アップルインターナショナル株式会社 (連結) (単位:百万円) 百万円以下、切捨て 売上高 (100%) 売上原価 売上高原価率(%) 売上総利益 売上高総利益率(%) 販売費及び一般管理費 売上高販管比率(%) 営業利益 売上高営業利益率(%) 営業外収益 営業外費用 経常利益 売上高経常利益率(%) 特別利益 特別損失 当期純利益 売上高純利益率(%) 【資産の部】 流動資産 現金・預金 受取手形・売掛金 たな卸資産 未収入金 前渡金 その他 貸倒引当金 固定資産 有形固定資産 無形固定資産 投資その他資産 資産合計 【負債の部】 流動負債 支払手形・買掛金 短期借入金 未払法人税等 その他 固定負債 社債 長期借入金 その他 【純資産の部】 純資産合計 負債・自己資本合計 資本金 (百万円) 発行株数 (株) ROE(%) 平残ベース EPS(円) 期末ベース BPS(円) 期末ベース 営業キャッシュフロー 投資キャッシュフロー 財務キャッシュフロー 現金及び現金同等物の期末残高 従業員数(正社員) 第11期 第12期 第13期 第14期 第15期 第16期 05/1-05/12 06/1-06/12 07/1-07/12 08/1-08/12 09/1-09/12 10/1-10/12 34,884 31,849 50,754 46,423 55,881 50,718 43,356 39,232 43,112 39,615 34,376 30,645 91.3% 91.5% 90.8% 90.5% 91.9% 89.1% 3,034 4,331 5,162 4,124 3,496 3,731 8.7% 8.5% 9.2% 9.5% 8.1% 10.9% 2,766 4,081 3,945 3,716 3,549 3,232 7.9% 8.0% 7.1% 8.6% 8.2% 9.4% 269 249 1,217 407 △ 52 498 0.8% 530 195 0.5% 186 357 2.2% 175 516 0.9% 253 711 -0.1% 348 342 1.4% 112 426 604 78 876 △ 50 △ 46 184 1.7% 447 138 0.2% 106 253 1.6% 66 133 -0.1% 71 507 -0.1% 52 3,522 0.5% 2 1,199 530 △ 302 334 △ 288 △ 3,715 △ 1,604 1.5% △0.6% 0.6% -0.7% -8.6% -4.7% 19,044 25,736 27,164 22,293 17,805 12,319 2,319 9,642 3,804 1,012 2,011 554 △ 298 7,066 10,135 6,243 724 1,199 959 △ 590 8,005 9,817 5,842 459 2,171 1,407 △ 537 6,583 8,441 4,222 338 848 2,571 △ 710 8,458 5,930 2,657 347 1,359 435 △ 1,381 5,676 4,698 2,394 786 236 494 △ 1,965 2,423 2,691 2,767 2,259 2,807 2,545 720 930 771 993 961 736 936 918 913 789 521 947 1,269 1,108 430 638 347 1,559 21,471 28,438 29,938 24,557 20,615 14,866 9,020 16,456 16,440 12,434 11,720 8,537 3,310 4,057 263 1,189 3,290 9,452 123 3,256 3,999 9,088 167 2,480 1,577 8,786 122 1,363 3,781 6,469 98 1,372 1,752 5,659 88 1,036 538 600 831 401 202 138 130 318 90 360 229 11 190 637 4 120 276 5 60 111 31 0 109 29 11,912 21,471 4,816 124,614 4.6% 4,273.00 92,838.00 △ 1,291 793 864 1,549 426 11,380 28,438 4,816 124,614 △2.7% △ 2,428.00 89,173.00 △ 257 △ 3,845 5,424 2,926 485 12,667 29,938 4,816 124,614 2.9% 2,680.28 93,525.00 619 △ 712 1,048 3,947 568 11,721 8,692 24,557 20,615 4,816 4,816 124,614 124,614 △2.5% △40.7% △ 2,317.25 △ 29,813.87 88,579.80 57,862.51 △ 719 4,113 426 △ 2,168 △ 274 △ 1,833 3,030 3,253 568 720 6,190 14,866 4,816 124,614 △25.2% △ 12,872.45 44,210.04 1,993 △ 3,341 13 1,529 310 Apple International Co., Fact (consolidated basis) (million yen) FY05 FY06 FY07 FY08 FY09 FY10 05/1-05/12 06/1-06/12 07/1-07/12 08/1-08/12 09/1-09/12 10/1-10/12 34,884 31,849 50,754 46,423 55,881 50,718 43,356 39,232 43,112 39,615 34,376 30,645 91.3% 91.5% 90.8% 90.5% 91.9% 89.1% 3,034 4,331 5,162 4,124 3,496 3,731 8.7% 8.5% 9.2% 9.5% 8.1% 10.9% 2,766 4,081 3,945 3,716 3,549 3,232 7.9% 8.0% 7.1% 8.6% 8.2% 9.4% 269 249 1,217 407 (52) 498 Non-operating Income Non-operating Expenses 0.8% 530 195 0.5% 186 357 2.2% 175 516 0.9% 253 711 -0.1% 348 342 1.4% 112 426 Recurring Profit 604 78 876 (50) (46) 184 Extraordinariy Income Extraordinariy Expenses 1.7% 447 138 0.2% 106 253 1.6% 66 133 -0.1% 71 507 -0.1% 52 3,522 0.5% 2 1,199 Net Profit 530 (302) (288) (3,715) (1,604) 1.5% -0.6% 0.6% -0.7% -8.6% -4.7% 19,044 25,736 27,164 22,293 17,805 12,319 Net Sales Cost of Sales Ratio of Cost of Sales (%) Gross Margin Ratio of Gross Margin (%) SG & A Ratio of SG & A (%) Operating Profit Ratio of Operating Profit (%) Ratio of Recurring Profit (%) Ratio of Net Profit (%) 【Assets】 Current Assets Cash & Deposits Account Receivables Inventories Accrued renenue Advances Others Allowance for doubtful debts Fixed Assets Tangible Fixed Assets Intangible Fixed Assets Investments and other assets Total Assets 【Liabilities】 Current Liabilities Notes payable & Acconts amount payable Short-term Dept Accrued Income Taxes Others Fixed Liabilities Bonds payable Long-term Debt Others 【Shareholder's Equity】 Total Shareholder's Equity Liabilities & Equity Paid in Cap. (¥ in millions) Isuued Stock ROE (%) EPS (¥) BPS (¥) Cash flows from operating activities Cash flows from investing activities Cash flows from financing activities Cash & cash equivalents, end of year Employee No. (Full Time) 2,319 9,642 3,804 1,012 2,011 554 (298) 7,066 10,135 6,243 724 1,199 959 (590) 334 8,005 9,817 5,842 459 2,171 1,407 (537) 6,583 8,441 4,222 338 848 2,571 (710) 8,458 5,930 2,657 347 1,359 435 (1,381) 5,676 4,698 2,394 786 236 494 (1,965) 2,423 2,691 2,767 2,259 2,807 2,545 720 930 771 993 961 736 936 918 913 789 521 947 1,269 1,108 430 638 347 1,559 21,471 28,438 29,938 24,557 20,615 14,866 9,020 3,310 4,057 263 1,189 538 130 318 90 16,456 3,290 9,452 123 3,256 600 360 229 11 16,440 3,999 9,088 167 2,480 831 190 637 4 12,434 1,577 8,786 122 1,363 401 120 276 5 11,720 3,781 6,469 98 1,372 202 60 111 31 8,537 1,752 5,659 88 1,036 138 0 109 29 11,912 21,471 4,816 124,614 4.6 4,273.00 92,838.00 (1,291) 793 864 1,549 426 11,380 28,438 4,816 124,614 (2.7) (2,428.00) 89,173.00 (257) (3,845) 5,424 2,926 485 12,667 29,938 4,816 124,614 2.9 2,680.28 93,525.00 619 (712) 1,048 3,947 568 11,721 24,557 4,816 124,614 (2.5) (2,317.25) 88,579.80 (719) 426 (274) 3,030 568 8,692 20,615 4,816 124,614 △40.7% △ 29,813.87 57,862.51 4,113 (2,168) (1,833) 3,253 720 6,190 14,866 4,816 124,614 △25.2% △ 12,872.45 44,210.04 1,993 (3,341) 13 1,529 310
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