品川リフラJP:5351バランスシート

時価総額
¥1016億
PER
7.6倍
耐火物、断熱材、ファインセラミックスの製造販売や築炉工事を手がける企業で、セラミックファイバーや無機塗料などを提供。
2014/032015/032016/032017/032018/032019/032020/032021/032022/032023/032024/032025/03
現金同等物-9,0088,4749,4379,79211,56912,99313,71316,88618,31819,51523,024
有価証券-4,8996,1995,3041,104552,004-51,8643,713
売掛金-31,61630,78133,85533,40234,97034,16030,55235,57034,40940,25239,208
商品及び製品-7,7937,6207,1258,3169,98810,9299,37610,69014,93213,20614,554
流動資産合計-62,99462,84764,69066,14172,16772,01071,65478,74091,43497,566106,964
有形固定資産-31,48629,91029,94429,45528,57230,38027,74029,32833,06637,51646,637
投資有価証券-12,3487,9669,0148,9858,0745,3597,4377,1488,3979,7529,222
固定資産合計-46,84740,85041,81741,19439,05938,23738,55040,96952,46757,57088,249
総資産-109,841103,697106,507107,335111,227110,247110,205119,710143,901155,137195,214
買掛金-14,03413,46413,66915,85014,98314,06712,33815,27419,61018,09720,671
短期借入金-17,49716,75213,62412,40411,51611,43313,16410,36022,06619,12224,854
一年内返済予定の長期借入金-4904904654404554402,210-4783,3743,147
流動負債合計-41,18840,62436,82835,88637,52634,24635,14939,40055,42253,48857,957
長期借入金-2,1841,4084,8524,2934,1703,24746812,41611,9578,56732,602
固定負債合計-17,61012,94115,49213,97911,3149,2864,72217,07017,05314,68143,429
総負債-58,79953,56552,32049,86548,84143,53239,87256,47072,47568,170101,386
資本金及び資本剰余金-8,4478,4518,4518,4518,4518,4708,4573,7193,7553,7503,766
利益剰余金-32,64034,82437,86140,57745,82250,06651,08954,84761,33074,17880,264
株主資本45,25751,04250,13254,18657,47062,38566,71470,33363,23971,42586,96793,828