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カゴメ

2811

東証プライム

食料品

カゴメの決算推移

損益計算書

(単位:百万円)

2014/12

2015/12

2016/12

2017/12

2018/12

2019/12

2020/12

2021/12

2022/12

2023/12

2024/12

売上高

159,360

195,619

202,534

214,210

209,865

180,849

183,041

189,652

205,618

224,730

306,869

売上原価

91,744

110,304

111,607

117,738

115,216

115,667

115,469

120,121

134,481

144,935

207,137

売上総利益

67,615

85,314

90,927

96,472

94,649

65,181

67,572

69,531

71,136

79,794

99,732

販管費

63,286

78,590

79,981

84,503

82,648

52,986

53,059

55,809

59,232

62,536

72,907

営業利益

4,328

6,723

10,946

11,968

12,000

12,304

13,599

14,138

12,808

19,476

27,094

営業外収益

1,118

1,141

1,224

1,559

1,053

N/A

N/A

N/A

N/A

N/A

N/A

営業外費用

477

850

854

910

1,002

N/A

N/A

N/A

N/A

N/A

N/A

経常利益

4,969

7,015

11,315

12,618

12,051

N/A

N/A

N/A

N/A

N/A

N/A

特別利益

2,444

600

2,233

4,590

6,056

N/A

N/A

N/A

N/A

N/A

N/A

特別損失

1,238

806

2,279

1,598

2,179

N/A

N/A

N/A

N/A

N/A

N/A

当期純利益

4,366

3,441

6,764

10,100

11,527

10,198

7,425

9,763

9,116

10,432

25,015

貸借対照表

(単位:百万円)

2014/12

2015/12

2016/12

2017/12

2018/12

2019/12

2020/12

2021/12

2022/12

2023/12

2024/12

資産

203,413

208,885

219,804

195,737

193,612

201,179

224,913

215,208

225,372

265,648

362,415

流動資産

122,843

115,903

125,498

109,667

117,321

112,647

141,567

123,485

129,162

165,451

209,958

現金及び預金

11,458

8,413

38,918

22,150

30,591

27,260

56,768

31,231

21,390

36,010

21,273

売上債権

33,202

32,088

33,617

36,042

35,893

40,011

40,104

41,657

45,487

48,426

59,432

棚卸資産

45,003

45,613

40,565

41,698

41,275

42,960

42,304

47,150

57,565

75,198

119,047

固定資産

80,570

92,982

94,305

86,069

76,291

88,531

83,345

91,723

96,209

100,197

152,456

負債

78,846

82,541

121,812

89,883

88,769

89,793

112,261

95,666

103,580

129,213

150,774

流動負債

42,380

45,722

78,558

59,710

62,563

68,404

92,238

72,911

80,313

100,430

109,213

仕入債務

14,150

15,204

13,729

16,554

16,472

29,594

33,681

35,244

35,486

36,750

44,412

固定負債

36,466

36,818

43,253

30,173

26,206

21,388

20,023

22,754

23,266

28,783

41,560

純資産

124,566

126,344

97,991

105,853

104,843

111,386

112,651

119,542

121,792

136,435

211,640

利益剰余金

60,116

61,916

66,492

74,303

83,162

75,629

77,730

84,235

90,708

98,017

119,725

自己株式

-517

-314

-27,163

-26,985

-26,739

-13,529

-12,351

-14,810

-22,543

-22,398

-653

キャッシュフロー計算書

(単位:百万円)

2014/12

2015/12

2016/12

2017/12

2018/12

2019/12

2020/12

2021/12

2022/12

2023/12

2024/12

営業CF

1,753

12,039

18,824

16,598

10,130

12,224

20,442

14,796

4,635

4,617

31,692

投資CF

-7,110

-11,023

-18,576

17,271

-299

-9,267

-3,398

-14,162

-9,457

-6,056

-46,325

財務CF

1,793

1,555

6,904

-40,761

-1,083

-5,068

12,104

-27,652

-5,512

15,626

-571

フリーCF

-5,357

1,016

248

33,869

9,831

2,957

17,044

634

-4,822

-1,439

-14,633