| 2014/03 | 2015/03 | 2016/03 | 2017/03 | 2018/03 | 2019/03 | 2020/03 | 2021/03 | 2022/03 | 2023/03 | 2024/03 | 2025/03 | |
| 現金同等物 | - | 4,652 | 5,460 | 5,844 | 6,470 | 7,617 | 7,756 | 7,689 | 6,755 | 6,260 | 6,959 | 5,794 |
| 有価証券 | - | 800 | 300 | - | - | - | - | - | - | - | - | - |
| 現金 + 有価証券 | - | 5,452 | 5,760 | 5,844 | 6,470 | 7,617 | 7,756 | 7,689 | 6,755 | 6,260 | 6,959 | 5,794 |
| 売掛金 | - | 13,706 | 13,729 | 11,961 | 12,285 | 11,871 | 11,059 | 10,057 | 10,405 | - | - | - |
| 流動資産合計 | - | 21,323 | 21,541 | 22,138 | 23,901 | 25,307 | 24,400 | 21,305 | 21,243 | 22,394 | 22,865 | 21,959 |
| 有形固定資産 | - | 8,684 | 8,416 | 8,467 | 8,347 | 8,266 | 8,213 | 7,268 | 7,290 | 7,221 | 7,595 | 8,300 |
| 投資有価証券 | - | 2,531 | 2,183 | 2,728 | 2,935 | 2,560 | 2,506 | 2,194 | 2,333 | 2,417 | 3,401 | 3,096 |
| 固定資産合計 | - | 12,083 | 11,406 | 12,091 | 12,191 | 11,738 | 12,135 | 13,213 | 13,360 | 13,401 | 14,967 | 15,964 |
| 総資産 | - | 33,406 | 32,947 | 34,229 | 36,092 | 37,044 | 36,536 | 34,518 | 34,603 | 35,796 | 37,832 | 37,923 |
| 短期借入金 | - | 418 | 250 | - | - | - | - | - | - | - | - | - |
| 一年内返済予定の長期借入金 | - | 182 | 139 | 92 | - | - | - | - | - | - | - | - |
| 流動負債合計 | - | 5,835 | 4,971 | 5,007 | 5,294 | 5,215 | 4,887 | 4,453 | 4,489 | 4,406 | 4,715 | 5,030 |
| 長期借入金 | - | 278 | 139 | 48 | - | - | - | - | - | - | - | - |
| 固定負債合計 | - | 1,224 | 861 | 957 | 992 | 704 | 556 | 532 | 568 | 634 | 996 | 901 |
| 総負債 | - | 7,059 | 5,832 | 5,963 | 6,286 | 5,919 | 5,442 | 4,985 | 5,057 | 5,041 | 5,711 | 5,930 |
| 資本金及び資本剰余金 | - | 5,126 | 5,127 | 5,127 | 5,127 | 5,127 | 5,127 | 5,127 | 5,127 | 5,127 | 5,127 | 5,127 |
| 利益剰余金 | - | 20,550 | 21,680 | 22,767 | 24,128 | 25,692 | 26,720 | 25,586 | 25,930 | 27,050 | 27,739 | 29,196 |
| 株主資本 | 25,030 | 26,346 | 27,115 | 28,266 | 29,806 | 31,126 | 31,093 | 31,930 | 32,267 | 33,841 | 35,958 | 35,509 |
| 有利子負債合計 | - | 877 | 528 | 139 | - | - | - | - | - | - | - | - |
| 純有利子負債 | - | -4,574 | -5,231 | -5,705 | - | - | - | - | - | - | - | - |
| DEレシオ(%) | - | 3.3 | 1.9 | 0.5 | - | - | - | - | - | - | - | - |