参天製薬JP:4536バランスシート

時価総額
¥5734.6億
PER
16.3倍
Santenグループは、医療用医薬品、一般用医薬品、医療機器の研究開発・製造・販売を手がける企業。
2014/032015/032016/032017/032018/032019/032020/032021/032022/032023/032024/032025/03
現金同等物-49,11483,07832,77239,57970,79691,43062,88883,01457,90394,58292,997
有価証券----4722674525271,293774379997
売掛金----78,65484,61886,99995,99299,591107,16590,53971,759
商品及び製品-12,40213,41117,36819,03835,23535,28241,57537,14139,35243,18551,590
流動資産合計-150,672194,739157,011139,590194,742218,556206,231229,426213,326236,139224,300
有形固定資産-29,10427,99128,55023,13531,69935,60139,48956,28766,17371,57672,954
投資有価証券-33,34942,98328,07433,82327,00327,37126,42921,39220,09714,2708,515
固定資産合計-153,528160,660165,767181,238196,444190,212196,122230,551207,853199,560184,978
総資産-304,200355,399322,778388,463391,186408,768402,353459,976421,179435,699409,277
買掛金----29,74332,07932,57838,10641,18544,94543,53138,989
短期借入金----14,40412,11618,77723,73938,53325,85825,71125,573
一年内返済予定の長期借入金-11,7679,5248,3164,0985003,000--1,907--
流動負債合計-56,34073,23053,43450,19060,66367,59778,54995,82189,50492,79686,837
長期借入金-25,29112,9147,5983,5008,4114,9925,48611,87420,00020,00020,000
固定負債合計-36,08122,16115,4604,87337,95138,61116,75427,31238,37837,53437,260
総負債-92,42195,39168,894100,90598,614106,20895,303123,133127,883130,329124,096
資本金及び資本剰余金-15,46016,08416,27833,44734,11134,53935,24536,08636,59036,88036,909
利益剰余金-178,840221,945223,418233,493258,659273,422270,757290,477238,071240,029228,291
株主資本180,598203,211252,151245,358265,765292,572302,560307,050336,844293,297305,369285,181