CoreCivic, Inc.CXW

時価総額
$20.8億
PER
矯正・拘留施設運営と住宅再入所支援の米国最大手。教育・リハビリや医療サービスを含む42の拘置・矯正施設(設計収容約62,000床)と21の再入所センターを展開。2021年1月にREIT選択を撤回、2024年5月に自社株買い枠を総額3.5億ドルに拡大。米国全域で事業展開。
2010/122011/122012/122013/122014/122015/122016/122017/122018/122019/122020/122021/122022/122023/122024/12
現金同等物26566378746538525392113300149122107
現金 + 有価証券26566378746538525392113300149122107
売掛金305271253245249234230254271281268283312312289
流動資産合計378359351353366342299327374435717627514475450
有形固定資産2,5492,6092,5692,5472,6592,8832,8382,8022,8312,7002,3502,2832,1762,1152,060
固定資産合計2,6052,6602,6242,6552,7613,0142,9732,9453,2823,3562,9922,8722,7312,6302,482
総資産2,9833,0202,9753,0073,1273,3563,2723,2723,6563,7923,7093,4993,2453,1052,932
一年内返済予定の長期借入金-----51010143139351661212
流動負債合計206198166254319325272291366369313341451297286
長期借入金1,1571,2451,1121,2051,2001,4471,4351,4371,7881,9281,7481,4921,0851,083973
固定負債合計1,3071,4131,2871,2511,3271,5691,5401,5301,8742,0461,9821,7861,3621,3301,153
総負債1,5121,6121,4531,5051,6461,8931,8131,8212,2412,4152,2962,1261,8121,6281,439
資本金及び資本剰余金111111111111111
利益剰余金115278374-224-268-301-323-344-393-446-447-499-376-309-240
株主資本1,4711,4081,5221,5031,4821,4631,4591,4521,4151,3771,4131,3721,4321,4781,493
有利子負債合計1,1571,2451,1121,2051,1901,4521,4451,4471,8021,9591,7871,5271,2501,095985
純有利子負債1,1311,1891,0491,1271,1161,3871,4071,3951,7491,8671,6741,2281,101973878
DEレシオ(%)78.688.473.180.280.499.399.199.7127.3142.3126.4111.387.374.166