パーカーコーポレーションJP:9845

時価総額
¥426.7億
PER
10.2倍
自動車・食品・化学業界向けの機械設備、NVH対策製品、一般工業用ケミカル品、防音・防振材、電子産業用ファインケミカル、貿易業務を展開。
2014/032015/032016/032017/032018/032019/032020/032021/032022/032023/032024/032025/03
現金同等物-6,2837,2618,6679,75311,15212,0613,9903,6834,6652,29721,904
有価証券--------1914--
現金 + 有価証券-6,2837,2618,6679,75311,15212,0613,9903,7024,6792,29721,904
売掛金-11,68111,90013,00413,72512,83611,74311,14111,763---
商品及び製品-3,4293,3992,9893,4313,4093,1912,9433,8914,3434,9455,206
流動資産合計-24,00525,04227,16729,70030,18829,81113,11813,07715,91914,66747,896
有形固定資産-12,07912,06911,98612,46412,95413,6135,6225,5245,3915,38714,915
投資有価証券-5,8224,2455,5017,0945,8985,2197836676939135,400
固定資産合計-20,29618,62120,07422,39921,26021,43513,95313,50813,51918,01522,957
総資産-44,30143,66447,24252,10051,44951,24627,07126,58529,43832,68270,853
買掛金-7,2377,0307,7328,7439,0177,3507,2067,3668,56910,7528,512
短期借入金-3,0483,0213,4463,1172,6122,3261,1501,1001,2001,2002,364
一年内返済予定の長期借入金-5273,5528125841,3819093508003041501,529
流動負債合計-13,44516,21415,11115,65915,93413,7217,3537,6278,0489,46517,740
長期借入金-4,8621,5053,0532,7621,5271,5381,4351,0652,0271,850421
固定負債合計-7,8383,9465,6876,0924,3164,7372,6961,7713,2143,2314,635
総負債-21,28320,16020,79821,75120,25118,45910,0509,39811,26212,69722,375
資本金及び資本剰余金-4,4794,4784,4784,4784,6784,6784,6784,7174,7184,7194,745
利益剰余金-12,41014,12416,56018,74021,09323,27211,24511,97513,03114,30633,745
株主資本20,21123,01823,50426,44330,34831,19832,78734,68735,53639,04444,33148,477
有利子負債合計-8,4368,0787,3116,4635,5204,7732,9352,9653,5313,2004,314
純有利子負債-2,154817-1,356-3,290-5,632-7,288-1,055-737-1,148903-17,590
DEレシオ(%)-36.734.427.621.317.714.68.58.397.28.9
運転資本----