(1) 第23期(2025年3月31日終了事業年度)連結財務書類
財政状態計算書
2025年3月31日現在
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グループ |
単体 |
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注記 |
2025 |
2024 |
2025 |
2024 |
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US$(千円) |
US$(千円) |
US$(千円) |
US$(千円) |
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資産 |
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有形固定資産
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4
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25,929,583 (3,876,991) |
20,659,171 (3,088,959) |
5,014,787 (749,811) |
2,856,003 (427,030) |
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使用権資産
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5
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566,790 (84,746) |
538,792 (80,560) |
37,020 (5,535) |
102,099 (15,266) |
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投資不動産
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6
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1,102,779 (164,888) |
- (-) |
1,102,779 (164,888) |
- (-) |
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子会社株式
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7
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- (-) |
- (-) |
18,459,662 (2,760,089) |
15,304,699 (2,288,359) |
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ジョイント・オペレーション への投資 |
8
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- (-) |
- (-) |
24,223 (3,622) |
24,223 (3,622) |
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関連会社株式
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9
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1,399,804 (209,299) |
2,422,477 (362,209) |
1,841,074 (275,277) |
1,841,074 (275,277) |
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無形資産及びのれん
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10
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6,855,194 (1,024,989) |
4,263,919 (637,541) |
137,048 (20,491) |
- (-) |
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その他の売上債権
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13
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673,937 (100,767) |
732,930 (109,588) |
- (-) |
- (-) |
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繰延税金資産
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11
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2,019,561 (301,965) |
457,171 (68,356) |
- (-) |
- (-) |
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非流動資産
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38,547,648 (5,763,644) |
29,074,460 (4,347,213) |
26,616,593 (3,979,713) |
20,128,098 (3,009,553) |
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棚卸資産
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12
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47,296,283 (7,071,740) |
38,116,217 (5,699,137) |
21,509,323 (3,216,074) |
16,857,718 (2,520,566) |
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売掛金及びその他の債権
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13
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85,887,873 (12,841,955) |
72,461,225 (10,834,402) |
69,676,952 (10,418,098) |
67,631,789 (10,112,305) |
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現金及び現金同等物
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14
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68,176,533 (10,193,755) |
67,005,790 (10,018,706) |
39,514,925 (5,908,272) |
53,440,792 (7,990,467) |
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派生金融資産
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- (-) |
5,223 (781) |
- (-) |
5,223 (781) |
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流動資産
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201,360,689 (30,107,450) |
177,588,455 (26,553,026) |
130,701,200 (19,542,443) |
137,935,522 (20,624,074) |
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資産合計
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239,908,337 (35,871,095) |
206,662,915 (30,900,239) |
157,317,793 (23,522,156) |
158,063,620 (23,633,672) |
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資本 |
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資本金
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15
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26,073,548 (3,898,517) |
26,073,548 (3,898,517) |
26,073,548 (3,898,517) |
26,073,548 (3,898,517) |
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為替換算調整勘定 |
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△ 713,812 |
△ 918,883 |
- |
- |
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(△106,729) |
(△ 137,393) |
(-) |
(-) |
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利益剰余金 |
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61,583,347 |
50,611,280 |
55,638,489 |
45,780,428 |
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(9,207,942) |
(7,567,393) |
(8,319,067) |
(6,845,090) |
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親会社の所有者に帰属する部分 |
86,943,083 |
75,765,945 |
81,712,037 |
71,853,976 |
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(12,999,730) |
(11,328,524) |
(12,217,584) |
(10,879,411) |
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非支配持分 |
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79,593 |
△ 3 |
- |
- |
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(11,901) |
(△ 0) |
(-) |
(-) |
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資本合計
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87,022,676 (13,011,631) |
75,765,942 (11,328,524) |
81,712,037 (12,217,584) |
71,853,976 (10,743,606) |
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負債 |
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その他の債務 |
17 |
195,233 |
203,848 |
- |
- |
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(29,191) |
(30,479) |
(-) |
(-) |
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長期有利子負債 |
16 |
22,331,833 |
11,710,747 |
4,620,612 |
1,199,536 |
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(3,339,056) |
(1,750,991) |
(690,874) |
(179,355) |
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繰延税金負債 |
11 |
741,786 |
430,905 |
139,571 |
139,571 |
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(110,912) |
(64,429) |
(20,869) |
(20,869) |
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非流動性負債
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23,268,852 (3,479,159) |
12,345,500 (1,845,899) |
4,760,183 (711,743) |
1,339,107 (200,223) |
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買掛金及びその他の債務 |
17 |
59,594,564 |
54,626,579 |
28,659,402 |
34,189,241 |
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(8,910,579) |
(8,167,766) |
(4,285,154) |
(5,111,975) |
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短期有利子負債 |
16 |
65,393,796 |
59,517,271 |
37,911,040 |
46,825,688 |
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(9,777,680) |
(8,899,022) |
(5,668,459) |
(7,001,377) |
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未払税金 |
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4,240,283 |
4,339,321 |
3,886,965 |
3,855,608 |
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(634,007) |
(648,815) |
(581,179) |
(576,491) |
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派生金融負債 |
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388,166 |
68,302 |
388,166 |
- |
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(58,039) |
(10,213) |
(58,039) |
(-) |
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流動負債 |
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129,616,809 |
118,551,473 |
70,845,573 |
84,870,537 |
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(19,380,305) |
(17,725,816) |
(10,592,830) |
(12,689,843) |
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負債合計 |
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152,885,661 |
130,896,973 |
75,605,756 |
86,209,644 |
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(22,859,464) |
(19,571,715) |
(11,304,573) |
(12,890,066) |
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資本及び負債合計
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239,908,337 (35,871,095) |
206,662,915 (30,900,239) |
157,317,793 (23,522,156) |
158,063,620 (23,633,672) |
連結損益計算書及びその他の包括利益計算書
2025年3月31日終了事業年度
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グループ |
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注記 |
2025 |
2024 |
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US$ (千円) |
US$(千円) |
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売上収益 |
18 |
371,586,049 |
310,157,176 |
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(55,559,546) |
(46,374,701) |
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売上原価 |
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△ 321,783,050 |
△ 269,934,762 |
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(△ 48,113,002) |
(△ 40,360,646) |
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売上総利益 |
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49,802,999 |
40,222,414 |
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(7,446,544) |
(6,014,055) |
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その他の収益 |
19 |
5,562,543 |
4,570,119 |
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(831,711) |
(683,324) |
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販売費 |
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△ 7,131,556 |
△ 6,328,771 |
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(△ 1,066,310) |
(△ 946,278) |
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管理費 |
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△ 13,092,772 |
△ 10,762,971 |
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(△ 1,957,631) |
(△ 1,609.279) |
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その他の営業費用 |
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△ 7,278,543 |
△ 9,274,066 |
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(△ 1,088,288) |
(△ 1,386,658) |
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金融費用 |
20 |
△ 6,164,337 |
△ 4,488,902 |
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(△ 921,692) |
(△ 671,181) |
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持分法による投資(損)益(税引後) |
9 |
△ 993,987 |
331,501 |
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(△ 148,621) |
(49,566) |
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税引前利益 |
21 |
20,704,347 |
14,269,324 |
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(3,095,714) |
(2,133,549) |
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税金費用 |
22 |
△ 4,059,055 |
△ 3,777,780 |
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(△ 606,910) |
(△ 564,854) |
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当期利益 |
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16,645,292 |
10,491,544 |
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(2,488,804) |
(1,568,696) |
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当期利益の帰属: |
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親会社の所有者 |
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16,657,689 |
10,491,548 |
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(2,490,658) |
(1,568,696) |
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非支配持分 |
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△ 12,397 |
△ 4 |
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(△ 1,854) |
(△ 1) |
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当期利益 |
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16,645,292 |
10,491,544 |
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(2,488,804) |
(1,568,696) |
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その他の包括利益 |
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純損益に振り替えられる可能性がある項目: |
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在外営業活動体の外貨換算差額 |
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233,771 |
△ 403,020 |
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(34,953) |
(△ 60,260) |
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持分法による投資の外貨換算差額 |
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△ 28,686 |
△ 4,458 |
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(△ 4,289) |
(△ 667) |
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その他の包括利益(税引後) |
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205,085 |
△ 407,478 |
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(30,664) |
(△ 60,926) |
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当期包括利益 |
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16,850,377 |
10,084,066 |
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(2,519,468) |
(1,507,770) |
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当期包括利益の帰属: |
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親会社の所有者 |
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16,862,761 |
10,084,071 |
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(2,521,320) |
(1,507,770) |
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非支配分 |
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△ 12,384 |
△ 5 |
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(△ 1,852) |
(△ 1) |
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当期包括利益 |
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16,850,377 |
10,084,066 |
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(2,519,468) |
(1,526,770) |
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1株当たり当期利益 |
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基本的1株当たり当期利益 |
23 |
0.7910 |
0.4982 |
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(118.28) |
(74.49) |
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希薄化後1株当たり当期利益 |
23 |
0.7910 |
0.4982 |
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(118.28) |
(74.49) |