キャッシュフロー分析
|
1997.8 |
増減 |
1998.8 |
増減 |
1999.8 |
増減 |
2000.8 |
増減 |
2001.8 |
増減 |
2002.8 |
B/S(借方) |
単位百万円 |
現金・預金 |
14,162 |
42 |
14,204 |
10,279 |
24,483 |
28,949 |
53,432 |
-7,398 |
46,034 |
21,317 |
67,351 |
売上債権 |
364 |
21 |
385 |
263 |
648 |
1,175 |
1,823 |
1,862 |
3,685 |
-542 |
3,143 |
棚卸資産 |
7,527 |
1,286 |
8,813 |
1,211 |
10,024 |
10,622 |
20,646 |
9,769 |
30,415 |
-1,082 |
29,333 |
有価証券 |
297 |
-297 |
0 |
15,283 |
15,283 |
30,954 |
46,237 |
65,106 |
111,343 |
-71853 |
39,490 |
その他の流動資産 |
727 |
713 |
1,440 |
267 |
1,707 |
2,061 |
3,768 |
17,184 |
20,952 |
3,922 |
24,874 |
有形固定資産 |
4,698 |
1,631 |
6,329 |
445 |
6,774 |
1,712 |
8,486 |
4,810 |
13,296 |
731 |
14,027 |
無形固定資産 |
25 |
9 |
34 |
0 |
34 |
9 |
43 |
13 |
56 |
541 |
597 |
投 資 等 |
13,855 |
2,787 |
16,642 |
-2,044 |
14,598 |
4,227 |
18,825 |
8,807 |
27,632 |
5,285 |
32,917 |
繰延資産 |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
総 資 産 |
41,655 |
6,192 |
47,847 |
25,704 |
73,551 |
79,709 |
153,260 |
100,153 |
253,413 |
-41681 |
211,732 |
減価償却累計額 |
1,128 |
638 |
1,766 |
698 |
2,464 |
747 |
3,211 |
1,462 |
4,673 |
987 |
5,660 |
B/S(貸方) |
|
未払法人税等 |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
仕入債務 |
13,256 |
3,303 |
16,559 |
2,601 |
19,160 |
23,673 |
42,833 |
20,700 |
63,533 |
-15896 |
47,637 |
その他の流動負債 |
3,670 |
412 |
4,082 |
5,611 |
9,693 |
23,645 |
33,338 |
28,694 |
62,032 |
-30358 |
31,674 |
短期借入金 |
0 |
0 |
0 |
300 |
300 |
-300 |
0 |
0 |
0 |
0 |
0 |
長期借入金 |
1,000 |
0 |
1,000 |
9,000 |
10,000 |
0 |
10,000 |
-3,000 |
7,000 |
-3,000 |
4,000 |
引 当 金 |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
- |
その他の固定負債 |
395 |
-197 |
198 |
584 |
782 |
-100 |
682 |
45 |
727 |
-24 |
703 |
資 本 金 |
2,774 |
0 |
2,774 |
400 |
3,174 |
99 |
3,273 |
0 |
3,273 |
0 |
3,273 |
法定準備金 |
11,049 |
26 |
11,075 |
512 |
11,587 |
315 |
11,902 |
495 |
12,397 |
0 |
12,397 |
剰 余 金 |
9,511 |
2,648 |
12,159 |
6,696 |
18,855 |
32,377 |
51,232 |
52,519 |
103,751 |
24,138 |
127,889 |
評価差額金 |
- |
- |
- |
- |
- |
- |
- |
700 |
700 |
-16541 |
-15,841 |
負債+資本 |
41,655 |
6,192 |
47,847 |
25,704 |
73,551 |
79,709 |
153,260 |
100,153 |
253,413 |
-41681 |
211,732 |
P/L(損益計算書) |
|
売 上 高 |
75,020 |
|
83,120 |
|
111,081 |
|
228,985 |
|
418,561 |
|
341,640 |
売上原価 |
46,735 |
62% |
48,983 |
59% |
64,877 |
58% |
116,491 |
51% |
218,740 |
52% |
192,088 |
販売費・一般管理費 |
23,022 |
|
28,126 |
|
31,861 |
|
51,867 |
|
97,740 |
|
95,541 |
営業利益 |
5,263 |
7% |
6,011 |
7% |
14,343 |
13% |
60,627 |
26% |
102,081 |
24% |
54,011 |
営業外収益 |
366 |
|
379 |
|
276 |
|
787 |
|
1,577 |
|
1,407 |
営業外費用 |
119 |
|
71 |
|
454 |
|
934 |
|
441 |
|
644 |
経常利益 |
5,510 |
|
6,319 |
|
14,165 |
|
60,480 |
|
103,217 |
|
54,774 |
特別利益 |
0 |
|
34 |
|
0 |
|
0 |
|
25 |
|
109 |
特別損失 |
83 |
|
205 |
|
185 |
|
479 |
|
709 |
|
774 |
税引前当期利益 |
5,427 |
|
6,148 |
|
13,980 |
|
60,001 |
|
102,533 |
|
54,109 |
法人税・住民税等 |
2,724 |
|
3,224 |
|
7,164 |
|
27,346 |
|
44,150 |
|
19,874 |
法人税等調整額 |
- |
|
- |
|
- |
|
-1,857 |
|
-809 |
|
2,717 |
税引後当期利益 |
2,703 |
|
2,924 |
|
6,816 |
|
34,514 |
|
59,192 |
|
31,518 |
配当・役員賞与支払 |
|
276 |
|
120 |
|
2,137 |
|
6,673 |
|
7,380 |
剰余金増減 |
- |
|
2,648 |
|
6,696 |
|
32,377 |
|
52,519 |
|
24,138 |
C.Gボックス |
|
N.F(減価償却費) |
638 |
|
698 |
|
747 |
|
1,462 |
|
987 |
|
G (営業利益) |
6,011 |
|
14,343 |
|
60,627 |
|
102,081 |
|
54,011 |
|
計(N.F前利益) |
6,649 |
|
15,041 |
|
61,374 |
|
103,543 |
|
54,998 |
|
C.S(運転資金増加) |
-1,996 |
|
-1,127 |
|
-11,876 |
|
-9,069 |
|
4,272 |
|
C.G(経常収支) |
8,645 |
|
16,168 |
|
73,250 |
|
112,612 |
|
40,726 |
|
資金の増加の要素 |
|
短期借入金増加 |
|
- |
|
300 |
|
- |
|
- |
|
- |
|
長期借入金増加 |
|
- |
|
9,000 |
|
- |
|
- |
|
- |
|
資本金増加 |
|
- |
|
400 |
|
99 |
|
- |
|
- |
|
法定準備金増加 |
|
26 |
|
512 |
|
315 |
|
495 |
|
- |
|
無形固定資産減少 |
- |
|
- |
|
- |
|
- |
|
- |
|
投資等減少 |
|
- |
|
2,044 |
|
- |
|
- |
|
- |
|
有価証券減少 |
|
297 |
|
- |
|
- |
|
- |
|
71,853 |
|
その他の流動資産減少 |
- |
|
- |
|
- |
|
- |
|
- |
|
その他の流動負債増加 |
412 |
|
5,611 |
|
23,645 |
|
28,694 |
|
- |
|
その他の固定負債増加 |
- |
|
584 |
|
- |
|
45 |
|
- |
|
営業外収益 |
|
379 |
|
276 |
|
787 |
|
1,577 |
|
1,407 |
|
特別利益 |
|
34 |
|
- |
|
- |
|
25 |
|
109 |
|
固定資産売却/除却 |
- |
|
- |
|
- |
|
- |
|
- |
|
資金の減少の要素 |
|
法人税等充当金 |
|
3,224 |
|
7,164 |
|
25,487 |
|
43,341 |
|
22,591 |
|
配当・役員賞与支払 |
276 |
|
120 |
|
2,137 |
|
6,673 |
|
7,380 |
|
短期借入金減少 |
|
- |
|
- |
|
300 |
|
- |
|
- |
|
長期借入金減少 |
|
- |
|
- |
|
- |
|
3,000 |
|
3,000 |
|
有形固定資産増加 |
2,269 |
|
1,143 |
|
2,459 |
|
6,272 |
|
1,718 |
|
繰延資産増加 |
|
- |
|
- |
|
- |
|
- |
|
- |
|
無形固定資産増加 |
9 |
|
- |
|
9 |
|
13 |
|
541 |
|
投資等増加 |
|
2,787 |
|
- |
|
4,227 |
|
8,807 |
|
5,285 |
|
有価証券増加 |
|
- |
|
15,283 |
|
30,954 |
|
65,106 |
|
- |
|
その他の流動資産増加 |
713 |
|
267 |
|
2,061 |
|
17,184 |
|
3,922 |
|
その他の流動負債減少 |
- |
|
- |
|
- |
|
- |
|
30,358 |
|
その他の固定負債減少 |
197 |
|
- |
|
100 |
|
- |
|
24 |
|
営業外費用 |
|
71 |
|
454 |
|
934 |
|
441 |
|
644 |
|
特別損失 |
|
205 |
|
185 |
|
479 |
|
709 |
|
774 |
|
・ |
|
評価差額金 |
|
|
|
|
|
|
|
700 |
|
-16,541 |
|
Cash 増減 |
|
42 |
|
10,279 |
|
28,949 |
|
-7,398 |
|
21,317 |
|

クリック