サンメッセJP:7883バランスシート

時価総額
¥65.4億
PER
16.3倍
企画、デザイン、製版、印刷、製本を中心とした印刷事業と、各種イベントの企画・運営を手がける企業。
2014/032015/032016/032017/032018/032019/032020/032021/032022/032023/032024/032025/03
現金同等物-2,2152,5183,0933,0222,5442,7022,3411,2841,9672,6263,014
有価証券-----50------
売掛金-3,5333,5593,4433,1273,1453,3253,665----
商品及び製品---110817477919392110102
流動資産合計-6,9797,2937,7817,4367,0447,5057,4656,5567,1437,5747,489
有形固定資産-7,0957,2447,0517,2947,4757,3747,2298,2917,9667,7107,428
投資有価証券-3,3192,8113,1263,3153,1782,9093,7133,5553,6504,8874,202
固定資産合計-11,10410,78210,88411,32111,53911,28111,64212,73212,40912,97612,223
総資産-18,08318,07518,66518,75718,58318,78719,10719,28919,55120,55019,712
買掛金-2,1352,0101,8971,8351,8821,7391,8261,8451,9021,7811,657
短期借入金-1,4601,6501,7901,7601,7801,6801,6301,5301,5301,5301,530
一年内返済予定の長期借入金-170821306050-57760-50
流動負債合計-4,9775,0475,1904,8825,3575,4015,1315,2585,3225,3524,973
長期借入金-2221906050-50771206150-
固定負債合計-3,0553,2463,2803,4043,4103,5663,3683,3033,2263,0582,801
総負債-8,0338,2938,4708,2868,7678,9678,4998,5618,5498,4107,773
資本金及び資本剰余金-2,2862,2862,2862,2862,2862,2862,2862,2862,2862,2862,286
利益剰余金-7,3477,3967,4957,5347,6097,6997,9118,0678,2878,4208,628
株主資本9,89010,0509,78210,19510,4709,8169,81910,60910,72711,00212,13911,939