メドレックス

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
2025-12千円
資産の部
流動資産
現金及び預金2,062,8582,639,9361,737,7941,796,8711,410,7911,812,3601,703,644994,0251,720,7201,977,6381,754,669
原材料及び貯蔵品26,87123,72934,55742,43618,88319,91411,7928,34310,07910,01816,927
前渡金76,92118,21027,03558,37625,5088,7098,65354,02010,75415,24325,632
未収入金26,96648,18925,80128,37935,03137,14823,02015,24533,02044,34412,826
その他8,6986,21411,17511,88310,8118,7437,66215,38910,44025,49114,899
売掛金1,692----------
流動資産合計2,204,0082,736,2821,836,3651,937,9461,501,0271,886,8751,754,7721,087,0241,785,0152,072,7351,824,955
固定資産
有形固定資産
建物及び構築物(純額)178,969166,683157,784149,179172,569304,185260,171218,111176,182120,107108,010
機械装置及び運搬具(純額)71,14947,24231,03121,97926,15915,7506,0974,3363,0662,0421,017
工具、器具及び備品(純額)27,62750,54231,31832,90315,5048,3464,1543,8832,2981,5251,306
土地----------81,899
建設仮勘定---91,652257,232------
有形固定資産合計277,747264,468220,133295,714471,464328,282270,424226,330181,547123,675192,234
投資その他の資産
投資有価証券416,948--------31,191130,905
長期前払費用34,02933,94134,55936,31435,24442,28443,46644,93445,71446,3977,838
その他4,6154,6153,0003,0001,5001,5001,5001,5491,5491,5991,599
差入保証金38,42638,42638,42638,42638,42638,42638,42638,42638,426--
破産更生債権等-------2,2882,288--
貸倒引当金--------2,288-2,288--
長期貸付金--34,30034,30034,300------
貸倒引当金---34,300-34,300-34,300------
投資その他の資産合計494,02076,98275,98577,74075,17082,21083,39284,91085,69079,189140,343
無形固定資産2,0781,35563273-------
固定資産合計773,845342,807296,751373,528546,635410,493353,816311,241267,237202,864332,578
資産合計2,977,8533,079,0892,133,1172,311,4752,047,6632,297,3682,108,5891,398,2662,052,2522,275,6002,157,533
負債の部
流動負債
未払金89,02570,70655,599129,52874,50638,88980,849137,81790,84689,78953,356
未払法人税等11,48725,51828,03735,41138,34932,77143,27218,7207,66114,20222,588
その他8,1156,8835,0145,3313,2981,0091,6611,5971,4851,6091,327
短期借入金-----50,000-----
買掛金962108-58-------
流動負債合計109,591103,21688,651170,330116,154122,671125,783158,13599,993105,60177,272
固定負債
繰延税金負債-----5,3495,2075,0624,918-31,270
資産除去債務8,3318,5048,6808,8609,04321,85922,10522,35522,609--
繰延税金負債7,6901,7661,7231,6801,637------
転換社債型新株予約権付社債-394,875---------
持分法適用に伴う負債79,75564,214---------
固定負債合計95,777469,36010,40310,54010,68027,20927,31227,41827,527-31,270
負債合計205,368572,57799,055180,870126,834149,880153,096185,553127,520105,601108,542
純資産の部
株主資本
資本金4,614,7875,101,1015,298,5395,997,8026,704,6567,376,6307,803,647227,227847,504580,917450,912
資本剰余金4,183,9874,670,3014,867,7395,567,0026,273,8566,945,8307,372,8473,063,4221,916,0982,314,0922,358,402
利益剰余金-6,077,631-7,336,713-8,221,100-9,488,786-11,105,101-12,219,746-13,279,580-2,150,431-915,728-787,065-898,753
自己株式-------0000
株主資本合計2,721,1432,434,6891,945,1772,076,0171,873,4112,102,7131,896,9141,140,2181,847,8742,107,9431,910,561
その他の包括利益累計額
その他有価証券評価差額金12,260---------68,443
為替換算調整勘定391-3,598-857-647-2,011-2,606-9688,71410,5006,93210,094
その他の包括利益累計額合計12,652-3,598-857-647-2,011-2,606-9688,71410,5006,93278,538
新株予約権38,68975,42189,74155,23449,42847,38059,54763,77966,35755,12259,891
純資産合計2,772,4842,506,5122,034,0612,130,6051,920,8282,147,4871,955,4931,212,7131,924,7312,169,9992,048,991
負債純資産合計2,977,8533,079,0892,133,1172,311,4752,047,6632,297,3682,108,5891,398,2662,052,2522,275,6002,157,533