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神戸物産

3038

東証プライム

卸売業

神戸物産の決算推移

損益計算書

(単位:百万円)

2014/10

2015/10

2016/10

2017/10

2018/10

2019/10

2020/10

2021/10

2022/10

2023/10

2024/10

売上高

214,028

228,590

239,266

251,503

267,175

299,616

340,870

362,064

406,813

461,546

507,883

売上原価

181,837

195,431

201,467

211,055

227,402

252,486

295,671

318,940

360,217

408,827

449,470

売上総利益

32,191

33,159

37,799

40,448

39,773

47,130

45,198

43,123

46,596

52,719

58,413

販管費

27,013

26,358

25,965

25,842

24,051

27,891

21,347

15,812

18,776

22,002

24,062

営業利益

5,178

6,801

11,833

14,606

15,722

19,239

23,851

27,311

27,820

30,717

34,350

営業外収益

2,176

2,729

1,101

2,135

1,053

963

910

2,097

4,520

3,807

1,679

営業外費用

930

962

4,205

962

944

767

1,116

321

215

4,554

4,454

経常利益

6,424

8,568

8,729

15,778

15,831

19,434

23,646

29,087

32,125

29,970

31,576

特別利益

88

9

668

742

1,489

225

352

24

22

46

90

特別損失

574

624

1,017

3,434

1,309

1,564

1,767

373

1,122

61

253

当期純利益

2,601

4,112

4,560

8,346

10,363

12,056

15,047

19,592

20,832

20,560

21,443

貸借対照表

(単位:百万円)

2014/10

2015/10

2016/10

2017/10

2018/10

2019/10

2020/10

2021/10

2022/10

2023/10

2024/10

資産

108,157

134,042

133,199

144,484

144,276

150,154

148,175

156,737

180,275

211,891

233,392

流動資産

66,275

82,310

86,604

100,342

99,333

98,864

102,156

95,862

116,011

141,641

161,089

現金及び預金

45,627

59,496

64,877

76,241

74,048

71,525

69,810

57,799

67,040

92,590

107,272

売上債権

11,047

12,193

11,696

12,553

14,267

16,397

17,546

19,837

23,249

26,939

27,954

棚卸資産

6,468

7,103

7,201

8,376

8,045

8,208

10,585

14,663

19,728

18,824

21,828

固定資産

41,882

51,731

46,595

44,141

44,942

51,289

46,019

60,874

64,263

70,249

72,302

負債

85,222

113,474

110,569

114,417

104,502

99,586

88,906

78,518

83,055

97,439

100,618

流動負債

23,915

29,830

29,796

37,925

38,288

47,315

46,906

51,047

47,987

49,057

56,929

仕入債務

15,241

16,454

15,825

16,866

18,760

21,897

22,161

25,158

29,167

32,231

34,665

固定負債

61,306

83,644

80,772

76,491

66,214

52,270

41,999

27,471

35,067

48,382

43,689

純資産

22,935

20,568

22,630

30,066

39,774

50,568

59,268

78,218

97,220

114,451

132,773

利益剰余金

13,738

17,278

20,582

27,752

36,796

47,118

60,243

76,592

93,061

108,797

125,381

自己株式

-3,037

-10,523

-10,517

-10,180

-9,913

-9,641

-9,465

-9,135

-8,953

-9,087

-8,990

キャッシュフロー計算書

(単位:百万円)

2014/10

2015/10

2016/10

2017/10

2018/10

2019/10

2020/10

2021/10

2022/10

2023/10

2024/10

営業CF

8,656

6,896

11,962

13,661

13,693

19,217

19,543

21,261

21,582

30,343

30,772

投資CF

-7,284

-9,974

-2,480

-3,071

-4,936

-9,498

-17,314

-17,407

-12,483

-6,821

-10,184

財務CF

10,977

18,381

-4,522

457

-11,388

-12,373

-3,704

-16,526

-3,752

80

-5,595

フリーCF

1,372

-3,078

9,482

10,590

8,757

9,719

2,229

3,854

9,099

23,522

20,588