パリミキホールディングスJP:7455バランスシート

時価総額
¥323.3億
PER
32.2倍
眼鏡小売を中心に、眼鏡フレームの製造・修理、総合建設業、医療関連業務のサポート、資産運用、投資などを展開する企業。
2014/032015/032016/032017/032018/032019/032020/032021/032022/032023/032024/032025/03
現金同等物-15,79015,69317,40817,28616,03215,48715,66411,94912,85813,75913,612
有価証券-814814---------
売掛金-3,2572,9662,9263,3253,1982,4162,7072,6612,7843,0762,999
商品及び製品-10,04410,23710,35510,1899,5009,0908,2367,4797,5177,8378,414
流動資産合計-32,89232,46133,26933,02730,74728,94028,59524,18525,11126,86127,141
有形固定資産-5,7095,4105,3084,3373,9194,2984,7284,8405,3285,7876,175
投資有価証券-2,0522,8731,7971,7761,6931,6317837688061,1722,763
固定資産合計-20,29518,60614,65712,99112,19811,82911,33511,59812,26013,15915,844
総資産-53,18751,06747,92646,01942,94540,77039,93135,78437,37140,02142,985
買掛金-1,8951,8031,8201,7141,4951,3001,3381,2191,3361,5631,384
短期借入金-1,9885,7515,7815,8085,2035,1072,2112,0771,9541,7421,755
一年内返済予定の長期借入金-4,000-5002500-3,012---40
流動負債合計-12,04611,42511,58011,55511,06910,1269,9967,1678,0678,8838,655
長期借入金-6001,066532500-24----129
固定負債合計-1,4671,8301,2841,3849959919411,1701,0991,1141,557
総負債-13,51413,25612,86512,94012,06511,11710,9378,3379,1679,99710,213
資本金及び資本剰余金-12,73012,73012,73012,73012,73012,73012,73012,73012,73012,73012,734
利益剰余金-34,32132,79230,14428,11326,00524,66324,21722,63422,79923,71816,739
株主資本40,00339,67337,81135,06033,07830,88029,65228,99327,44628,20430,02332,772