三重交通グループホールディングスJP:3232バランスシート

時価総額
¥591.2億
PER
9.1倍
運輸、不動産、流通、レジャー・サービスの各セグメントでバス事業や不動産取引、石油製品販売、ホテル経営などを展開。
2014/032015/032016/032017/032018/032019/032020/032021/032022/032023/032024/032025/03
現金同等物-3,3423,2672,7572,7092,5234,3767,1127,3839,3339,6665,416
売掛金-6,2936,4777,1296,7427,1776,6606,6386,8427,7338,1118,738
商品及び製品-2,1012,5982,9662,9473,2092,9802,5782,8303,3053,7383,622
流動資産合計-31,58239,16939,13637,11837,23240,82839,39842,02246,30448,82245,398
有形固定資産-86,80692,77797,98899,670101,784108,941105,827103,813100,413108,314113,091
投資有価証券-12,43911,89111,18711,82512,55012,06211,43910,31012,01914,92614,114
固定資産合計-105,563111,714116,723119,172123,539130,093126,295123,131121,597132,472136,215
総資産-137,145150,882155,859156,290160,771170,922165,693165,153167,902181,294181,614
買掛金-6,3965,5325,5724,4134,4684,1183,7105,5466,6474,3233,994
短期借入金-19,56325,96122,63418,44217,12718,88715,02010,66511,02012,49011,660
一年内返済予定の長期借入金-16,17313,89516,12015,11817,95422,27619,58321,21924,89425,34523,223
流動負債合計-54,49757,36655,74450,00951,62360,53347,85348,23653,55161,00256,305
長期借入金-25,70435,11338,08440,84739,89439,65550,84350,42743,60642,74944,225
固定負債合計-49,80858,48660,44862,07860,29559,90070,08968,52261,57260,96062,124
総負債-104,306115,852116,192112,087111,919120,434117,942116,758115,124121,962118,429
資本金及び資本剰余金-11,48811,48813,15513,15513,23113,30613,37813,42213,48813,57313,672
利益剰余金-14,61817,16720,13523,11226,74129,11326,65228,16531,09234,74339,600
株主資本27,67532,83935,03039,66744,20248,85250,48847,75148,39552,77859,33263,185