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SUMCO

3436

東証プライム

金属製品

SUMCO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

225,319

236,826

211,361

260,627

325,059

299,460

291,333

335,674

441,083

425,941

396,619

売上原価

175,485

182,272

173,092

192,512

210,960

221,311

226,161

255,555

297,728

317,690

323,893

売上総利益

49,833

54,553

38,268

68,114

114,098

78,148

65,171

80,119

143,354

108,251

72,726

販管費

24,191

25,106

24,222

26,028

28,932

27,512

27,274

28,576

33,671

35,170

35,801

営業利益

25,642

29,447

14,046

42,085

85,165

50,636

37,897

51,543

109,683

73,080

36,924

営業外収益

716

952

642

507

852

958

1,164

2,832

4,400

5,195

6,150

営業外費用

4,432

4,861

4,769

5,884

2,949

3,284

3,411

3,268

2,743

5,649

5,618

経常利益

21,926

25,538

9,919

36,709

83,068

48,310

35,650

51,107

111,339

72,627

37,457

特別利益

N/A

323

N/A

N/A

N/A

917

N/A

N/A

N/A

20,084

N/A

特別損失

N/A

2,043

N/A

N/A

10,865

N/A

N/A

N/A

N/A

N/A

5,814

当期純利益

16,289

19,747

6,588

27,016

58,580

33,112

25,505

41,120

70,205

63,884

19,877

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

510,570

489,842

493,243

530,906

588,250

578,511

593,443

764,821

892,555

1,073,087

1,172,683

流動資産

265,787

258,818

275,019

316,811

346,421

319,230

331,061

482,108

543,605

473,821

435,143

現金及び預金

42,016

41,913

39,065

55,040

57,900

50,220

82,968

218,173

250,505

147,722

87,181

売上債権

42,522

41,002

44,927

52,858

64,979

57,416

60,405

75,590

N/A

N/A

N/A

棚卸資産

150,803

163,611

178,371

182,612

187,519

184,416

180,472

174,793

182,363

218,396

233,268

固定資産

244,783

231,024

218,224

214,095

241,828

259,280

262,381

282,712

348,950

599,265

737,540

負債

293,845

245,301

250,407

249,282

262,704

237,361

238,439

241,978

301,071

437,559

515,447

流動負債

112,556

111,550

105,191

95,432

113,716

86,970

97,180

103,793

157,235

204,529

163,636

仕入債務

29,602

22,884

27,764

26,321

27,932

23,511

25,615

30,743

38,037

34,213

32,028

固定負債

181,288

133,751

145,215

153,850

148,988

150,391

141,259

138,184

143,836

233,030

351,810

純資産

216,725

244,540

242,836

281,623

325,545

341,149

355,003

522,842

591,484

635,527

657,236

利益剰余金

30,946

48,502

50,691

73,309

117,812

134,228

151,559

185,069

234,319

267,739

277,812

自己株式

-10

-11

-11

-12

-12

-12

-12

-19

-19

-964

-923

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

29,845

31,768

27,322

51,808

93,602

77,664

84,188

104,708

179,462

96,342

69,627

投資CF

-9,814

-13,416

-18,003

-15,750

-52,244

-61,184

-55,193

-67,337

-126,351

-247,677

-247,876

財務CF

-19,741

-38,136

-9,120

-7,615

-35,424

-24,825

-16,236

99,099

-23,153

43,456

112,294

フリーCF

20,031

18,352

9,319

36,058

41,358

16,480

28,995

37,371

53,111

-151,335

-178,249