ラクオリア創薬

指標

自己資本比率
ネットキャッシュ比率
D/Eレシオ

負債・純資産の部

負債・純資産の部
利益剰余金
有利子負債・現金

資産の部

資産の部
流動資産
有形・無形固定資産
投資有価証券
のれん

貸借対照表

2015-12千円
2016-12千円
2017-12千円
2018-12千円
2019-12千円
2020-12千円
2021-12千円
2022-12千円
2023-12千円
2024-12千円
資産の部
流動資産
現金及び預金1,840,2391,427,8172,268,0241,671,3462,174,2001,394,1282,345,3063,675,4503,714,9843,340,057
売掛金及び契約資産-------602,311603,196689,162
有価証券503,0379,128328,957168,19326,006719,418313,807250,59949,7541,871
仕掛品-------9781,7131,520
貯蔵品7,1487,1255,1536,4985,5006,54010,5477,522146,226166,202
前渡金179,368205,236189,7438,7375,95236,41215,93989,82066,60026,953
前払費用65,48855,53862,15071,93769,23150,24390,382108,633188,128193,590
その他39,63943,38019,63134,85838,98896,67122,39086,777186,290119,605
売掛金72,86658,265448,738680747,267530,8181,205,401---
流動資産合計2,707,7871,806,4923,322,3981,962,2523,067,1472,834,2324,003,7754,822,0944,956,8944,538,963
固定資産
有形固定資産
建物140,198140,568142,462142,731142,731153,242154,158154,158157,866158,758
工具、器具及び備品394,484451,833488,193676,694742,190871,764944,383963,6221,124,5441,370,866
リース資産---3,4323,43249,06959,772254,926397,738434,174
減価償却累計額-273,392-343,662-414,975-505,062-639,472-741,109-858,924-981,683-1,106,541-1,434,716
構築物----------
機械及び装置----------
有形固定資産合計261,290248,739215,680317,795248,881332,967299,389391,024573,608529,084
無形固定資産
のれん---------3,865,297
商標権2,3065,5464,9454,5335,1294,4393,8394,2684,5443,982
ソフトウエア8,2136,8164,38328,42026,80527,92729,22719,98425,57032,924
その他3,7084316261,032550639731727272
無形固定資産合計14,22812,7949,95533,98532,48533,00533,79924,32530,1873,902,276
投資その他の資産
投資有価証券1,751,7791,937,3831,503,4431,716,5801,474,2701,037,601887,932987,9621,231,458547,053
長期前払費用5,4793,1982,12610,0352,1991014024,07363,50114,639
繰延税金資産-----2,959--5,71178,460
その他11,54510,70510,58411,65211,57610,4579,1608,17210,61045,005
投資その他の資産合計1,768,8051,951,2881,516,1541,738,2671,488,0471,051,029897,2331,020,2081,311,281685,158
固定資産合計2,044,3242,212,8221,741,7902,090,0491,769,4131,417,0021,230,4221,435,5591,915,0775,116,519
資産合計4,752,1124,019,3145,064,1884,052,3024,836,5614,251,2355,234,1976,257,6536,871,9729,655,482
負債の部
流動負債
買掛金--1,984-34,29741,83045,996128,06654,17459,317
1年内返済予定の長期借入金-------2,62012,620512,620
リース債務---74174118,28121,54742,88764,30169,657
未払金123,405125,98563,36598,61867,18352,666112,768206,209158,888193,789
未払費用57,06740,18843,99747,80550,42349,86863,00460,47954,19769,136
未払法人税等15,0711,34620,69114,23720,23520,88280,40530,95719,68728,044
契約負債---------185,829
預り金4,6633,4353,7163,0893,3183,13328,88418,9223,50219,381
その他-4,565----10,4423,63521,94149,718
未払消費税等--13,907---37,475---
前受金-13,5001,101-6,875-----
繰延税金負債-1,192--------
流動負債合計200,207190,213148,763164,492183,074186,662400,524493,778389,3131,187,495
固定負債
長期借入金-------9,17039,0502,651,430
リース債務---2,4091,66727,23817,520167,661251,747218,627
資産除去債務11,55511,64911,74311,83811,93412,03112,12912,22212,32014,614
株式給付引当金-------60,59048,2226,902
役員株式給付引当金-------14,49810,8755,902
繰延税金負債-----14,17316,0182,750--
繰延税金負債25,98529,42415,73016,47419,236-----
固定負債合計37,54041,07327,47430,72232,83953,44345,668266,893362,2152,897,476
負債合計237,748231,286176,237195,214215,914240,106446,193760,671751,5284,084,972
純資産の部
株主資本
資本金9,806,2252,237,5882,741,2492,793,4582,254,9432,255,4012,256,9202,265,6972,667,6492,720,540
資本剰余金--2,931,0322,983,2412,444,7262,445,1842,446,7032,455,4802,857,4322,910,323
利益剰余金---785,652-1,890,201-99,172-706,15749,631773,021449,358-45,673
自己株式---21-21-21-21-21-21-22-102
資本剰余金
資本準備金5,090,2252,237,588--------
資本剰余金合計5,090,2252,237,588--------
利益剰余金
その他利益剰余金
繰越利益剰余金-10,421,274-728,117--------
利益剰余金合計-10,421,274-728,117--------
株主資本合計4,475,1763,747,0584,886,6073,886,4764,600,4763,994,4074,753,2345,494,1785,974,4185,585,087
その他の包括利益累計額
その他有価証券評価差額金28,17026,183-15,826-41,9017,9064,80923,919-5,569120,415-41,920
その他の包括利益累計額合計28,17026,183-15,826-41,9017,9064,80923,919-5,569120,415-41,920
新株予約権11,01714,78517,16812,51212,26511,91210,8508,37225,61027,342
純資産合計4,514,3643,788,0274,887,9503,857,0874,620,6474,011,1294,788,0045,496,9816,120,4435,570,509
負債純資産合計4,752,1124,019,3145,064,1884,052,3024,836,5614,251,2355,234,1976,257,6536,871,9729,655,482