セガサミーホールディングスJP:6460バランスシート

時価総額
¥6022.3億
PER
14.2倍
エンタテインメントコンテンツ事業ではフルゲームやF2Pの開発・販売、遊技機事業ではパチスロ機の製造・販売、ゲーミング事業では統合型リゾートの運営を手がける。
2014/032015/032016/032017/032018/032019/032020/032021/032022/032023/032024/032025/03
現金同等物-102,260141,316137,494157,896137,425159,013154,972152,459179,509211,715200,360
有価証券-97,21048,40165,20324,69414,5005,398721--8,095-
売掛金-38,52655,61244,50029,33939,20940,40838,17638,95253,37054,26952,653
商品及び製品-6,9886,97118,6698,0369,8008,2187,5149,33618,50314,37110,958
流動資産合計-298,021302,292324,115277,350260,462268,976276,295287,789353,862395,003388,744
有形固定資産-100,272101,08081,60978,14584,01786,64961,61760,35860,48260,09948,931
投資有価証券-70,05176,50469,84570,21673,47855,04638,32340,69939,53849,85851,185
固定資産合計-230,637230,664197,483196,155204,191189,292145,304147,703147,703258,991256,033
総資産-528,659532,957521,599473,505464,654458,268421,599435,492501,566653,994644,777
買掛金-26,96433,01145,63121,71624,75817,83416,99424,45530,55626,08523,560
短期借入金-13,84214,0026,35415,83813,35213,331-10,00017,00022,5077,500
一年内返済予定の長期借入金-10,6007,4003,60015,32813,34013,320-10,00017,00022,5007,500
流動負債合計-86,707105,990112,56784,48487,54286,14759,77786,986120,332135,49494,179
長期借入金-32,91848,89544,50038,66140,33442,00342,00032,00025,000124,500132,000
固定負債合計-119,498127,01597,53478,56471,77475,26370,56655,86949,886160,797168,993
総負債-206,206233,006210,102163,049159,316161,410130,343142,855170,218296,292263,173
資本金及び資本剰余金-149,235148,357147,474147,298147,095148,517148,001147,642102,16699,21699,693
利益剰余金-198,704194,505207,639207,174201,889206,334200,551224,684261,840281,208314,947
株主資本348,270322,452299,950311,497310,456305,337296,858291,256292,637331,347357,702381,604