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竹内製作所

6432

東証プライム
機械

竹内製作所の決算推移

損益計算書

(単位:百万円)

2015/02

2016/02

2017/02

2018/02

2019/02

2020/02

2021/02

2022/02

2023/02

2024/02

2025/02

売上高

69,893

85,218

83,000

94,342

110,175

115,913

112,254

140,892

178,966

212,627

213,230

売上原価

52,263

60,861

62,276

72,365

86,328

93,313

90,146

110,563

135,928

160,481

157,221

売上総利益

17,629

24,357

20,724

21,976

23,846

22,599

22,108

30,328

43,037

52,146

56,009

販管費

7,036

8,134

7,320

7,842

8,435

9,950

8,900

12,564

21,816

16,849

18,866

営業利益

10,593

16,222

13,404

14,133

15,411

12,649

13,207

17,764

21,221

35,296

37,142

営業外収益

1,683

126

138

252

170

194

284

332

478

614

766

営業外費用

27

1,056

1,820

352

84

441

194

16

320

455

2,300

経常利益

12,249

15,291

11,722

14,033

15,496

12,403

13,298

18,080

21,379

35,455

35,608

特別利益

7

0

5

N/A

198

N/A

N/A

N/A

N/A

N/A

N/A

特別損失

4

N/A

N/A

N/A

N/A

N/A

N/A

N/A

N/A

N/A

N/A

当期純利益

7,694

9,708

7,757

9,547

11,391

9,091

9,765

13,348

15,979

26,149

26,113

貸借対照表

(単位:百万円)

2015/02

2016/02

2017/02

2018/02

2019/02

2020/02

2021/02

2022/02

2023/02

2024/02

2025/02

資産

66,311

77,216

83,085

91,799

104,045

108,982

115,525

137,201

158,785

198,153

217,718

流動資産

57,750

66,010

72,278

80,614

91,696

92,383

99,184

116,705

130,459

161,920

177,254

現金及び預金

13,809

20,580

24,211

30,990

35,072

34,220

40,227

47,258

43,995

55,175

46,482

売上債権

19,448

21,281

21,490

22,452

23,156

25,365

27,172

25,737

35,739

44,572

45,586

棚卸資産

20,790

20,372

23,605

23,897

30,139

30,542

29,325

41,351

47,722

58,262

80,496

固定資産

8,561

11,205

10,806

11,185

12,348

16,599

16,340

20,496

28,326

36,233

40,464

負債

20,218

22,172

23,005

23,692

26,864

25,298

25,617

33,117

36,983

50,527

50,718

流動負債

19,469

20,787

21,683

22,540

25,818

24,838

25,142

32,537

36,376

49,872

49,974

仕入債務

11,878

16,366

16,997

17,572

20,561

19,848

19,471

24,491

26,755

36,381

36,022

固定負債

749

1,384

1,321

1,152

1,046

459

474

580

606

655

744

純資産

46,093

55,043

60,080

68,106

77,180

83,683

89,908

104,083

121,802

147,625

167,000

利益剰余金

37,460

46,647

53,327

61,633

71,305

78,248

85,626

96,444

109,177

130,648

149,217

自己株式

-4

-4

-1,978

-1,976

-1,965

-1,985

-1,985

-1,985

-2,032

-2,032

-9,033

キャッシュフロー計算書

(単位:百万円)

2015/02

2016/02

2017/02

2018/02

2019/02

2020/02

2021/02

2022/02

2023/02

2024/02

2025/02

営業CF

5,696

12,275

6,823

10,406

8,421

5,489

10,378

13,780

8,537

24,640

8,283

投資CF

-1,036

-4,012

-1,442

-1,326

-2,268

-4,096

-1,967

-4,303

-8,863

-7,771

-2,348

財務CF

-577

-457

-3,066

-1,253

-1,715

-2,180

-2,389

-2,532

-3,320

-4,714

-14,583

フリーCF

4,661

8,263

5,381

9,080

6,153

1,393

8,411

9,477

-326

16,869

5,935