↓ -66.5%
26
↓ -24.8%
23
↓ -10.9%
前受金
-
-
1
-
0
↓ -87.6%
1
↑ +1341.9%
1
↓ -24.4%
1
↑ +3.8%
2
↑ +239.7%
2
↓ -4.5%
2
0.0%
1
↓ -75.9%
-
-
0
-
-
-
預り金
-
-
32
-
35
↑ +8.0%
31
↓ -12.3%
80
↑ +161.7%
74
↓ -6.8%
22
↓ -70.0%
143
↑ +543.5%
19
↓ -86.7%
16
↓ -14.8%
43
↑ +165.1%
18
↓ -57.8%
10
↓ -47.1%
賞与引当金
-
-
205
-
213
↑ +4.0%
65
↓ -69.3%
67
↑ +2.6%
64
↓ -5.3%
55
↓ -13.6%
50
↓ -8.5%
41
↓ -18.7%
38
↓ -6.2%
30
↓ -21.8%
37
↑ +24.5%
33
↓ -11.4%
資産除去債務
-
-
18
-
5
↓ -71.7%
33
↑ +558.7%
28
↓ -16.7%
3
↓ -89.5%
-
-
167
-
36
↓ -78.7%
57
↑ +60.0%
5
↓ -91.5%
4
↓ -8.7%
18
↑ +298.3%
流動負債
-
-
2,250
-
2,595
↑ +15.3%
1,894
↓ -27.0%
2,020
↑ +6.7%
1,832
↓ -9.3%
1,675
↓ -8.6%
2,504
↑ +49.5%
1,052
↓ -58.0%
1,024
↓ -2.6%
928
↓ -9.3%
866
↓ -6.7%
771
↓ -11.0%
固定負債
長期借入金
-
-
1,125
-
744
↓ -33.8%
966
↑ +29.7%
1,022
↑ +5.9%
948
↓ -7.2%
743
↓ -21.7%
823
↑ +10.9%
238
↓ -71.0%
253
↑ +6.0%
204
↓ -19.4%
256
↑ +25.7%
234
↓ -8.6%
退職給付引当金
-
-
383
-
416
↑ +8.6%
407
↓ -2.1%
394
↓ -3.0%
377
↓ -4.3%
355
↓ -5.8%
359
↑ +1.1%
315
↓ -12.4%
266
↓ -15.4%
243
↓ -8.6%
227
↓ -6.8%
197
↓ -13.0%
資産除去債務
-
-
205
-
202
↓ -1.4%
202
↓ -0.4%
203
↑ +0.7%
195
↓ -3.8%
200
↑ +2.3%
178
↓ -10.8%
199
↑ +12.0%
194
↓ -2.5%
172
↓ -11.3%
215
↑ +24.7%
211
↓ -2.0%
その他
-
-
215
-
2
↓ -99.1%
3
↑ +71.4%
2
↓ -43.7%
1
↓ -42.1%
1
↓ -52.6%
7
↑ +1191.9%
7
↓ -1.9%
6
↓ -10.5%
6
↑ +1.3%
6
↓ -1.3%
6
0.0%
固定負債
-
-
2,020
-
1,427
↓ -29.3%
1,621
↑ +13.6%
1,653
↑ +1.9%
1,545
↓ -6.5%
1,314
↓ -15.0%
1,370
↑ +4.3%
777
↓ -43.3%
732
↓ -5.7%
625
↓ -14.6%
704
↑ +12.5%
648
↓ -7.9%
負債
-
-
4,270
-
4,022
↓ -5.8%
3,516
↓ -12.6%
3,673
↑ +4.5%
3,377
↓ -8.1%
2,989
↓ -11.5%
3,874
↑ +29.6%
1,828
↓ -52.8%
1,756
↓ -3.9%
1,554
↓ -11.5%
1,570
↑ +1.0%
1,419
↓ -9.6%
純資産の部
株主資本
資本金
-
-
1,480
-
1,480
0.0%
1,480
0.0%
1,480
0.0%
1,480
0.0%
1,480
0.0%
1,480
0.0%
50
↓ -96.6%
50
0.0%
50
0.0%
62
↑ +24.7%
30
↓ -51.9%
資本剰余金
資本準備金
-
-
1,702
-
1,702
0.0%
1,702
0.0%
1,702
0.0%
1,702
0.0%
1,702
0.0%
1,702
0.0%
-
-
-
-
-
-
12
-
3,722
↑ +30054.3%
その他資本剰余金
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
3,132
-
3,132
0.0%
3,132
0.0%
3,132
0.0%
-
-
資本剰余金
-
-
1,702
-
1,702
0.0%
1,702
0.0%
1,702
0.0%
1,702
0.0%
1,702
0.0%
1,702
0.0%
3,132
↑ +84.0%
3,132
0.0%
3,132
0.0%
3,145
↑ +0.4%
3,722
↑ +18.4%
利益剰余金
利益準備金
-
-
67
-
67
0.0%
67
0.0%
67
0.0%
67
0.0%
67
0.0%
67
0.0%
67
0.0%
67
0.0%
67
0.0%
67
0.0%
67
0.0%
その他利益剰余金
繰越利益剰余金
-
-
-691
-
-314
↑ +54.7%
-491
↓ -56.8%
-624
↓ -27.0%
-666
↓ -6.7%
-1,050
↓ -57.7%
-2,064
↓ -96.5%
-1,674
↑ +18.9%
-2,479
↓ -48.1%
-2,638
↓ -6.4%
-2,700
↓ -2.4%
-2,861
↓ -5.9%
利益剰余金
-
-
-64
-
-247
↓ -282.6%
-425
↓ -72.2%
-557
↓ -31.2%
-599
↓ -7.5%
-983
↓ -64.2%
-1,997
↓ -103.1%
-1,607
↑ +19.5%
-2,412
↓ -50.1%
-2,571
↓ -6.6%
-2,633
↓ -2.4%
-2,794
↓ -6.1%
自己株式
-
-
-159
-
-159
↓ -0.0%
-159
0.0%
-159
0.0%
-159
0.0%
-159
0.0%
-159
0.0%
-159
0.0%
-159
0.0%
-159
0.0%
-159
0.0%
-159
0.0%
株主資本
-
-
2,958
-
2,776
↓ -6.2%
2,598
↓ -6.4%
2,466
↓ -5.1%
2,424
↓ -1.7%
2,040
↓ -15.9%
1,026
↓ -49.7%
1,416
↑ +38.0%
611
↓ -56.9%
452
↓ -26.0%
414
↓ -8.3%
799
↑ +92.9%
新株予約権
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
2
-
-
-
純資産
3,959
-
2,958
↓ -25.3%
2,776
↓ -6.2%
2,598
↓ -6.4%
2,466
↓ -5.1%
2,424
↓ -1.7%
2,040
↓ -15.9%
1,026
↓ -49.7%
1,416
↑ +38.0%
611
↓ -56.9%
452
↓ -26.0%
417
↓ -7.8%
799
↑ +91.8%
負債純資産
-
-
7,229
-
6,799
↓ -5.9%
6,114
↓ -10.1%
6,139
↑ +0.4%
5,801
↓ -5.5%
5,029
↓ -13.3%
4,900
↓ -2.6%
3,244
↓ -33.8%
2,367
↓ -27.0%
2,006
↓ -15.3%
1,987
↓ -1.0%
2,218
↑ +11.6%
2014年2015年2016年2017年2018年2019年2020年2021年2022年2023年2024年2025年2026年
資産の部
流動資産
現金及び預金
-
-
1,398
-
1,539
↑ +10.1%
1,083
↓ -29.6%
1,168
↑ +7.8%
1,096
↓ -6.1%
785
↓ -28.4%
390
↓ -50.3%
979
↑ +151.2%
386
↓ -60.6%
277
↓ -28.3%
175
↓ -36.8%
532
↑ +203.8%
売掛金
-
-
525
-
530
↑ +0.9%
507
↓ -4.3%
501
↓ -1.2%
460
↓ -8.1%
298
↓ -35.3%
330
↑ +10.9%
297
↓ -10.1%
273
↓ -8.0%
282
↑ +3.0%
258
↓ -8.4%
249
↓ -3.7%
商品
-
-
63
-
81
↑ +28.8%
88
↑ +9.0%
74
↓ -16.9%
60
↓ -18.2%
75
↑ +24.0%
59
↓ -21.1%
49
↓ -16.0%
37
↓ -25.9%
26
↓ -28.2%
24
↓ -9.9%
24
↑ +1.0%
美容材料
-
-
25
-
35
↑ +40.4%
26
↓ -26.0%
22
↓ -16.0%
19
↓ -11.7%
23
↑ +20.0%
20
↓ -15.2%
23
↑ +19.4%
18
↓ -23.6%
14
↓ -24.0%
17
↑ +24.7%
13
↓ -23.6%
貯蔵品
-
-
16
-
15
↓ -8.7%
13
↓ -11.7%
11
↓ -14.6%
11
↓ -3.3%
12
↑ +6.8%
11
↓ -6.8%
8
↓ -29.9%
6
↓ -24.3%
6
↑ +11.8%
6
↓ -8.6%
6
↓ -3.9%
前払費用
-
-
122
-
115
↓ -6.0%
107
↓ -7.3%
106
↓ -0.7%
94
↓ -10.9%
99
↑ +4.9%
114
↑ +15.0%
103
↓ -9.7%
75
↓ -27.5%
66
↓ -10.8%
50
↓ -24.1%
50
↓ -1.3%
その他
-
-
116
-
61
↓ -47.4%
107
↑ +75.3%
84
↓ -21.8%
39
↓ -53.0%
29
↓ -26.4%
46
↑ +57.3%
104
↑ +128.0%
50
↓ -51.8%
42
↓ -16.7%
28
↓ -32.4%
38
↑ +34.5%
貸倒引当金
-
-
-1
-
-0
↑ +56.5%
-0
0.0%
-0
0.0%
-0
0.0%
-0
0.0%
-1
↓ -199.3%
-1
↓ -7.6%
-1
↑ +4.7%
-1
↓ -5.9%
-1
↑ +4.2%
-1
↑ +41.2%
流動資産
-
-
2,365
-
2,376
↑ +0.5%
1,931
↓ -18.7%
1,964
↑ +1.7%
1,780
↓ -9.4%
1,320
↓ -25.9%
968
↓ -26.7%
1,563
↑ +61.4%
844
↓ -46.0%
712
↓ -15.6%
557
↓ -21.7%
910
↑ +63.3%
固定資産
有形固定資産
建物
-
-
4,330
-
4,253
↓ -1.8%
4,159
↓ -2.2%
4,269
↑ +2.6%
4,308
↑ +0.9%
4,133
↓ -4.1%
4,012
↓ -2.9%
2,996
↓ -25.3%
2,609
↓ -12.9%
2,370
↓ -9.2%
2,244
↓ -5.3%
2,173
↓ -3.2%
減価償却累計額
-
-
-2,909
-
-2,952
↓ -1.5%
-3,004
↓ -1.8%
-2,956
↑ +1.6%
-3,090
↓ -4.5%
-3,193
↓ -3.3%
-3,307
↓ -3.6%
-2,589
↑ +21.7%
-2,296
↑ +11.3%
-2,126
↑ +7.4%
-1,803
↑ +15.2%
-1,825
↓ -1.2%
建物(純額)
-
-
1,421
-
1,300
↓ -8.5%
1,155
↓ -11.2%
1,313
↑ +13.7%
1,219
↓ -7.2%
940
↓ -22.8%
705
↓ -25.0%
406
↓ -42.3%
314
↓ -22.8%
244
↓ -22.2%
441
↑ +80.8%
349
↓ -20.9%
構築物
-
-
26
-
26
↓ -1.9%
26
↑ +0.9%
26
0.0%
26
0.0%
26
↓ -0.6%
26
0.0%
18
↓ -30.8%
18
0.0%
16
↓ -10.8%
16
0.0%
20
↑ +26.0%
減価償却累計額
-
-
-23
-
-23
↓ -1.0%
-23
↓ -2.1%
-24
↓ -1.9%
-24
↓ -1.1%
-24
↓ -1.1%
-25
↓ -1.1%
-17
↑ +29.7%
-17
↓ -0.5%
-16
↑ +10.1%
-16
↓ -0.3%
-16
↓ -0.6%
構築物(純額)
-
-
4
-
3
↓ -20.3%
3
↓ -9.3%
2
↓ -17.3%
2
↓ -11.9%
1
↓ -21.5%
1
↓ -17.8%
1
↓ -53.6%
0
↓ -14.7%
0
0.0%
0
0.0%
4
↑ +1527.8%
工具、器具及び備品
-
-
40
-
40
0.0%
41
↑ +3.6%
83
↑ +101.4%
99
↑ +18.2%
125
↑ +26.6%
121
↓ -3.1%
137
↑ +13.6%
140
↑ +1.9%
150
↑ +7.5%
168
↑ +11.7%
180
↑ +6.9%
減価償却累計額
-
-
-40
-
-40
↓ -0.4%
-38
↑ +4.2%
-43
↓ -14.3%
-47
↓ -8.2%
-67
↓ -43.0%
-85
↓ -26.3%
-92
↓ -7.9%
-102
↓ -11.2%
-115
↓ -13.4%
-131
↓ -13.5%
-140
↓ -6.9%
工具、器具及び備品(純額)
-
-
1
-
0
↓ -27.1%
3
↑ +831.0%
40
↑ +1050.9%
52
↑ +29.0%
58
↑ +11.7%
36
↓ -37.3%
46
↑ +26.7%
38
↓ -16.7%
35
↓ -8.4%
37
↑ +5.7%
40
↑ +6.8%
土地
-
-
1,375
-
1,194
↓ -13.2%
1,194
0.0%
1,194
0.0%
1,194
0.0%
1,177
↓ -1.4%
1,177
↓ -0.0%
182
↓ -84.5%
159
↓ -12.7%
128
↓ -19.7%
128
0.0%
128
0.0%
有形固定資産
-
-
2,830
-
2,546
↓ -10.0%
2,391
↓ -6.1%
2,578
↑ +7.8%
2,490
↓ -3.4%
2,189
↓ -12.1%
1,925
↓ -12.1%
637
↓ -66.9%
512
↓ -19.7%
412
↓ -19.4%
606
↑ +47.1%
520
↓ -14.1%
無形固定資産
ソフトウエア
-
-
3
-
4
↑ +14.5%
3
↓ -17.4%
2
↓ -36.0%
1
↓ -45.2%
1
↑ +28.0%
1
↓ -41.6%
0
↓ -36.1%
22
↑ +4334.7%
31
↑ +41.0%
89
↑ +187.0%
67
↓ -25.1%
その他
-
-
30
-
30
0.0%
30
0.0%
30
0.0%
30
0.0%
30
0.0%
30
0.0%
31
↑ +2.9%
36
↑ +16.5%
9
↓ -74.1%
0
↓ -99.3%
3
↑ +4306.5%
無形固定資産
-
-
41
-
36
↓ -11.9%
33
↓ -7.9%
32
↓ -3.2%
31
↓ -2.7%
31
↑ +0.9%
31
↓ -1.8%
31
↑ +1.9%
58
↑ +84.6%
40
↓ -30.5%
89
↑ +120.6%
69
↓ -22.0%
投資その他の資産
出資金
-
-
0
-
0
0.0%
0
0.0%
0
0.0%
0
0.0%
0
0.0%
0
0.0%
0
0.0%
0
0.0%
0
0.0%
0
0.0%
0
0.0%
長期前払費用
-
-
33
-
24
↓ -28.0%
20
↓ -16.2%
15
↓ -24.7%
12
↓ -21.3%
13
↑ +11.5%
9
↓ -31.7%
7
↓ -27.9%
4
↓ -36.8%
7
↑ +75.7%
9
↑ +27.0%
9
↑ +2.4%
敷金及び保証金
-
-
1,950
-
1,807
↓ -7.3%
1,729
↓ -4.3%
1,540
↓ -10.9%
1,478
↓ -4.0%
1,465
↓ -0.9%
1,378
↓ -5.9%
1,000
↓ -27.5%
947
↓ -5.3%
831
↓ -12.2%
723
↓ -13.1%
706
↓ -2.3%
その他
-
-
7
-
9
↑ +23.2%
9
↑ +0.1%
9
0.0%
9
↑ +0.0%
9
0.0%
6
↓ -31.9%
6
0.0%
2
↓ -62.4%
2
0.0%
2
0.0%
2
0.0%
投資その他の資産
-
-
1,993
-
1,841
↓ -7.6%
1,759
↓ -4.4%
1,565
↓ -11.0%
1,500
↓ -4.2%
1,488
↓ -0.8%
1,976
↑ +32.8%
1,013
↓ -48.7%
954
↓ -5.8%
841
↓ -11.8%
734
↓ -12.7%
718
↓ -2.2%
固定資産
-
-
4,864
-
4,423
↓ -9.1%
4,183
↓ -5.4%
4,175
↓ -0.2%
4,021
↓ -3.7%
3,709
↓ -7.8%
3,932
↑ +6.0%
1,681
↓ -57.2%
1,523
↓ -9.4%
1,294
↓ -15.1%
1,429
↑ +10.5%
1,308
↓ -8.5%
資産
-
-
7,229
-
6,799
↓ -5.9%
6,114
↓ -10.1%
6,139
↑ +0.4%
5,801
↓ -5.5%
5,029
↓ -13.3%
4,900
↓ -2.6%
3,244
↓ -33.8%
2,367
↓ -27.0%
2,006
↓ -15.3%
1,987
↓ -1.0%
2,218
↑ +11.6%
負債の部
流動負債
支払手形
-
-
410
-
368
↓ -10.2%
352
↓ -4.4%
166
↓ -52.9%
147
↓ -11.1%
121
↓ -17.7%
80
↓ -33.8%
54
↓ -32.9%
60
↑ +11.6%
53
↓ -11.5%
9
↓ -82.9%
-
-
電子記録債務
-
-
-
-
-
-
-
-
149
-
136
↓ -8.4%
145
↑ +6.6%
129
↓ -10.9%
117
↓ -9.5%
80
↓ -31.9%
71
↓ -10.3%
127
↑ +77.3%
110
↓ -13.4%
買掛金
-
-
73
-
77
↑ +4.4%
59
↓ -23.3%
53
↓ -9.9%
55
↑ +4.8%
52
↓ -7.1%
51
↓ -1.8%
47
↓ -7.7%
33
↓ -29.9%
34
↑ +3.5%
38
↑ +12.3%
30
↓ -20.5%
短期借入金
-
-
87
-
102
↑ +17.3%
397
↑ +290.3%
441
↑ +11.0%
369
↓ -16.3%
455
↑ +23.2%
743
↑ +63.3%
28
↓ -96.2%
123
↑ +337.6%
96
↓ -21.4%
70
↓ -27.3%
50
↓ -28.6%
1年内償還予定の社債
-
-
70
-
40
↓ -42.9%
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
56
-
-
-
1年内返済予定の長期借入金
-
-
387
-
688
↑ +78.0%
137
↓ -80.1%
173
↑ +26.1%
213
↑ +23.0%
205
↓ -3.4%
219
↑ +6.7%
42
↓ -80.9%
43
↑ +3.3%
49
↑ +13.9%
75
↑ +51.6%
91
↑ +21.7%
未払金
-
-
118
-
144
↑ +21.9%
142
↓ -1.0%
177
↑ +24.5%
107
↓ -39.7%
89
↓ -16.5%
90
↑ +1.4%
228
↑ +152.2%
121
↓ -46.8%
79
↓ -34.5%
124
↑ +55.9%
88
↓ -28.8%
未払費用
-
-
502
-
495
↓ -1.3%
469
↓ -5.3%
502
↑ +7.1%
459
↓ -8.7%
369
↓ -19.5%
505
↑ +36.8%
331
↓ -34.6%
282
↓ -14.7%
333
↑ +18.1%
244
↓ -26.6%
240
↓ -1.7%
未払法人税等
-
-
79
-
96
↑ +21.0%
124
↑ +29.6%
94
↓ -24.1%
88
↓ -6.1%
85
↓ -3.4%
151
↑ +76.8%
43
↓ -71.6%
37
↓ -14.9%
32
↓ -12.6%
30
↓ -6.2%
28
↓ -5.8%
未払消費税等
-
-
250
-
229
↓ -8.7%
70
↓ -69.2%
78
↑ +10.4%
104
↑ +33.2%
66
↓ -36.8%
169
↑ +157.2%
64
↓ -62.1%
32
↓ -50.6%
68
↑ +115.1%
8
↓ -87.7%
51
↑ +512.2%
契約負債
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
103
-
34
↓ -66.5%
26
↓ -24.8%
23
↓ -10.9%
前受金
-
-
1
-
0
↓ -87.6%
1
↑ +1341.9%
1
↓ -24.4%
1
↑ +3.8%
2
↑ +239.7%
2
↓ -4.5%
2
0.0%
1
↓ -75.9%
-
-
0
-
-
-
預り金
-
-
32
-
35
↑ +8.0%
31
↓ -12.3%
80
↑ +161.7%
74
↓ -6.8%
22
↓ -70.0%
143
↑ +543.5%
19
↓ -86.7%
16
↓ -14.8%
43
↑ +165.1%
18
↓ -57.8%
10
↓ -47.1%
賞与引当金
-
-
205
-
213
↑ +4.0%
65
↓ -69.3%
67
↑ +2.6%
64
↓ -5.3%
55
↓ -13.6%
50
↓ -8.5%
41
↓ -18.7%
38
↓ -6.2%
30
↓ -21.8%
37
↑ +24.5%
33
↓ -11.4%
資産除去債務
-
-
18
-
5
↓ -71.7%
33
↑ +558.7%
28
↓ -16.7%
3
↓ -89.5%
-
-
167
-
36
↓ -78.7%
57
↑ +60.0%
5
↓ -91.5%
4
↓ -8.7%
18
↑ +298.3%
流動負債
-
-
2,250
-
2,595
↑ +15.3%
1,894
↓ -27.0%
2,020
↑ +6.7%
1,832
↓ -9.3%
1,675
↓ -8.6%
2,504
↑ +49.5%
1,052
↓ -58.0%
1,024
↓ -2.6%
928
↓ -9.3%
866
↓ -6.7%
771
↓ -11.0%
固定負債
長期借入金
-
-
1,125
-
744
↓ -33.8%
966
↑ +29.7%
1,022
↑ +5.9%
948
↓ -7.2%
743
↓ -21.7%
823
↑ +10.9%
238
↓ -71.0%
253
↑ +6.0%
204
↓ -19.4%
256
↑ +25.7%
234
↓ -8.6%
退職給付引当金
-
-
383
-
416
↑ +8.6%
407
↓ -2.1%
394
↓ -3.0%
377
↓ -4.3%
355
↓ -5.8%
359
↑ +1.1%
315
↓ -12.4%
266
↓ -15.4%
243
↓ -8.6%
227
↓ -6.8%
197
↓ -13.0%
資産除去債務
-
-
205
-
202
↓ -1.4%
202
↓ -0.4%
203
↑ +0.7%
195
↓ -3.8%
200
↑ +2.3%
178
↓ -10.8%
199
↑ +12.0%
194
↓ -2.5%
172
↓ -11.3%
215
↑ +24.7%
211
↓ -2.0%
その他
-
-
215
-
2
↓ -99.1%
3
↑ +71.4%
2
↓ -43.7%
1
↓ -42.1%
1
↓ -52.6%
7
↑ +1191.9%
7
↓ -1.9%
6
↓ -10.5%
6
↑ +1.3%
6
↓ -1.3%
6
0.0%
固定負債
-
-
2,020
-
1,427
↓ -29.3%
1,621
↑ +13.6%
1,653
↑ +1.9%
1,545
↓ -6.5%
1,314
↓ -15.0%
1,370
↑ +4.3%
777
↓ -43.3%
732
↓ -5.7%
625
↓ -14.6%
704
↑ +12.5%
648
↓ -7.9%
負債
-
-
4,270
-
4,022
↓ -5.8%
3,516
↓ -12.6%
3,673
↑ +4.5%
3,377
↓ -8.1%
2,989
↓ -11.5%
3,874
↑ +29.6%
1,828
↓ -52.8%
1,756
↓ -3.9%
1,554
↓ -11.5%
1,570
↑ +1.0%
1,419
↓ -9.6%
純資産の部
株主資本
資本金
-
-
1,480
-
1,480
0.0%
1,480
0.0%
1,480
0.0%
1,480
0.0%
1,480
0.0%
1,480
0.0%
50
↓ -96.6%
50
0.0%
50
0.0%
62
↑ +24.7%
30
↓ -51.9%
資本剰余金
資本準備金
-
-
1,702
-
1,702
0.0%
1,702
0.0%
1,702
0.0%
1,702
0.0%
1,702
0.0%
1,702
0.0%
-
-
-
-
-
-
12
-
3,722
↑ +30054.3%
その他資本剰余金
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
3,132
-
3,132
0.0%
3,132
0.0%
3,132
0.0%
-
-
資本剰余金
-
-
1,702
-
1,702
0.0%
1,702
0.0%
1,702
0.0%
1,702
0.0%
1,702
0.0%
1,702
0.0%
3,132
↑ +84.0%
3,132
0.0%
3,132
0.0%
3,145
↑ +0.4%
3,722
↑ +18.4%
利益剰余金
利益準備金
-
-
67
-
67
0.0%
67
0.0%
67
0.0%
67
0.0%
67
0.0%
67
0.0%
67
0.0%
67
0.0%
67
0.0%
67
0.0%
67
0.0%
その他利益剰余金
繰越利益剰余金
-
-
-691
-
-314
↑ +54.7%
-491
↓ -56.8%
-624
↓ -27.0%
-666
↓ -6.7%
-1,050
↓ -57.7%
-2,064
↓ -96.5%
-1,674
↑ +18.9%
-2,479
↓ -48.1%
-2,638
↓ -6.4%
-2,700
↓ -2.4%
-2,861
↓ -5.9%
利益剰余金
-
-
-64
-
-247
↓ -282.6%
-425
↓ -72.2%
-557
↓ -31.2%
-599
↓ -7.5%
-983
↓ -64.2%
-1,997
↓ -103.1%
-1,607
↑ +19.5%
-2,412
↓ -50.1%
-2,571
↓ -6.6%
-2,633
↓ -2.4%
-2,794
↓ -6.1%
自己株式
-
-
-159
-
-159
↓ -0.0%
-159
0.0%
-159
0.0%
-159
0.0%
-159
0.0%
-159
0.0%
-159
0.0%
-159
0.0%
-159
0.0%
-159
0.0%
-159
0.0%
株主資本
-
-
2,958
-
2,776
↓ -6.2%
2,598
↓ -6.4%
2,466
↓ -5.1%
2,424
↓ -1.7%
2,040
↓ -15.9%
1,026
↓ -49.7%
1,416
↑ +38.0%
611
↓ -56.9%
452
↓ -26.0%
414
↓ -8.3%
799
↑ +92.9%
新株予約権
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
2
-
-
-
純資産
3,959
-
2,958
↓ -25.3%
2,776
↓ -6.2%
2,598
↓ -6.4%
2,466
↓ -5.1%
2,424
↓ -1.7%
2,040
↓ -15.9%
1,026
↓ -49.7%
1,416
↑ +38.0%
611
↓ -56.9%
452
↓ -26.0%
417
↓ -7.8%
799
↑ +91.8%
負債純資産
-
-
7,229
-
6,799
↓ -5.9%
6,114
↓ -10.1%
6,139
↑ +0.4%
5,801
↓ -5.5%
5,029
↓ -13.3%
4,900
↓ -2.6%
3,244
↓ -33.8%
2,367
↓ -27.0%
2,006
↓ -15.3%
1,987
↓ -1.0%
2,218
↑ +11.6%
(単位: 百万円)
勘定科目
2014年
JGAAP
2015年
JGAAP
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
2026年
JGAAP
勘定科目2014年2015年2016年2017年2018年2019年2020年2021年2022年2023年2024年2025年2026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(△)
-
-
-474
-
-125
↑ +73.6%
-116
↑ +7.5%
-84
↑ +27.1%
3
↑ +104.0%
-340
↓ -10207.8%
-1,557
↓ -358.6%
1,032
↑ +166.2%
-774
↓ -175.0%
-140
↑ +82.0%
-32
↑ +76.8%
-132
↓ -308.4%
減価償却費
-
-
308
-
261
↓ -15.1%
281
↑ +7.4%
262
↓ -6.5%
254
↓ -3.0%
226
↓ -11.1%
180
↓ -20.2%
214
↑ +18.4%
113
↓ -47.3%
94
↓ -16.7%
89
↓ -5.6%
99
↑ +12.2%
減損損失
-
-
44
-
12
↓ -72.6%
107
↑ +797.0%
-
-
-
-
164
-
63
↓ -61.6%
156
↑ +148.1%
93
↓ -40.6%
90
↓ -3.4%
-
-
165
-
賞与引当金の増減額(△は減少)
-
-
8
-
8
↑ +1.4%
-148
↓ -1902.2%
2
↑ +101.2%
-4
↓ -307.3%
-9
↓ -142.9%
-5
↑ +46.1%
-9
↓ -101.4%
-3
↑ +72.9%
-8
↓ -227.9%
7
↑ +187.6%
-4
↓ -158.2%
退職給付引当金の増減額(△は減少)
-
-
1
-
33
↑ +3277.8%
-9
↓ -127.2%
-12
↓ -37.5%
-17
↓ -38.5%
-22
↓ -30.1%
4
↑ +118.3%
-45
↓ -1203.8%
-49
↓ -9.2%
-23
↑ +53.0%
-17
↑ +27.6%
-30
↓ -79.0%
貸倒引当金の増減額(△は減少)
-
-
-0
-
-0
0.0%
0
0.0%
-0
0.0%
-0
0.0%
3
↑ +2657.5%
1
↓ -80.2%
-3
↓ -582.1%
-0
↑ +98.4%
0
0.0%
-0
0.0%
-0
0.0%
受取利息
-
-
-
-
-
-
-
-
-
-
-
-
-0
-
-0
0.0%
-0
0.0%
-0
0.0%
-0
0.0%
-0
0.0%
-1
↓ -408.3%
支払利息
-
-
23
-
21
↓ -7.3%
19
↓ -12.6%
21
↑ +13.7%
22
↑ +6.3%
20
↓ -11.4%
21
↑ +6.4%
4
↓ -80.7%
3
↓ -33.6%
3
↑ +23.4%
5
↑ +62.4%
7
↑ +24.4%
資金調達費用
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
5
-
6
↑ +10.9%
10
↑ +72.8%
固定資産除却損
-
-
33
-
15
↓ -54.1%
14
↓ -4.6%
27
↑ +86.6%
3
↓ -89.4%
35
↑ +1124.6%
14
↓ -61.5%
1
↓ -95.7%
3
↑ +449.1%
-
-
2
-
1
↓ -15.8%
資産除去債務履行差額
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
9
-
-
-
店舗閉鎖損失
-
-
-
-
-
-
-
-
-
-
-
-
2
-
177
↑ +8108.8%
31
↓ -82.3%
80
↑ +154.1%
22
↓ -72.7%
26
↑ +20.4%
3
↓ -87.3%
受取保険金
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-6
-
-
-
-
-
-
-
-
-
-3
-
売上債権の増減額(△は増加)
-
-
28
-
-5
↓ -119.1%
23
↑ +542.8%
6
↓ -74.4%
40
↑ +571.6%
164
↑ +305.6%
-33
↓ -119.9%
33
↑ +202.0%
22
↓ -33.9%
-9
↓ -140.0%
24
↑ +368.3%
10
↓ -59.5%
棚卸資産の増減額(△は増加)
-
-
-26
-
-27
↓ -3.0%
4
↑ +113.3%
21
↑ +490.6%
16
↓ -22.2%
-19
↓ -216.5%
20
↑ +205.4%
9
↓ -55.7%
20
↑ +126.8%
14
↓ -31.0%
-0
↓ -101.3%
4
↑ +2339.5%
仕入債務の増減額(△は減少)
-
-
72
-
-28
↓ -139.6%
-41
↓ -43.0%
-49
↓ -20.6%
-27
↑ +45.8%
-15
↑ +44.2%
-52
↓ -248.9%
-43
↑ +17.8%
-47
↓ -9.6%
-12
↑ +73.5%
15
↑ +223.1%
-34
↓ -322.5%
未払金の増減額(△は減少)
-
-
4
-
27
↑ +525.8%
-41
↓ -255.7%
25
↑ +159.6%
-15
↓ -161.0%
-10
↑ +31.1%
-2
↑ +83.9%
45
↑ +2774.2%
-39
↓ -186.7%
-20
↑ +49.7%
-2
↑ +88.1%
7
↑ +389.1%
未払費用の増減額(△は減少)
-
-
-
-
-
-
-
-
-
-
-
-
-89
-
110
↑ +223.4%
-149
↓ -235.3%
-49
↑ +67.4%
51
↑ +205.2%
-89
↓ -273.3%
-4
↑ +95.2%
契約負債の増減額(△は減少)
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
103
-
-68
↓ -166.5%
-9
↑ +87.5%
-3
↑ +66.9%
未払消費税等の増減額(△は減少)
-
-
199
-
-22
↓ -110.9%
-158
↓ -626.8%
7
↑ +104.6%
26
↑ +253.0%
-38
↓ -247.6%
103
↑ +370.0%
-105
↓ -201.6%
-32
↑ +69.1%
36
↑ +212.2%
-60
↓ -263.9%
43
↑ +171.5%
その他
-
-
-11
-
20
↑ +283.4%
46
↑ +124.4%
89
↑ +94.5%
-43
↓ -148.2%
-2
↑ +96.1%
9
↑ +618.2%
-207
↓ -2526.0%
42
↑ +120.3%
22
↓ -48.8%
28
↑ +31.5%
-19
↓ -168.4%
小計
-
-
192
-
58
↓ -69.7%
6
↓ -90.5%
318
↑ +5641.4%
265
↓ -16.8%
-235
↓ -188.7%
-796
↓ -239.0%
-1,360
↓ -70.8%
-518
↑ +61.9%
57
↑ +111.0%
2
↓ -96.0%
118
↑ +5087.8%
利息の受取額
-
-
-
-
-
-
-
-
-
-
-
-
0
-
0
0.0%
0
0.0%
0
0.0%
0
0.0%
0
0.0%
1
↑ +403.5%
利息の支払額
-
-
-24
-
-22
↑ +8.4%
-18
↑ +19.4%
-21
↓ -19.0%
-22
↓ -7.4%
-20
↑ +9.7%
-21
↓ -5.3%
-4
↑ +79.1%
-3
↑ +37.5%
-3
↑ +8.4%
-6
↓ -144.9%
-7
↓ -7.4%
資金調達費用の支払額
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-7
-
-6
↑ +26.1%
-10
↓ -72.8%
保険金の受取額
-
-
-
-
-
-
-
-
-
-
-
-
-
-
6
-
-
-
-
-
-
-
-
-
3
-
店舗閉鎖損失の支払額
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-30
-
-21
↑ +31.8%
-36
↓ -72.9%
-26
↑ +27.7%
-2
↑ +90.6%
法人税等の支払額
-
-
-30
-
-60
↓ -99.3%
-59
↑ +1.9%
-58
↑ +2.1%
-51
↑ +11.7%
-45
↑ +11.7%
-15
↑ +65.8%
-95
↓ -513.7%
-41
↑ +56.4%
-37
↑ +11.6%
-32
↑ +12.6%
-30
↑ +6.2%
営業活動によるキャッシュ・フロー
-
-
151
-
17
↓ -88.4%
-33
↓ -289.4%
239
↑ +823.1%
191
↓ -20.1%
-40
↓ -121.1%
-839
↓ -1980.3%
-1,516
↓ -80.7%
-583
↑ +61.6%
-25
↑ +95.6%
-67
↓ -164.1%
73
↑ +208.6%
投資活動によるキャッシュ・フロー
定期預金の預入による支出
-
-
-445
-
-687
↓ -54.3%
-443
↑ +35.5%
-359
↑ +19.0%
-330
↑ +8.0%
-341
↓ -3.1%
-152
↑ +55.5%
-11
↑ +92.9%
-11
0.0%
-11
↓ -0.0%
-9
↑ +18.5%
-24
↓ -169.9%
定期預金の払戻による収入
-
-
623
-
736
↑ +18.1%
496
↓ -32.5%
381
↓ -23.3%
318
↓ -16.4%
327
↑ +2.8%
368
↑ +12.4%
11
↓ -97.1%
11
0.0%
11
0.0%
11
↑ +0.0%
9
↓ -18.5%
有形固定資産の取得による支出
-
-
-67
-
-171
↓ -156.0%
-139
↑ +19.1%
-369
↓ -166.0%
-216
↑ +41.4%
-150
↑ +30.5%
-28
↑ +81.7%
-106
↓ -286.4%
-161
↓ -51.3%
-85
↑ +47.0%
-198
↓ -132.0%
-138
↑ +30.3%
無形固定資産の取得による支出
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-25
-
-24
↑ +3.6%
-37
↓ -51.4%
-29
↑ +21.6%
敷金及び保証金の差入による支出
-
-
-7
-
-43
↓ -537.5%
-63
↓ -44.2%
-34
↑ +46.5%
-2
↑ +94.5%
-31
↓ -1577.5%
-10
↑ +67.8%
-70
↓ -602.7%
-7
↑ +90.6%
-8
↓ -17.7%
-4
↑ +45.6%
-7
↓ -74.0%
敷金及び保証金の回収による収入
-
-
45
-
219
↑ +384.6%
79
↓ -64.0%
217
↑ +174.8%
113
↓ -47.9%
49
↓ -56.6%
93
↑ +90.9%
383
↑ +310.1%
110
↓ -71.2%
126
↑ +14.6%
123
↓ -2.6%
29
↓ -76.7%
資産除去債務の履行による支出
-
-
-
-
-
-
-26
-
-83
↓ -222.0%
-30
↑ +64.3%
-5
↑ +83.0%
-
-
-171
-
-45
↑ +73.6%
-59
↓ -29.4%
-48
↑ +17.3%
-29
↑ +41.1%
その他
-
-
-23
-
-39
↓ -70.3%
-10
↑ +75.2%
-4
↑ +63.0%
-4
↓ -23.6%
-10
↓ -115.5%
-1
↑ +84.7%
-4
↓ -179.8%
-2
↑ +44.4%
-5
↓ -131.5%
-5
↑ +3.4%
-3
↑ +37.2%
投資活動によるキャッシュ・フロー
-
-
126
-
454
↑ +260.2%
-105
↓ -123.1%
-251
↓ -139.1%
-151
↑ +39.7%
-135
↑ +10.9%
294
↑ +317.9%
3,587
↑ +1121.5%
-119
↓ -103.3%
-14
↑ +88.0%
-167
↓ -1065.5%
-192
↓ -14.9%
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
-
-
392
-
664
↑ +69.4%
1,199
↑ +80.6%
467
↓ -61.1%
305
↓ -34.6%
482
↑ +58.1%
405
↓ -15.9%
114
↓ -71.9%
197
↑ +72.8%
45
↓ -77.4%
44
↓ -1.1%
43
↓ -2.3%
短期借入金の返済による支出
-
-
-407
-
-649
↓ -59.5%
-904
↓ -39.3%
-423
↑ +53.2%
-377
↑ +10.9%
-397
↓ -5.3%
-117
↑ +70.4%
-829
↓ -606.7%
-102
↑ +87.6%
-71
↑ +31.1%
-70
↑ +0.4%
-63
↑ +10.4%
長期借入れによる収入
-
-
150
-
353
↑ +135.3%
1,130
↑ +220.1%
246
↓ -78.2%
162
↓ -34.1%
-
-
300
-
-
-
69
-
-
-
145
-
80
↓ -44.8%
長期借入金の返済による支出
-
-
-455
-
-432
↑ +5.1%
-1,460
↓ -237.7%
-154
↑ +89.5%
-196
↓ -27.5%
-213
↓ -8.5%
-205
↑ +3.4%
-762
↓ -271.1%
-53
↑ +93.0%
-43
↑ +19.0%
-67
↓ -56.1%
-86
↓ -27.5%
社債の発行による収入
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
80
-
-
-
社債の償還による支出
-
-
-100
-
-70
↑ +30.0%
-60
↑ +14.3%
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-24
-
-56
↓ -133.3%
株式の発行による収入
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
270
-
新株予約権の発行による収入
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
3
-
-
-
新株予約権の行使による収入
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
25
-
273
↑ +1012.8%
財務活動によるキャッシュ・フロー
-
-
-382
-
-282
↑ +26.2%
-265
↑ +6.0%
118
↑ +144.5%
-124
↓ -204.9%
-149
↓ -20.6%
367
↑ +346.0%
-1,482
↓ -504.1%
108
↑ +107.3%
-69
↓ -164.0%
134
↑ +293.7%
461
↑ +243.0%
現金及び現金同等物に係る換算差額
-
-
0
-
0
0.0%
-0
0.0%
-0
0.0%
0
0.0%
-0
0.0%
0
0.0%
-
-
-
-
-
-
-0
-
-0
0.0%
現金及び現金同等物の増減額(△は減少)
-
-
-105
-
190
↑ +279.9%
-403
↓ -312.5%
106
↑ +126.4%
-84
↓ -178.6%
-324
↓ -288.1%
-179
↑ +44.8%
590
↑ +429.5%
-593
↓ -200.6%
-109
↑ +81.6%
-100
↑ +8.4%
342
↑ +441.9%
現金及び現金同等物の残高
1,178
-
1,073
↓ -8.9%
1,262
↑ +17.7%
859
↓ -31.9%
966
↑ +12.4%
882
↓ -8.7%
558
↓ -36.8%
379
↓ -32.1%
969
↑ +155.6%
375
↓ -61.2%
266
↓ -29.1%
166
↓ -37.5%
508
↑ +205.6%
2014年2015年2016年2017年2018年2019年2020年2021年2022年2023年2024年2025年2026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(△)
-
-
-474
-
-125
↑ +73.6%
-116
↑ +7.5%
-84
↑ +27.1%
3
↑ +104.0%
-340
↓ -10207.8%
-1,557
↓ -358.6%
1,032
↑ +166.2%
-774
↓ -175.0%
-140
↑ +82.0%
-32
↑ +76.8%
-132
↓ -308.4%
減価償却費
-
-
308
-
261
↓ -15.1%
281
↑ +7.4%
262
↓ -6.5%
254
↓ -3.0%
226
↓ -11.1%
180
↓ -20.2%
214
↑ +18.4%
113
↓ -47.3%
94
↓ -16.7%
89
↓ -5.6%
99
↑ +12.2%
減損損失
-
-
44
-
12
↓ -72.6%
107
↑ +797.0%
-
-
-
-
164
-
63
↓ -61.6%
156
↑ +148.1%
93
↓ -40.6%
90
↓ -3.4%
-
-
165
-
賞与引当金の増減額(△は減少)
-
-
8
-
8
↑ +1.4%
-148
↓ -1902.2%
2
↑ +101.2%
-4
↓ -307.3%
-9
↓ -142.9%
-5
↑ +46.1%
-9
↓ -101.4%
-3
↑ +72.9%
-8
↓ -227.9%
7
↑ +187.6%
-4
↓ -158.2%
退職給付引当金の増減額(△は減少)
-
-
1
-
33
↑ +3277.8%
-9
↓ -127.2%
-12
↓ -37.5%
-17
↓ -38.5%
-22
↓ -30.1%
4
↑ +118.3%
-45
↓ -1203.8%
-49
↓ -9.2%
-23
↑ +53.0%
-17
↑ +27.6%
-30
↓ -79.0%
貸倒引当金の増減額(△は減少)
-
-
-0
-
-0
0.0%
0
0.0%
-0
0.0%
-0
0.0%
3
↑ +2657.5%
1
↓ -80.2%
-3
↓ -582.1%
-0
↑ +98.4%
0
0.0%
-0
0.0%
-0
0.0%
受取利息
-
-
-
-
-
-
-
-
-
-
-
-
-0
-
-0
0.0%
-0
0.0%
-0
0.0%
-0
0.0%
-0
0.0%
-1
↓ -408.3%
支払利息
-
-
23
-
21
↓ -7.3%
19
↓ -12.6%
21
↑ +13.7%
22
↑ +6.3%
20
↓ -11.4%
21
↑ +6.4%
4
↓ -80.7%
3
↓ -33.6%
3
↑ +23.4%
5
↑ +62.4%
7
↑ +24.4%
資金調達費用
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
5
-
6
↑ +10.9%
10
↑ +72.8%
固定資産除却損
-
-
33
-
15
↓ -54.1%
14
↓ -4.6%
27
↑ +86.6%
3
↓ -89.4%
35
↑ +1124.6%
14
↓ -61.5%
1
↓ -95.7%
3
↑ +449.1%
-
-
2
-
1
↓ -15.8%
資産除去債務履行差額
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
9
-
-
-
店舗閉鎖損失
-
-
-
-
-
-
-
-
-
-
-
-
2
-
177
↑ +8108.8%
31
↓ -82.3%
80
↑ +154.1%
22
↓ -72.7%
26
↑ +20.4%
3
↓ -87.3%
受取保険金
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-6
-
-
-
-
-
-
-
-
-
-3
-
売上債権の増減額(△は増加)
-
-
28
-
-5
↓ -119.1%
23
↑ +542.8%
6
↓ -74.4%
40
↑ +571.6%
164
↑ +305.6%
-33
↓ -119.9%
33
↑ +202.0%
22
↓ -33.9%
-9
↓ -140.0%
24
↑ +368.3%
10
↓ -59.5%
棚卸資産の増減額(△は増加)
-
-
-26
-
-27
↓ -3.0%
4
↑ +113.3%
21
↑ +490.6%
16
↓ -22.2%
-19
↓ -216.5%
20
↑ +205.4%
9
↓ -55.7%
20
↑ +126.8%
14
↓ -31.0%
-0
↓ -101.3%
4
↑ +2339.5%
仕入債務の増減額(△は減少)
-
-
72
-
-28
↓ -139.6%
-41
↓ -43.0%
-49
↓ -20.6%
-27
↑ +45.8%
-15
↑ +44.2%
-52
↓ -248.9%
-43
↑ +17.8%
-47
↓ -9.6%
-12
↑ +73.5%
15
↑ +223.1%
-34
↓ -322.5%
未払金の増減額(△は減少)
-
-
4
-
27
↑ +525.8%
-41
↓ -255.7%
25
↑ +159.6%
-15
↓ -161.0%
-10
↑ +31.1%
-2
↑ +83.9%
45
↑ +2774.2%
-39
↓ -186.7%
-20
↑ +49.7%
-2
↑ +88.1%
7
↑ +389.1%
未払費用の増減額(△は減少)
-
-
-
-
-
-
-
-
-
-
-
-
-89
-
110
↑ +223.4%
-149
↓ -235.3%
-49
↑ +67.4%
51
↑ +205.2%
-89
↓ -273.3%
-4
↑ +95.2%
契約負債の増減額(△は減少)
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
103
-
-68
↓ -166.5%
-9
↑ +87.5%
-3
↑ +66.9%
未払消費税等の増減額(△は減少)
-
-
199
-
-22
↓ -110.9%
-158
↓ -626.8%
7
↑ +104.6%
26
↑ +253.0%
-38
↓ -247.6%
103
↑ +370.0%
-105
↓ -201.6%
-32
↑ +69.1%
36
↑ +212.2%
-60
↓ -263.9%
43
↑ +171.5%
その他
-
-
-11
-
20
↑ +283.4%
46
↑ +124.4%
89
↑ +94.5%
-43
↓ -148.2%
-2
↑ +96.1%
9
↑ +618.2%
-207
↓ -2526.0%
42
↑ +120.3%
22
↓ -48.8%
28
↑ +31.5%
-19
↓ -168.4%
小計
-
-
192
-
58
↓ -69.7%
6
↓ -90.5%
318
↑ +5641.4%
265
↓ -16.8%
-235
↓ -188.7%
-796
↓ -239.0%
-1,360
↓ -70.8%
-518
↑ +61.9%
57
↑ +111.0%
2
↓ -96.0%
118
↑ +5087.8%
利息の受取額
-
-
-
-
-
-
-
-
-
-
-
-
0
-
0
0.0%
0
0.0%
0
0.0%
0
0.0%
0
0.0%
1
↑ +403.5%
利息の支払額
-
-
-24
-
-22
↑ +8.4%
-18
↑ +19.4%
-21
↓ -19.0%
-22
↓ -7.4%
-20
↑ +9.7%
-21
↓ -5.3%
-4
↑ +79.1%
-3
↑ +37.5%
-3
↑ +8.4%
-6
↓ -144.9%
-7
↓ -7.4%
資金調達費用の支払額
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-7
-
-6
↑ +26.1%
-10
↓ -72.8%
保険金の受取額
-
-
-
-
-
-
-
-
-
-
-
-
-
-
6
-
-
-
-
-
-
-
-
-
3
-
店舗閉鎖損失の支払額
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-30
-
-21
↑ +31.8%
-36
↓ -72.9%
-26
↑ +27.7%
-2
↑ +90.6%
法人税等の支払額
-
-
-30
-
-60
↓ -99.3%
-59
↑ +1.9%
-58
↑ +2.1%
-51
↑ +11.7%
-45
↑ +11.7%
-15
↑ +65.8%
-95
↓ -513.7%
-41
↑ +56.4%
-37
↑ +11.6%
-32
↑ +12.6%
-30
↑ +6.2%
営業活動によるキャッシュ・フロー
-
-
151
-
17
↓ -88.4%
-33
↓ -289.4%
239
↑ +823.1%
191
↓ -20.1%
-40
↓ -121.1%
-839
↓ -1980.3%
-1,516
↓ -80.7%
-583
↑ +61.6%
-25
↑ +95.6%
-67
↓ -164.1%
73
↑ +208.6%
投資活動によるキャッシュ・フロー
定期預金の預入による支出
-
-
-445
-
-687
↓ -54.3%
-443
↑ +35.5%
-359
↑ +19.0%
-330
↑ +8.0%
-341
↓ -3.1%
-152
↑ +55.5%
-11
↑ +92.9%
-11
0.0%
-11
↓ -0.0%
-9
↑ +18.5%
-24
↓ -169.9%
定期預金の払戻による収入
-
-
623
-
736
↑ +18.1%
496
↓ -32.5%
381
↓ -23.3%
318
↓ -16.4%
327
↑ +2.8%
368
↑ +12.4%
11
↓ -97.1%
11
0.0%
11
0.0%
11
↑ +0.0%
9
↓ -18.5%
有形固定資産の取得による支出
-
-
-67
-
-171
↓ -156.0%
-139
↑ +19.1%
-369
↓ -166.0%
-216
↑ +41.4%
-150
↑ +30.5%
-28
↑ +81.7%
-106
↓ -286.4%
-161
↓ -51.3%
-85
↑ +47.0%
-198
↓ -132.0%
-138
↑ +30.3%
無形固定資産の取得による支出
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-25
-
-24
↑ +3.6%
-37
↓ -51.4%
-29
↑ +21.6%
敷金及び保証金の差入による支出
-
-
-7
-
-43
↓ -537.5%
-63
↓ -44.2%
-34
↑ +46.5%
-2
↑ +94.5%
-31
↓ -1577.5%
-10
↑ +67.8%
-70
↓ -602.7%
-7
↑ +90.6%
-8
↓ -17.7%
-4
↑ +45.6%
-7
↓ -74.0%
敷金及び保証金の回収による収入
-
-
45
-
219
↑ +384.6%
79
↓ -64.0%
217
↑ +174.8%
113
↓ -47.9%
49
↓ -56.6%
93
↑ +90.9%
383
↑ +310.1%
110
↓ -71.2%
126
↑ +14.6%
123
↓ -2.6%
29
↓ -76.7%
資産除去債務の履行による支出
-
-
-
-
-
-
-26
-
-83
↓ -222.0%
-30
↑ +64.3%
-5
↑ +83.0%
-
-
-171
-
-45
↑ +73.6%
-59
↓ -29.4%
-48
↑ +17.3%
-29
↑ +41.1%
その他
-
-
-23
-
-39
↓ -70.3%
-10
↑ +75.2%
-4
↑ +63.0%
-4
↓ -23.6%
-10
↓ -115.5%
-1
↑ +84.7%
-4
↓ -179.8%
-2
↑ +44.4%
-5
↓ -131.5%
-5
↑ +3.4%
-3
↑ +37.2%
投資活動によるキャッシュ・フロー
-
-
126
-
454
↑ +260.2%
-105
↓ -123.1%
-251
↓ -139.1%
-151
↑ +39.7%
-135
↑ +10.9%
294
↑ +317.9%
3,587
↑ +1121.5%
-119
↓ -103.3%
-14
↑ +88.0%
-167
↓ -1065.5%
-192
↓ -14.9%
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
-
-
392
-
664
↑ +69.4%
1,199
↑ +80.6%
467
↓ -61.1%
305
↓ -34.6%
482
↑ +58.1%
405
↓ -15.9%
114
↓ -71.9%
197
↑ +72.8%
45
↓ -77.4%
44
↓ -1.1%
43
↓ -2.3%
短期借入金の返済による支出
-
-
-407
-
-649
↓ -59.5%
-904
↓ -39.3%
-423
↑ +53.2%
-377
↑ +10.9%
-397
↓ -5.3%
-117
↑ +70.4%
-829
↓ -606.7%
-102
↑ +87.6%
-71
↑ +31.1%
-70
↑ +0.4%
-63
↑ +10.4%
長期借入れによる収入
-
-
150
-
353
↑ +135.3%
1,130
↑ +220.1%
246
↓ -78.2%
162
↓ -34.1%
-
-
300
-
-
-
69
-
-
-
145
-
80
↓ -44.8%
長期借入金の返済による支出
-
-
-455
-
-432
↑ +5.1%
-1,460
↓ -237.7%
-154
↑ +89.5%
-196
↓ -27.5%
-213
↓ -8.5%
-205
↑ +3.4%
-762
↓ -271.1%
-53
↑ +93.0%
-43
↑ +19.0%
-67
↓ -56.1%
-86
↓ -27.5%
社債の発行による収入
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
80
-
-
-
社債の償還による支出
-
-
-100
-
-70
↑ +30.0%
-60
↑ +14.3%
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-24
-
-56
↓ -133.3%
株式の発行による収入
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
270
-
新株予約権の発行による収入
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
3
-
-
-
新株予約権の行使による収入
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
25
-
273
↑ +1012.8%
財務活動によるキャッシュ・フロー
-
-
-382
-
-282
↑ +26.2%
-265
↑ +6.0%
118
↑ +144.5%
-124
↓ -204.9%
-149
↓ -20.6%
367
↑ +346.0%
-1,482
↓ -504.1%
108
↑ +107.3%
-69
↓ -164.0%
134
↑ +293.7%
461
↑ +243.0%
現金及び現金同等物に係る換算差額
-
-
0
-
0
0.0%
-0
0.0%
-0
0.0%
0
0.0%
-0
0.0%
0
0.0%
-
-
-
-
-
-
-0
-
-0
0.0%
現金及び現金同等物の増減額(△は減少)
-
-
-105
-
190
↑ +279.9%
-403
↓ -312.5%
106
↑ +126.4%
-84
↓ -178.6%
-324
↓ -288.1%
-179
↑ +44.8%
590
↑ +429.5%
-593
↓ -200.6%
-109
↑ +81.6%
-100
↑ +8.4%
342
↑ +441.9%
現金及び現金同等物の残高
1,178
-
1,073
↓ -8.9%
1,262
↑ +17.7%
859
↓ -31.9%
966
↑ +12.4%
882
↓ -8.7%
558
↓ -36.8%
379
↓ -32.1%
969
↑ +155.6%
375
↓ -61.2%
266
↓ -29.1%
166
↓ -37.5%
508
↑ +205.6%