(FY)2024/06/30 | (Q4)2024/06/30 | (FY)2023/06/30 | (Q4)2023/06/30 | (FY)2022/06/30 | (Q4)2022/06/30 | (FY)2021/06/30 | (Q4)2021/06/30 | (FY)2020/06/30 | (Q4)2020/06/30 | |
---|---|---|---|---|---|---|---|---|---|---|
資産 | ||||||||||
流動資産 | ||||||||||
現金及び現金同等物、短期投資 | 25.35%4,243.8万 | 25.35%4,243.8万 | -72.52%3,385.5万 | -72.52%3,385.5万 | 98.05%1.23億 | 98.05%1.23億 | 7.31%6,220.3万 | 7.31%6,220.3万 | 176.46%5,796.5万 | 176.46%5,796.5万 |
-現金及び現金同等物 | 25.35%4,243.8万 | 25.35%4,243.8万 | -72.52%3,385.5万 | -72.52%3,385.5万 | 98.05%1.23億 | 98.05%1.23億 | 7.31%6,220.3万 | 7.31%6,220.3万 | 176.46%5,796.5万 | 176.46%5,796.5万 |
営業債権、その他の債権及び契約資産 | 12.91%2,449.1万 | 12.91%2,449.1万 | 11.75%2,169万 | 11.75%2,169万 | 36.11%1,940.9万 | 36.11%1,940.9万 | 37.45%1,426万 | 37.45%1,426万 | 14.96%1,037.5万 | 14.96%1,037.5万 |
-売掛金 | 14.37%2,516万 | 14.37%2,516万 | 11.60%2,199.8万 | 11.60%2,199.8万 | 33.30%1,971.2万 | 33.30%1,971.2万 | 39.76%1,478.8万 | 39.76%1,478.8万 | 24.06%1,058.1万 | 24.06%1,058.1万 |
-その他の売掛金 | -92.67%1.4万 | -92.67%1.4万 | --19.1万 | --19.1万 | ---- | ---- | -37.93%1.8万 | -37.93%1.8万 | -94.97%2.9万 | -94.97%2.9万 |
-未収金調整引当金 | -36.87%-68.3万 | -36.87%-68.3万 | -64.69%-49.9万 | -64.69%-49.9万 | 44.51%-30.3万 | 44.51%-30.3万 | -132.34%-54.6万 | -132.34%-54.6万 | -190.12%-23.5万 | -190.12%-23.5万 |
棚卸資産 | -10.66%165.1万 | -10.66%165.1万 | 46.20%184.8万 | 46.20%184.8万 | 38.29%126.4万 | 38.29%126.4万 | -8.78%91.4万 | -8.78%91.4万 | 156.92%100.2万 | 156.92%100.2万 |
前払費用 | 19.62%332.3万 | 19.62%332.3万 | -42.38%277.8万 | -42.38%277.8万 | 83.80%482.1万 | 83.80%482.1万 | -1.17%262.3万 | -1.17%262.3万 | 39.61%265.4万 | 39.61%265.4万 |
繰延資産 | 241.67%32.8万 | 241.67%32.8万 | -97.33%9.6万 | -97.33%9.6万 | --359.4万 | --359.4万 | ---- | ---- | ---- | ---- |
その他の流動資産 | 4.69%258.9万 | 4.69%258.9万 | 45.21%247.3万 | 45.21%247.3万 | -24.34%170.3万 | -24.34%170.3万 | -49.21%225.1万 | -49.21%225.1万 | 185.75%443.2万 | 185.75%443.2万 |
流動資産合計 | 19.25%7,482万 | 19.25%7,482万 | -59.26%6,274万 | -59.26%6,274万 | 87.21%1.54億 | 87.21%1.54億 | 7.62%8,225.1万 | 7.62%8,225.1万 | 125.89%7,642.8万 | 125.89%7,642.8万 |
非流動資産 | ||||||||||
有形固定資産純額 | -4.27%2.7億 | -4.27%2.7億 | 22.20%2.82億 | 22.20%2.82億 | 9.29%2.31億 | 9.29%2.31億 | 11.56%2.11億 | 11.56%2.11億 | 167.83%1.9億 | 167.83%1.9億 |
-有形固定資産総額 | 3.93%4億 | 3.93%4億 | 18.13%3.85億 | 18.13%3.85億 | 13.44%3.26億 | 13.44%3.26億 | 14.68%2.87億 | 14.68%2.87億 | 111.55%2.51億 | 111.55%2.51億 |
-減価償却累計额 | -26.49%-1.3億 | -26.49%-1.3億 | -8.20%-1.03億 | -8.20%-1.03億 | -25.00%-9,501.5万 | -25.00%-9,501.5万 | -24.38%-7,601万 | -24.38%-7,601万 | -28.07%-6,111.3万 | -28.07%-6,111.3万 |
投資その他の資産 | -66.67%5,000 | -66.67%5,000 | -90.57%1.5万 | -90.57%1.5万 | 60.61%15.9万 | 60.61%15.9万 | --9.9万 | --9.9万 | ---- | ---- |
-投資有価証券 | -66.67%5,000 | -66.67%5,000 | -90.57%1.5万 | -90.57%1.5万 | 60.61%15.9万 | 60.61%15.9万 | --9.9万 | --9.9万 | ---- | ---- |
のれん及びその他の無形資産 | -15.95%3.99億 | -15.95%3.99億 | 24.78%4.75億 | 24.78%4.75億 | 10.37%3.8億 | 10.37%3.8億 | 14.58%3.45億 | 14.58%3.45億 | 48.75%3.01億 | 48.75%3.01億 |
-のれん | -16.01%3.73億 | -16.01%3.73億 | 26.11%4.44億 | 26.11%4.44億 | 11.61%3.52億 | 11.61%3.52億 | 15.42%3.16億 | 15.42%3.16億 | 48.61%2.74億 | 48.61%2.74億 |
-その他の無形資産 | -15.07%2,573.1万 | -15.07%2,573.1万 | 8.10%3,029.5万 | 8.10%3,029.5万 | -3.16%2,802.5万 | -3.16%2,802.5万 | 6.18%2,893.9万 | 6.18%2,893.9万 | 50.23%2,725.4万 | 50.23%2,725.4万 |
非流動繰延資産 | ---- | ---- | 10.29%1,902.8万 | 10.29%1,902.8万 | 5.61%1,725.2万 | 5.61%1,725.2万 | 20.05%1,633.5万 | 20.05%1,633.5万 | 74.49%1,360.7万 | 74.49%1,360.7万 |
非流動資産合計 | -13.76%6.69億 | -13.76%6.69億 | 23.41%7.76億 | 23.41%7.76億 | 9.85%6.29億 | 9.85%6.29億 | 13.61%5.73億 | 13.61%5.73億 | 79.48%5.04億 | 79.48%5.04億 |
資産合計 | -11.29%7.44億 | -11.29%7.44億 | 7.15%8.39億 | 7.15%8.39億 | 19.56%7.83億 | 19.56%7.83億 | 12.82%6.55億 | 12.82%6.55億 | 84.47%5.8億 | 84.47%5.8億 |
負債 | ||||||||||
流動負債 | ||||||||||
短期借入金及び資本リース債務 | -2.99%1,617万 | -2.99%1,617万 | -3.15%1,666.8万 | -3.15%1,666.8万 | 1.41%1,721万 | 1.41%1,721万 | -25.52%1,697万 | -25.52%1,697万 | 155.18%2,278.5万 | 155.18%2,278.5万 |
-短期借入金 | -9.94%221万 | -9.94%221万 | -55.14%245.4万 | -55.14%245.4万 | -16.40%547万 | -16.40%547万 | -50.35%654.3万 | -50.35%654.3万 | --1,317.7万 | --1,317.7万 |
-資本リース債務 | -1.79%1,396万 | -1.79%1,396万 | 21.07%1,421.4万 | 21.07%1,421.4万 | 12.59%1,174万 | 12.59%1,174万 | 8.52%1,042.7万 | 8.52%1,042.7万 | 7.60%960.8万 | 7.60%960.8万 |
未払金 | 5.39%3,282.3万 | 5.39%3,282.3万 | 36.02%3,114.5万 | 36.02%3,114.5万 | 12.95%2,289.7万 | 12.95%2,289.7万 | 9.31%2,027.1万 | 9.31%2,027.1万 | 16.18%1,854.4万 | 16.18%1,854.4万 |
-買掛金 | -2.23%1,017.6万 | -2.23%1,017.6万 | 19.71%1,040.8万 | 19.71%1,040.8万 | 82.92%869.4万 | 82.92%869.4万 | 4.60%475.3万 | 4.60%475.3万 | -4.50%454.4万 | -4.50%454.4万 |
-その他の未払金 | 9.21%2,264.7万 | 9.21%2,264.7万 | 46.00%2,073.7万 | 46.00%2,073.7万 | -8.47%1,420.3万 | -8.47%1,420.3万 | 10.84%1,551.8万 | 10.84%1,551.8万 | 24.96%1,400万 | 24.96%1,400万 |
引当金 | 421.78%52.7万 | 421.78%52.7万 | -64.06%10.1万 | -64.06%10.1万 | 57.87%28.1万 | 57.87%28.1万 | -53.77%17.8万 | -53.77%17.8万 | 1,825.00%38.5万 | 1,825.00%38.5万 |
退職給付その他に係る負債 | -1.10%2,697.4万 | -1.10%2,697.4万 | 17.36%2,727.4万 | 17.36%2,727.4万 | 15.58%2,324万 | 15.58%2,324万 | 24.35%2,010.8万 | 24.35%2,010.8万 | 32.63%1,617.1万 | 32.63%1,617.1万 |
流動性繰延負債 | ---- | ---- | ---- | ---- | ---- | ---- | -9.24%450.9万 | -9.24%450.9万 | 188.17%496.8万 | 188.17%496.8万 |
その他の流動負債 | 22.86%918.9万 | 22.86%918.9万 | -54.33%747.9万 | -54.33%747.9万 | 3.23%1,637.6万 | 3.23%1,637.6万 | 128.51%1,586.3万 | 128.51%1,586.3万 | --694.2万 | --694.2万 |
流動負債合計 | 3.65%8,568.3万 | 3.65%8,568.3万 | 3.33%8,266.7万 | 3.33%8,266.7万 | 2.70%8,000.4万 | 2.70%8,000.4万 | 11.61%7,789.9万 | 11.61%7,789.9万 | 79.75%6,979.5万 | 79.75%6,979.5万 |
非流動負債 | ||||||||||
長期借入金及びリース債務 | -1.95%3.42億 | -1.95%3.42億 | 7.61%3.48億 | 7.61%3.48億 | 11.12%3.24億 | 11.12%3.24億 | 14.24%2.91億 | 14.24%2.91億 | 96.02%2.55億 | 96.02%2.55億 |
-長期借入金 | -0.63%2.2億 | -0.63%2.2億 | 1.64%2.21億 | 1.64%2.21億 | 13.21%2.18億 | 13.21%2.18億 | 14.01%1.92億 | 14.01%1.92億 | 37.18%1.69億 | 37.18%1.69億 |
-リース債務 | -4.24%1.22億 | -4.24%1.22億 | 19.84%1.27億 | 19.84%1.27億 | 7.06%1.06億 | 7.06%1.06億 | 14.68%9,919.9万 | 14.68%9,919.9万 | 1,094.90%8,649.9万 | 1,094.90%8,649.9万 |
長期積立金 | -9.44%438.3万 | -9.44%438.3万 | -12.67%484万 | -12.67%484万 | 8.62%554.2万 | 8.62%554.2万 | 13.66%510.2万 | 13.66%510.2万 | 3.53%448.9万 | 3.53%448.9万 |
従業員福利厚生費 | 36.06%636.9万 | 36.06%636.9万 | 17.55%468.1万 | 17.55%468.1万 | -15.33%398.2万 | -15.33%398.2万 | 42.47%470.3万 | 42.47%470.3万 | -29.66%330.1万 | -29.66%330.1万 |
繰延負債 | -78.20%383.4万 | -78.20%383.4万 | 23.64%1,758.9万 | 23.64%1,758.9万 | 2.89%1,422.6万 | 2.89%1,422.6万 | 20.07%1,382.6万 | 20.07%1,382.6万 | 44.81%1,151.5万 | 44.81%1,151.5万 |
その他の非流動性負債 | -91.35%67.3万 | -91.35%67.3万 | -5.56%777.8万 | -5.56%777.8万 | 13.66%823.6万 | 13.66%823.6万 | -9.11%724.6万 | -9.11%724.6万 | --797.2万 | --797.2万 |
非流動負債合計 | -6.89%3.57億 | -6.89%3.57億 | 7.74%3.83億 | 7.74%3.83億 | 10.40%3.56億 | 10.40%3.56億 | 14.14%3.22億 | 14.14%3.22億 | 89.97%2.82億 | 89.97%2.82億 |
負債合計 | -5.02%4.43億 | -5.02%4.43億 | 6.93%4.66億 | 6.93%4.66億 | 8.90%4.36億 | 8.90%4.36億 | 13.64%4億 | 13.64%4億 | 87.86%3.52億 | 87.86%3.52億 |
資本 | ||||||||||
資本金 | 0.52%3.35億 | 0.52%3.35億 | 3.33%3.33億 | 3.33%3.33億 | 47.13%3.23億 | 47.13%3.23億 | 5.68%2.19億 | 5.68%2.19億 | 89.43%2.07億 | 89.43%2.07億 |
-普通株式 | 0.52%3.35億 | 0.52%3.35億 | 3.33%3.33億 | 3.33%3.33億 | 47.13%3.23億 | 47.13%3.23億 | 5.68%2.19億 | 5.68%2.19億 | 89.43%2.07億 | 89.43%2.07億 |
利益剰余金 | -150.38%-2,496.5万 | -150.38%-2,496.5万 | 33.37%4,955.6万 | 33.37%4,955.6万 | -16.32%3,715.6万 | -16.32%3,715.6万 | 40.10%4,440.3万 | 40.10%4,440.3万 | 10.11%3,169.3万 | 10.11%3,169.3万 |
利益剰余金に影響しない損益 | 14.91%-832.9万 | 14.91%-832.9万 | 21.41%-978.8万 | 21.41%-978.8万 | -40.21%-1,245.5万 | -40.21%-1,245.5万 | 17.75%-888.3万 | 17.75%-888.3万 | 2.44%-1,080万 | 2.44%-1,080万 |
株主資本 | -19.12%3.02億 | -19.12%3.02億 | 7.43%3.73億 | 7.43%3.73億 | 36.31%3.47億 | 36.31%3.47億 | 11.57%2.55億 | 11.57%2.55億 | 79.48%2.28億 | 79.48%2.28億 |
資本合計 | -19.12%3.02億 | -19.12%3.02億 | 7.43%3.73億 | 7.43%3.73億 | 36.31%3.47億 | 36.31%3.47億 | 11.57%2.55億 | 11.57%2.55億 | 79.48%2.28億 | 79.48%2.28億 |
会計基準 | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
データなし