売上高 (100%) 34,884 50,754 55,881 43,356 43,112 34,376 売上

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