Business
Iwatani : Fact Book 2025
Iwatani : Fact Book

About this update from Iwatani Corporation
ファクト ブック 2025 FACT BOOK 2025 目次 (Contents) 連結 (Consolidated) 2025年3月 (FY2024) P.1・・売上高、営業利益、経常利益、親会社株主に帰属する当期純利益 Net Sales, Operating Profit, Ordinary Profit, Profit attributable to owners of parent P.2・・営業利益、市況要因を除く営業利益、市況要因 Operating Profit, Operating Profit excluding impact of LPG import price fluctuation, Impact of LPG import price fluctuation P.3・・キャッシュフ□ー、現金及び現金同等物の期末残高 Cash Flows, Cash and Cash Equivalents at End of Period P.4・・投資、減価償却 Capital Expenditure , Depreciation P.5・・自己資本、自己資本比率 Equity, Equity Ratio P.6・・総資産、有利子負債、有利子負債依存度 Total Assets, Interest-bearing Debt, Ratio of Interest-bearing Debt to Total Assets P.7・・自己資本、有利子負債、ネットD/Eレシオ Equity, Interest-bearing Debt, Net Debt Equity Ratio P.8・・株価と出来高の推移 Change of Share Price and Trading volume P.9・・ROE、R O I C Return on Equity, Return on Invested Capital P.10・・PBR、BPS Price Book-value Ratio, Book-value Per Share P.11・・PER、EPS Price Earnings Ratio , Earnings Per Share P.12・・配当、配当性向 Dividend, Payout Ratio P.13・・投融資、配当総額、営業CF Capital Expenditure, Total Dividend Paid, Cash Flows from Operating Activities P.14・・従業員数 Number of Employees P.15・・セグメント別売上高 Segment Information (Net Sales) P.16・・セグメント別営業利益 Segment Information (Operating Profit) P.17・・当社グループのLPガス販売数量の推移 Change of Our Sales Amount of LPG (Consolidated) P.18・・当社LPガスの直売顧客数推移 Number of LPG Retail Customers (Direct Sales) P.19・・【参考】LPガス輸入価格(プ□パン)の推移 (Reference) Change of Contract Price (Propane) P.20・・【参考】国内LPガス用途別需要 (Reference) LPG domestic demand by use P.21・・【参考】国内LPガスランキング(輸入実績、卸業者年間販売量、小売直売顧客数) (Reference) LPG domestic ranking of Import , Wholesaler Annual Sales Volume , Retailer Direct Sales Customers P.22・・連結 B/S 10年推移 Change of Balance Sheet (10years) P.23・・連結 P/L 10年推移 Change Statements of Income (10years) ※2022年3月期より、「収益認識に関する会計基準」等を適用しています。 (Accounting Standard for Revenue Recognition was applied from FY2021.) 岩谷産業株式会社 (Iwatani Corporation) 売上高、営業利益、経常利益、親会社株主に帰属する当期純利益(億円) Net Sales, Operating Profit, Ordinary Profit, Profit attributable to owners of parent (One hundred million yen) 営業利益 (Operating Profit) 経常利益 (Ordinary Profit) 親会社株主に帰属する当期純利益 (Profit attributable to owners of parent) 売上高 (Net Sales) 9,062 8,478 8,830 6,162 5,880 6,707 7,150 6,867 6,355 6,903 464 470 322 344 400 400 623 614 506 462 434 404 215 268 294 299 250 271 264 287 299 299 320 204 123 165 175 192 209 232 16/3 17/3 18/3 19/3 20/3 21/3 22/3 23/3 24/3 25/3 FY2015 FY2016 FY2017 FY2018 FY2019 FY2020 FY2021 FY2022 FY2023 FY2024 営業利益、市況要因を除く営業利益、市況要因(億円) Operating Profit, Operating Profit excluding impact of LPG import price fluctuation, Impact of LPG import price fluctuation (One hundred million yen) 営業利益 (Operating Profit) 市況要因を除く営業利益 (Operating Profit excluding impact of LPG import price fluctuation) 431 498 460 市況要因 (Impact of LPG import price fluctuation) 266 292 289 282 250 321 209 219 250 271 264 287 299 204 400 400 79 506 462 111 FY2015 FY2016 FY2017 FY2018 FY2019 FY2020 FY2021 FY2022 FY2023 FY2024 △ 98 31 △ 46 5 17 △ 28 △ 2 7 2 △ 31 キャッシュフロー、現金及び現金同等物の期末残高(億円) Cash Flows, Cash and Cash Equivalents at End of Period (One hundred million yen) 営業CF (Cash Flows from Operating Activities) 投資CF (Cash Flows from Investing Activities) 財務CF (Cash Flows from Financing Activities) 現金及び現金同等物の期末残高 (Cash and Cash Equivalents at End of Period) 1,054 402 487 514 548 524 361 228 372 285 391 251 384 295 332 336 275 212 177 195 130 80 110 △99 △81 △63 △136 △35 △70 △250 △303 △264 △236 △308 △288 △319 △602 △20 △584 △1,612 FY2015 FY2016 FY2017 FY2018 FY2019 FY2020 FY2021 FY2022 FY2023 FY2024 投資、減価償却費(億円) Capital Expenditure, Depreciation (One hundred million yen) 投資 (Capital Expenditure) 減価償却 (Depreciation) 1,728 700 687 248 145 333 162 262 163 332 170 346 183 337 192 400 229 264 281 296 FY2015 FY2016 FY2017 FY2018 FY2019 FY2020 FY2021 FY2022 FY2023 FY2024 ※2016年3月期~の投資、減価償却 の金額は有形固定資産・無形固定資産(のれん除く)、投資有価証券の合計金額 (From FY2015, figures for investment and depreciation are the total of property, plant and equipment plus intangible assets (excluding goodwill) and investment securities.) ※2022年3月期~の投資、減価償却 の金額は有形固定資産・無形固定資産(のれん含む)、投資有価証券等の合計金額 (From FY2021, figures for investment and depreciation are the total of property, plant and equipment plus intangible assets (including goodwill) and investment securities.) ※2022年3月期より、「収益認識に関する会計基準」等を適用しています。 (Accounting Standard for Revenue Recognition was applied from FY2021.) 自己資本(億円)、自己資本比❹(%) Equity (One hundred million yen), Equity Ratio (%) 自己資本 (Equity) 自己資本比率 (Equity Ratio) 36.1% 38.8% 30.9% 33.9% 28.4% 47.6% 48.4% 2,701 46.0% 43.2% 3,584 3,019 44.3% 3,860 1,544 1,654 1,822 1,147 1,344 2,424 FY2015 FY2016 FY2017 FY2018 FY2019 FY2020 FY2021 FY2022 FY2023 FY2024 総資産(億円)、有利子負債(億円)、 有利子負債依存度(%) Total Assets (One hundred million yen), Interest-bearing Debt, Ratio of Interest-bearing Debt to Total Assets (%) 総資産 (Total Assets) 有利子負債 (Interest-bearing Debt) 有利子負債依存度 (Ratio of Interest-bearing Debt to Total Assets) 8,304 8,721 33.7% 31.1% 29.0% 27.6% 26.9% 5,095 5,584 6,560 21.2% 30.6% 30.3% 4,346 4,554 4,576 4,697 4,044 18.9% 19.9% 2,545 2,644 1,365 1,352 1,320 1,263 1,265 961 1,111 1,394 自己資本(億円)、有利子負債(億円)、ネットD/Eレシオ(純負債資本倍❹(倍)) Equity, Interest-bearing Debt (One hundred million yen) , Net Debt Equity Ratio ( Ratio) 自己資本 (Equity) 有利子負債 (Interest-bearing Debt) ネット D/E レシオ ( 純負債資本倍率 ,Net Debt Equity Ratio) 0.98 0.84 0.73 0.64 0.55 2,424 3,019 2,701 0.35 3,860 3,584 0.61 0.61 1,365 1,544 1,654 1,822 0.23 0.30 1,394 2,545 2,644 1,344 1,147 1,352 1,320 1,263 1,265 961 1,111 FY2015 FY2016 FY2017 FY2018 FY2019 FY2020 FY2021 FY2022 FY2023 FY2024 株価(円)と出来高(千株)の推移 Change of Share Price (Yen) and Trading volume (thousand shares) 2024.7.9 高値¥2,637.5 株価 (Share Price) 出来高 (Trading volume) 2025.3.31 終値¥1,494.5 2015.4.1 始値 ¥978.75 FY2015 FY2016 FY2017 FY2018 FY2019 FY2020 FY2021 FY2022 FY2023 FY2024 ※2017年10月に株式併合(5株→1株)を実施。2024年10月1日に株式分割(1株→4株)を実施。記載の数字は全て、それぞれを考慮した数字。 On October 1, 2017, the Company conducted a consolidation of its stock (5 shares → 1 share). On October 1, 2024, the Company conducted a four-for-one stock split of its common stock to shareholders. The result shown take each of these into account. ROE(%) 自己資本利益❹ (Return on Equity) ROIC(%) 投下資本利益❹ (Return on Invested Capital) 11.1 ROE 13.3 12.2 12.0 12.1 10.9 11.7 11.2 13.2 10.9 5.5 ROIC 6.7 6.8 6.4 6.6 6.3 7.7 6.8 6.7 5.1 FY2015 FY2016 FY2017 FY2018 FY2019 FY2020 FY2021 FY2022 FY2023 FY2024 ※ROE = 当期純利益÷自己資本(期首、期末の平均値) ROE = Profit / Equity (Average values at the beginning and end of the term) ※ROIC = 税引き後営業利益 ÷ (自己資本 + 有利子負債)(期首、期末の平均値) ROIC = Net operating profit after taxes / (Equity + Interest-bearing debt) (Average values at the beginning and end of the term) PBR(倍 , Ratio )株価純資産倍❹ (Price Book-value Ratio) BPS(円 , Yen )1株当たり純資産額 (Book-value Per Share) 1.40 PBR 1.18 1.25 1.05 0.97 1.60 1.10 1.10 1.37 0.89 1,677.41 BPS 682.84 1,557.64 1,312.38 1,174.14 1,061.33 784.53 840.48 925.91 583.04 FY2015 FY2016 FY2017 FY2018 FY2019 FY2020 FY2021 FY2022 FY2023 FY2024 ※PBR = 期末株価÷1株当たり純資産額 PBR = Share price / Book-value per share PER(倍 , Ratio )株価収益❹ (Price Earnings Ratio) EPS(円 , Yen )1株当たり当期純利益 (Earnings Per Share) PER 13.01 9.63 11.00 9.10 8.46 15.94 9.92 11.30 10.40 188.90 8.50 EPS 62.81 84.05 89.30 97.65 106.66 107.09 130.24 139.17 175.76 FY2015 FY2016 FY2017 FY2018 FY2019 FY2020 FY2021 FY2022 FY2023 FY2024 ※PER = 期末株価÷1株当たり当期純利益 PER = Share price / Earnings per share ※EPS = 当期純利益÷発行済株式数(自己株式控除) EPS = Net income / Shares of common stock issued and outstanding (Shares of treasury stock excluded) ※2017年10月に株式併合(5株→1株)を実施。2024年10月1日に株式分割(1株→4株)を実施。記載の数字は全て、それぞれを考慮した数字。 On October 1, 2017, the Company conducted a consolidation of its stock (5 shares → 1 share). On October 1, 2024, the Company conducted a four-for-one stock split of its common stock to shareholders. The result shown take each of these into account. ※2022年3月期より、「収益認識に関する会計基準」等を適用しています。 (Accounting Standard for Revenue Recognition was applied from FY2021.) 配当(円)、配当性向(%) Dividend (Yen), Payout Ratio (%) 配当 (Dividend ) 配当性向 (Payout Ratio ) 22.3 26.7 15.9 11.9 16.6 15.4 17.4 16.3 17.1 17.2 47.00 5.00 記念配当 commemorative dividend 10.00 10.00 13.75 16.25 18.75 18.75 21.25 23.75 32.50 FY2015 FY2016 FY2017 FY2018 FY2019 FY2020 FY2021 FY2022 FY2023 FY2024 ※2017年10月に株式併合(5株→1株)を実施。2024年10月1日に株式分割(1株→4株)を実施。記載の数字は全て、それぞれを考慮した数字。 On October 1, 2017, the Company conducted a consolidation of its stock (5 shares → 1 share). On October 1, 2024, the Company conducted a four-for-one stock split of its common stock to shareholders. The result shown take each of these into account. ※2022年3月期より、「収益認識に関する会計基準」等を適用しています。 (Accounting Standard for Revenue Recognition was applied from FY2021.) 投資(億円)、配当総額(億円)、営業CF(億円) Capital Expenditure (One hundred million yen) , Total Dividend Paid (One hundred million yen), Cash Flows from Operating Activities (One hundred million yen) 投資( Capital Expenditure) 配当総額 (Total Dividend Paid (Annual)) 営業 CF (Cash Flows from Operating Activities) 74 361 372 19 19 285 27 391 402 487 32 46 43 48 400 54 514 700 1,728 548 108 524 687 248 333 262 332 346 337 130 FY2015 FY2016 FY2017 FY2018 FY2019 FY2020 FY2021 FY2022 FY2023 FY2024 ※2022年3月期より、「収益認識に関する会計基準」等を適用しています。 (Accounting Standard for Revenue Recognition was applied from FY2021.) ※2022年3月期より、投資はのれんを含む数値としています。(2021年3月期まではのれんを除く数値) (From FY2021, the figures for Capital Expenditure include goodwill. (Figures until FY2020, exclude goodwill. 従業員数(人) Number of Employees (Head) 期末時点 (End of the term) 連結 (Consolidated) 単独 (Non-Consolidated) 9,453 9,749 9,849 10,130 10,163 8,918 9,174 11,351 11,332 11,859 1,183 1,206 1,236 1,243 1,275 1,306 1,319 1,351 1,321 1,368 FY2015 FY2016 FY2017 FY2018 FY2019 FY2020 FY2021 FY2022 FY2023 FY2024 セグメント別売上高(億円) Segment Information (Net Sales) (One hundred million yen) 総合エネルギー事業 (Integrated Energy) 産業ガス・機械事業 (Industrial Gases & Machinery) マテリアル事業 (Materials) 自然産業事業 (Agri-bio & Foods) その他事業 (Others) 6,707 7,150 6,867 52 58 6,355 6,903 45 9,062 46 289 2,384 8,478 303 1,982 8,830 310 2,016 6,162 5,880 78 74 86 303 287 1,591 273 1,495 43 239 233 1,509 285 1,259 1,644 268 1,152 1,663 1,351 1,791 1,860 1,905 1,364 1,746 1,843 2,404 2,621 2,714 2,894 2,721 3,174 3,359 3,135 2,961 3,271 3,937 3,571 3,787 セグメント別営業利益(億円) Segment Information (Operating Profit) (One hundred million yen) 総合エネルギー事業 (Integrated Energy) 産業ガス・機械事業 (Industrial Gases & Machinery) マテリアル事業 (Materials) 自然産業事業 (Agri-bio & Foods) その他事業 (Others) 消去または全社 (Adjustments) 27 506 462 400 400 14 13 33 123 250 271 264 6 287 299 72 8 14 5 125 117 11 9 11 8 217 204 9 12 38 76 90 8 12 31 67 159 13 43 99 135 11 57 111 108 45 119 139 47 99 173 124 226 165 144 201 175 195 △22 △29 △31 △33 △38 △43 △44 △54 △63 △59 当社グループのLPガス販売数量の推移(千トン) Change of Our Sales Amount of LPG (Consolidated, 1,000t) 民生用(国内) (Domestic Residential Use) 工業用(国内) (Domestic Industrial Use) 海外 (Overseas) 2,366 2,377 2,551 2,559 2,456 2,256 651 669 741 763 705 525 281 282 313 343 319 330 1,386 1,471 19 17 330 403 1,669 15 412 1,526 1,520 14 14 324 336 1,187 1,169 1,443 1,414 1,497 1,453 1,430 1,400 1,241 1,036 1,050 FY2022 FY2015 FY2016 FY2017 FY2018 FY2019 FY2020 FY2020 FY2021 ※1 ※2022年3月期より、「収益認識に関する会計基準」等を適用しています。 (Accounting Standard for Revenue Recognition was applied from FY2021.) FY2021 FY2023 FY2024 当社LPガスの直売顧客数推移 Number of LPG Retail Customers (Our direct sales) 期末時点 (End of the term) (単位:万世帯、 Unit: ten thousand household ) 86 88 90 99 100 101 103 110 111 120 FY2015 FY2016 FY2017 FY2018 FY2019 FY2020 FY2021 FY2022 FY2023 FY2024 【参考】LPガス輸入価格(プロパン)の推移 (Reference) Change of Contract Price (Propane) 1000 900 800 700 600 500 400 300 200 100 0 ($/t) FY2015 FY2016 FY2017 FY2018 FY2019 FY2020 FY2021 FY2022 FY2023 FY2024 【参考】国内LPガス用途別需要量 (Reference) LPG domestic demand by use (単位:千トン、 Unit: thousand tons ) 家庭業務用 Residential & Commercial 工業用 Industrial 自動車用 Automotive 都市ガス用 City gas 化学原料用 Chemical feed 電力用 Electricity 15,393 300 14,733 14,404 14,809 14,202 14,132 13,939 13,303 2,066 170 301 182 145 81 12,945 13,122 1,929 1,730 1,988 1,993 2,133 1,651 1 ,432 1,339 897 1,213 1,422 1,360 1,344 1,630 1,440 2,218 1,593 821 779 716 636 567 1,209 1,437 1,941 2,796 2,839 2,790 2,778 2,686 2,749 382 369 2,523 368 347 2,563 2,579 2,557 7,902 7,635 7,591 7,723 7,382 7,259 7,160 7,353 7,123 6,865 FY2014 FY2015 FY2016 FY2017 FY2018 FY2019 FY2020 FY2021 FY2022 FY2023 出所:日本LPガス協会 Source: Japan LP Gas Association 20 Copyright © Iwatani Corporation. All rights reserved. 【参考】国内 LP ガスランキング(輸入実績、卸業者年間販売量、小売直売顧客数) (Reference) LPG domestic ranking of Import , Wholesaler Annual Sales Volume , Retailer Direct Sales Customers 《LPガス輸入実績ランキングFY2023》 順位 Rank 輸入業者 Importer 輸入量(千トン) Import volume (k tons) 輸入シェア Import share 1 ENEOSグ□ーブ(ENEOS GLOBE) 3,107 29.9% 2 アストモスエネルギー(Astomos Energy) 2,473 23.8% 3 ジクシス(GYXIS) 1,587 15.3% 4 ジャパンガスエナジー(JAPAN GAS ENERGY) 1,351 13.0% 5 岩谷産業(Iwatani) 927 8.9% (LPG Import Ranking) 《LPガス卸業者年間販売量ランキング FY2023》 (LPG Wholesaler Annual Sales Volume Ranking) 《LPガス小売直売顧客数ランキング FY2023》 (LPG Retailer Direct Sales Customers Ranking) 順位 Rank 卸業者 Wholesaler 販売量 (千トン) Sales volume (k tons) 順位 Rank 小売業者 Retailer LPガス家庭お客様(世帯) LPG customer homes 1 岩谷産業 (Iwatani) 1,526 1 岩谷産業 (Iwatani) 約1,110,000 2 伊藤忠エネクス (ITOCHU ENEX) 595 2 日本瓦斯 (NIPPON GAS) 約997,000 3 シナネンホールディングス (SINANEN HOLDINGS) 496 3 TOKAI (TOKAI) 約779,000 4 東邦液化ガス (TOHO LIQUEFIED GAS) 469 4 伊藤忠エネクス (ITOCHU ENEX) 約574,000 5 ミツウ□コヴェッセル (Mitsuuroko Vessel) 400 5 東邦液化ガス (TOHO LIQUEFIED GAS) 約431,000 出所:石油化学新聞社(株)資料( 2025 ) Source: Sekiyu Kagaku Shimbun Sha (2025) 連結B/S 10年推移 Change of Balance Sheet (10years) ( 単位 : 百万円、 Unit: million yen ) 勘定科目( Account name ) FY2015 FY2016 FY2017 FY2018 FY2019 FY2020 FY2020 (※ 1 ) FY2021 FY2022 FY2023 (※ 2 ) FY2024 総資産 Total assets 404,479 434,690 455,436 457,603 469,715 509,518 512,015 558,479 656,003 830,495 872,194 流動資産 Current assets 175,878 184,464 194,584 197,835 203,772 219,613 222,110 259,471 303,189 309,573 328,458 現金及び預金 Cash and deposits 23,309 21,677 18,233 19,947 25,525 38,782 38,782 29,975 33,730 33,937 27,759 受取手形及び売掛金 Notes and accounts receivable-trade 103,624 112,079 121,698 122,179 120,509 124,106 113,374 131,094 150,389 145,981 162,256 棚卸資産 Inventories 33,660 37,144 39,366 41,019 42,232 41,040 38,588 56,139 69,611 74,464 84,553 その他 Other 15,283 13,562 15,283 14,688 15,504 15,683 31,364 42,262 49,458 55,191 53,889 固定資産 Non-current assets 228,601 250,226 260,851 259,768 265,942 289,905 289,905 299,008 352,814 520,922 543,735 有形固定資産 Property, plant and equipment 145,003 156,639 160,249 164,441 171,793 178,023 178,023 185,747 207,442 225,412 240,206 無形固定資産 Intangible assets 16,876 15,684 17,653 17,732 16,767 17,495 17,495 16,179 36,868 36,502 47,756 投資その他資産 Investments and other assets 66,721 77,901 82,949 77,593 77,381 94,385 94,385 97,081 108,502 259,008 255,772 負債 Liabilities 279,895 289,810 289,534 283,617 278,563 257,667 258,429 278,172 343,773 461,461 475,122 流動負債 Current liabilities 172,489 182,269 178,519 172,722 191,131 170,981 170,981 186,300 212,469 312,513 254,993 支払手形及び買掛金・電子記録債務 Notes and accounts payable-trade, Electronically recorded obligations 90,952 93,175 94,858 98,386 92,912 93,533 93,533 97,257 113,873 101,002 110,470 短期借入金 Short-term borrowings 23,430 23,748 26,667 23,064 19,434 24,208 24,208 32,343 25,747 129,161 24,421 1年以内返済予定の長期借入金 Current portion of long-term borrowings 22,467 22,968 13,719 11,661 3,671 9,760 9,760 11,222 12,144 12,734 22,964 1年内償還予定の社債 Current portion of bonds payable - - 3,000 - 35,016 - - - - - - その他 Other 35,638 42,376 40,275 39,610 40,096 43,478 43,478 45,477 60,703 69,616 97,137 固定負債 Non-current liabilities 107,406 107,541 111,015 110,894 87,432 86,686 87,447 91,872 131,303 148,947 220,008 社債 Bonds payable 38,136 38,106 35,076 35,046 - - - 10,000 30,000 40,000 70,000 長期借入金 Long-term borrowings 47,598 44,734 48,761 52,632 64,743 59,447 59,447 55,093 68,457 70,100 111,619 その他 Other 21,671 24,699 27,178 23,215 22,689 27,238 27,999 26,778 32,846 38,847 38,388 純資産 Net assets 124,583 144,879 165,901 173,986 191,152 251,851 253,586 280,307 312,230 369,034 397,191 株主資本 Shareholders' equity その他の包括利益累計額 Accumulated other comprehensive income 非支配株主持分 Non-controlling interests 102,945 11,836 9,802 117,574 16,841 10,464 133,121 21,287 11,491 148,223 17,186 8,577 166,071 16,194 8,885 214,638 27,786 9,426 216,373 27,786 9,426 242,050 28,078 10,179 269,271 32,704 10,254 307,393 51,039 10,601 340,559 45,476 11,155 有利子負債 Interest-bearing debt 有利子負債依存度(%) Ratio of interest-bearing debt to total assets (%) 136,514 33.7 135,287 31.1 132,057 29.0 126,359 27.6 126,577 26.9 96,161 18.9 96,161 18.8 111,160 19.9 139,454 21.2 254,521 30.6 264,447 30.3 ※2022年3月期より、「収益認識に関する会計基準」等を適用しています。 (Accounting Standard for Revenue Recognition was applied from FY2021.) ※1 2021年3月期については、収益認識適用後のデータも記載しています。 (As for FY2020, the figures applied Accounting Standard for Revenue Recognition are also shown.) ※2 2025年3月期において、持分法適用に係る暫定的な会計処理の確定を行っており、2024年3月期に係る各数値については、暫定的な会計処理の確定の内容を反映させております。 連結P/L 10年推移 Change Statements of Income (10years) ( 単位 : 百万円、 Unit: million yen ) 勘定科目( Account name ) FY2015 FY2016 FY2017 FY2018 FY2019 FY2020 FY2020 (※ 1 ) FY2021 FY2022 FY2023 (※ 5 ) FY2024 売上高計 Net sales ( 前期比 Prior-year comparison ) 616,201 △ 10.9% 588,045 △ 4.6% 670,792 14.1% 715,085 6.6% 686,771 △ 4.0% 635,590 △ 7.5% 562,223 - 690,392 22.8% 906,261 31.3% 847,888 △ 6.4% 883,011 4.1% 売上総利益 Gross profit ( 前期比 Prior-year comparison ) (売総率 Ratio of gross profit to sales ) 154,055 9.2% 25.0% 161,592 4.9% 27.5% 168,027 4.0% 25.0% 170,613 1.5% 23.9% 176,259 3.3% 25.7% 176,878 0.4% 27.8% 176,244 -31.3% 191,762 8.8% 27.8% 212,925 11.0% 23.5% 229,475 7.8% 27.1% 234,311 2.1% 26.5% 販売費•一般管理費計 Selling, general and administrative expenses 133,559 136,554 140,834 144,157 147,531 146,892 146,892 151,685 172,890 178,839 188,083 運搬諸掛 Transportation costs 人件 Personnel expenses (※ 3 ) 賃借料 Rent expenses 減価償却 Depreciation (※ 4 ) その他 Other 22,299 41,348 9,849 10,488 49,573 22,606 42,185 9,694 11,641 50,425 23,862 43,400 9,774 11,410 52,386 25,313 44,660 9,970 11,551 52,662 25,244 45,774 9,747 12,308 54,455 25,471 46,687 9,857 13,069 51,805 25,471 58,291 9,857 13,069 40,202 28,079 59,426 9,927 13,650 40,601 30,993 66,192 11,052 15,855 48,796 30,894 68,696 11,293 17,031 50,925 33,188 72,973 11,825 18,865 51,230 営業利益 Operating profit ( 前期比 Prior-year comparison ) (営業利益率 Ratio of operating profit to sales ) 20,496 83.4% 3.3% 25,038 22.2% 4.3% 27,193 8.6% 4.1% 26,456 △ 2.7% 3.7% 28,728 8.6% 4.2% 29,986 4.4% 4.7% 29,352 -5.2% 40,076 36.5% 5.8% 40,035 △ 0.1% 4.4% 50,635 26.5% 6.0% 46,228 △ 8.7% 5.2% 営業外損益 Non-operating income (loss) 1,088 1,796 2,213 3,496 3,542 4,419 4,799 6,336 6,976 11,671 15,259 金融収支 Interest income and expenses (※ 5 ) 持分法投資損益 Share of profit of entities accounted for using equity me その他 Other △ 543 602 1,028 △ 292 824 1,264 129 241 1,843 510 590 2,395 637 471 2,432 455 463 3,500 455 463 3,880 652 720 4,964 608 927 5,440 105 6,210 5,357 △ 683 10,099 5,843 経常利益 Ordinary profit ( 前期比 Prior-year comparison ) (経常利益率 Ratio of ordinary profit to sales ) 21,584 69.1% 3.5% 26,834 24.3% 4.6% 29,407 9.6% 4.4% 29,952 1.9% 4.2% 32,270 7.7% 4.7% 34,406 6.6% 5.4% 34,152 -6.1% 46,413 35.9% 6.7% 47,011 1.3% 5.2% 62,307 40.8% 7.3% 61,487 △ 1.3% 7.0% 特別利益 Extraordinary income 2,990 1,824 1,217 497 1,092 2,343 2,343 954 2,082 3,162 8,466 特別損失 Extraordinary losses 3,793 1,877 1,583 1,012 1,164 1,740 1,740 1,424 1,772 2,154 7,115 税金調整前当期純利益 Profit before income taxes 20,781 26,781 29,040 29,438 32,197 35,009 34,755 45,943 47,322 63,315 62,838 法人税等 : Income taxes 税率 Tax rate 7,447 35.8% 9,217 34.4% 10,469 36.1% 9,268 31.5% 10,373 32.2% 11,051 31.6% 10,974 31.6% 14,943 32.5% 14,103 29.8% 18,856 29.8% 21,064 33.5% 非支配株主に帰属する当期純利益 Profit attributable to non-controlling inte 969 1,018 993 948 829 750 750 1,035 1,196 990 1,325 親会社株主に帰属する当期純利益 Profit attributable to owners of parent ( 前期比 Prior-year comparison ) (純利益率 Ratio of profit to sales ) 12,365 99.4% 2.0% 16,546 33.8% 2.8% 17,577 6.2% 2.6% 19,221 9.4% 2.7% 20,994 9.2% 3.1% 23,207 10.5% 3.7% 23,030 -4.1% 29,964 30.1% 4.3% 32,022 6.9% 3.5% 43,468 47.9% 5.1% 40,448 △ 6.0% 4.6% ※2022年3月期より、「収益認識に関する会計基準」等を適用しています。 (Accounting Standard for Revenue Recognition was applied from FY2021.) ※1 2021年3月期については、収益認識適用後のデータも記載しています。 (As for FY2020, the figures applied Accounting Standard for Revenue Recognition are also shown.) ※2 人件 (給与手当+賞与引当金繰入額+役員退職慰労引当金繰入額+退職給付 用 ) (Personnel expenses = Salaries + Provision for bonuses + Provision for bonuses for directors+ Retirement benefits expenses) ※3 減価償却 には、のれん償却額は含まれておりません。 (Amortization of goodwill is not included.) ※4 金融収支(受取利息+受取配当金-支払利息) (Interest income and expenses = Interest income + Dividend income - Interest expenses) ※5 2025年3月期において、持分法適用に係る暫定的な会計処理の確定を行っており、2024年3月期に係る各数値については、暫定的な会計処理の確定の内容を反映させております。
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