OSGコーポレーションJP:6757

時価総額
¥54.6億
PER
17.2倍
電解水素水生成器や浄水器の製造・販売を行う水関連機器事業、交換用カートリッジを扱うメンテナンス事業、ミネラルウォーターを宅配するHOD事業、高級食パンや介護宅配弁当を展開するFOOD事業。
2014/012015/012016/012017/012018/012019/012020/012021/012022/012023/012024/012025/01
現金同等物-7807871,0601,2021,4631,8012,5312,6362,5482,7022,365
現金 + 有価証券-7807871,0601,2021,4631,8012,5312,6362,5482,7022,365
売掛金-1,0201,1111,0878658971,1661,0931,047748--
商品及び製品-270249300308193275285280324285326
流動資産合計-2,4402,5602,8622,8692,9533,6124,3414,4774,3154,4634,140
有形固定資産-1,0951,0741,2181,5521,3671,3241,3341,5681,5841,4631,412
投資有価証券-38353537293112539241
固定資産合計-1,6151,5851,7342,0541,8541,9071,9162,3362,4172,2632,255
総資産-4,0554,1454,5964,9234,8075,5186,2576,8146,7326,7256,396
買掛金-297390351199174406380364320276287
短期借入金-1701506401,1901,1001,2201,0201,0301,2001,3331,413
一年内返済予定の長期借入金-1441355310610095135137988961
流動負債合計-1,1431,2341,5651,8921,9872,3472,4002,1662,3492,6412,619
長期借入金-2166815367266171207255247173110
固定負債合計-658485438816727715773957959912874
総負債-1,8011,7192,0032,7082,7143,0623,1733,1233,3073,5533,493
資本金及び資本剰余金-1,2911,2911,2911,2911,2911,2911,2901,2901,2901,2901,291
利益剰余金-1,0081,1861,3699689101,0371,4511,9081,6921,5161,342
株主資本2,1412,2542,4252,5932,2162,0922,4563,0843,6903,4243,1712,902
有利子負債合計-5313537081,6631,4661,4871,3631,4221,5441,5941,584
純有利子負債--249-434-3534624-314-1,169-1,214-1,004-1,108-781
DEレシオ(%)-23.514.627.375.170.160.544.238.545.150.354.6
運転資本---