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良品計画

7453

東証プライム

小売業

良品計画の決算推移

損益計算書

(単位:百万円)

2015/02

2016/02

2017/02

2018/02

2019/02

2020/02

2020/08

2021/08

2022/08

2023/08

2024/08

売上高

259,655

307,199

332,581

378,801

408,848

437,775

178,933

452,335

496,171

581,412

661,677

売上原価

137,423

157,080

167,420

187,731

198,317

221,084

95,698

231,355

261,814

309,862

325,267

売上総利益

122,232

150,118

165,160

191,070

210,531

216,691

83,234

220,980

234,356

271,549

336,410

販管費

98,984

116,012

127,583

146,532

166,636

181,248

82,821

179,887

201,582

238,412

280,274

営業利益

23,846

34,439

38,278

45,286

44,743

36,380

872

42,447

32,773

33,137

56,135

営業外収益

2,855

1,075

1,172

1,462

1,957

1,214

637

4,420

6,067

5,169

2,575

営業外費用

100

2,813

867

763

840

1,218

946

1,498

1,626

2,150

2,933

経常利益

26,602

32,700

38,582

45,985

45,861

36,377

563

45,369

37,214

36,156

55,777

特別利益

475

1,240

704

16

8,635

19

0

4,922

224

3,047

10,016

特別損失

583

433

637

838

612

1,792

18,677

1,702

4,234

5,436

5,879

当期純利益

16,623

21,718

25,831

30,113

33,845

23,253

-16,917

33,903

24,558

22,052

41,566

貸借対照表

(単位:百万円)

2015/02

2016/02

2017/02

2018/02

2019/02

2020/02

2020/08

2021/08

2022/08

2023/08

2024/08

資産

186,947

200,919

214,705

238,313

260,075

306,512

343,918

393,357

399,324

453,715

509,551

流動資産

106,316

119,547

131,435

149,329

170,206

171,279

224,005

269,047

262,206

293,412

335,447

現金及び預金

33,044

43,692

38,555

50,875

55,444

38,814

92,308

135,752

90,162

115,038

125,225

売上債権

8,879

7,281

7,929

9,128

8,920

10,010

9,215

8,742

10,268

12,323

16,804

棚卸資産

52,081

56,928

72,670

74,472

88,265

105,414

105,284

106,459

129,558

133,296

154,020

固定資産

80,631

81,372

83,270

88,983

89,869

135,233

119,912

124,310

137,118

160,302

174,103

負債

58,276

57,746

57,686

63,886

64,886

98,019

160,925

178,486

154,472

186,268

212,546

流動負債

42,404

44,625

50,699

49,843

53,574

63,048

55,923

141,716

78,923

123,470

121,024

仕入債務

21,562

17,382

19,096

20,172

20,724

28,133

19,507

25,541

36,462

35,157

59,168

固定負債

15,872

13,120

6,987

14,043

11,312

34,971

105,001

36,770

75,548

62,798

91,521

純資産

128,670

143,173

157,018

174,426

195,189

208,492

182,992

214,871

244,852

267,446

297,004

利益剰余金

106,084

122,085

140,652

162,376

186,364

199,590

177,874

205,995

219,534

230,541

260,789

自己株式

-7,174

-6,849

-10,681

-15,334

-14,780

-13,984

-13,965

-30,973

-31,082

-29,920

-29,272

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

2020/08

2021/08

2022/08

2023/08

2024/08

営業CF

14,619

26,133

19,742

46,982

23,680

24,452

-1,758

61,447

23,350

56,527

58,504

投資CF

-22,193

-8,647

-9,856

-14,290

-5,492

-31,435

-4,239

-13,538

-16,683

-22,106

-27,654

財務CF

11,377

-6,520

-14,361

-21,759

-9,505

-11,467

63,722

-15,162

-58,647

-11,232

-23,412

フリーCF

-7,574

17,486

9,886

32,692

18,188

-6,983

-5,997

47,909

6,667

34,421

30,850