神戸電鉄JP:9046バランスシート

時価総額
¥206.1億
PER
18.2倍
鉄道事業やバス事業、タクシー業を含む運輸業、不動産業、流通業、旅行業、保育事業、広告代理業、建設業、金融業、温泉給湯業、情報システムサービス業。
2014/032015/032016/032017/032018/032019/032020/032021/032022/032023/032024/032025/03
現金同等物-1,1551,1878671,0071,1101,1771,3711,2621,4431,4681,054
売掛金-1,0041,0071,0891,0461,0688739161,284---
流動資産合計-4,7215,2414,6114,9825,1735,1575,7045,9885,6705,2995,163
有形固定資産-88,28488,15188,08588,94585,36084,69683,56982,43681,23080,26480,340
投資有価証券-1,4638121,0951,2201,0559571,0171,1261,2171,5791,824
固定資産合計-91,75190,71391,02492,00688,55987,64287,19086,36285,13385,15185,516
総資産-96,47295,95495,63596,98993,73292,80092,89492,35190,80490,45190,680
買掛金-1,9943,2883,5373,6283,9493,2412,0302,692---
短期借入金-28,97025,45730,01321,86320,69325,88422,89329,29818,46317,80321,847
一年内返済予定の長期借入金-15,82013,77418,24410,5269,66114,67711,47318,6338,3138,07911,040
流動負債合計-33,85331,39736,28431,04427,45732,57028,67535,74124,68324,22628,323
長期借入金-41,54642,81735,44741,92041,51934,74137,58329,53938,68637,07932,588
固定負債合計-48,71949,83043,09748,31447,59040,78844,04435,98244,87743,28238,817
総負債-82,57381,22879,38179,35875,04873,35872,71971,72469,56067,50867,141
資本金及び資本剰余金-11,71011,71011,71011,71011,71011,71011,71011,71011,71011,71011,710
利益剰余金-3391,5742,8614,0855,3086,3146,5026,9747,6508,6979,768
株主資本11,76613,89914,72616,25417,63018,68419,44120,17420,62621,24322,94223,539