(Q1)2022/03/31 | (FY)2021/12/31 | (Q4)2021/12/31 | (Q3)2021/09/30 | (Q2)2021/06/30 | (Q1)2021/03/31 | (FY)2020/12/31 | (Q4)2020/12/31 | (Q3)2020/09/30 | (Q2)2020/06/30 | |
---|---|---|---|---|---|---|---|---|---|---|
資産 | ||||||||||
流動資産 | ||||||||||
現金及び現金同等物、短期投資 | -99.27%5.33万 | -92.50%18.04万 | -92.50%18.04万 | -87.43%62.21万 | 566.04%227.91万 | 278.02%731.41万 | 30.11%240.39万 | 30.11%240.39万 | 44.15%495.01万 | -79.32%34.22万 |
-現金及び現金同等物 | -99.27%5.33万 | -92.50%18.04万 | -92.50%18.04万 | -87.43%62.21万 | 566.04%227.91万 | 278.02%731.41万 | 30.11%240.39万 | 30.11%240.39万 | 44.15%495.01万 | -79.32%34.22万 |
営業債権、その他の債権及び契約資産 | -46.12%90.37万 | -20.72%124.79万 | -20.72%124.79万 | -43.79%186.15万 | -34.19%184.77万 | -32.52%167.74万 | -26.99%157.4万 | -26.99%157.4万 | 117.86%331.15万 | 267.17%280.75万 |
-売掛金 | -46.12%90.37万 | -20.72%124.79万 | -20.72%124.79万 | -43.79%186.15万 | -34.19%184.77万 | -32.52%167.74万 | -26.99%157.4万 | -26.99%157.4万 | 117.86%331.15万 | 267.17%280.75万 |
棚卸資産 | -72.23%33.14万 | -6.81%64.78万 | -6.81%64.78万 | 60.62%100.75万 | 291.91%138.13万 | 225.65%119.35万 | 48.60%69.51万 | 48.60%69.51万 | 46.15%62.73万 | -30.72%35.25万 |
前払費用 | -41.48%19.01万 | -35.27%11.93万 | -35.27%11.93万 | -12.62%21.05万 | 44.17%25.94万 | 88.11%32.48万 | 45.84%18.43万 | 45.84%18.43万 | 42.37%24.09万 | -25.27%17.99万 |
制限付き現金 | 34.09%252.73万 | 99.75%376.47万 | 99.75%376.47万 | 192.47%376.45万 | 207.88%380.88万 | 65.67%188.48万 | 66.26%188.47万 | 66.26%188.47万 | 14.04%128.71万 | -42.41%123.71万 |
流動資産合計 | -67.68%400.58万 | -11.60%595.99万 | -11.60%595.99万 | -28.33%746.61万 | 94.67%957.63万 | 103.27%1,239.45万 | 17.64%674.2万 | 17.64%674.2万 | 55.91%1,041.7万 | -7.48%491.92万 |
非流動資産 | ||||||||||
有形固定資産純額 | -14.26%3,254.28万 | -14.17%3,306.62万 | -14.17%3,306.62万 | -4.49%3,728.85万 | -4.36%3,771.59万 | -4.04%3,795.38万 | -3.91%3,852.4万 | -3.91%3,852.4万 | -1.13%3,904.13万 | -0.11%3,943.36万 |
-有形固定資産総額 | -8.17%3,964.54万 | -8.36%3,968.06万 | -8.36%3,968.06万 | 0.17%4,343.44万 | 0.29%4,339.95万 | 0.74%4,317.44万 | 1.10%4,329.82万 | 1.10%4,329.82万 | 5.94%4,336.13万 | 5.53%4,327.25万 |
-減価償却累計额 | -36.05%-710.25万 | -38.55%-661.44万 | -38.55%-661.44万 | -42.27%-614.59万 | -48.05%-568.36万 | -57.94%-522.06万 | -74.52%-477.42万 | -74.52%-477.42万 | -199.82%-432万 | -151.39%-383.89万 |
のれん及びその他の無形資産 | ---- | --0 | --0 | -0.86%800.75万 | -0.55%803.79万 | -0.42%806.71万 | -0.44%807.25万 | -0.44%807.25万 | -0.49%807.69万 | -1.03%808.19万 |
-のれん | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | 0.00%5.8万 | 0.00%5.8万 |
-その他の無形資産 | ---- | ---- | ---- | -0.14%800.75万 | 0.17%803.79万 | 0.30%806.71万 | 0.28%807.25万 | 0.28%807.25万 | -0.50%801.89万 | -1.04%802.39万 |
投資その他の資産 | -5.50%64.38万 | -6.39%66.59万 | -6.39%66.59万 | --66.76万 | --67.86万 | --68.13万 | --71.13万 | --71.13万 | ---- | ---- |
前払費用のうち、一定期間を超える経過後に享受することが予想される経済利益に対するもの | ---- | ---- | ---- | --8,500 | --8,500 | --8,500 | ---- | ---- | ---- | ---- |
その他の非流動資産 | 0.88%264.45万 | 0.29%264.44万 | 0.29%264.44万 | -2.67%260.86万 | -2.67%261.35万 | 0.33%262.15万 | 1.04%263.66万 | 1.04%263.66万 | 2.93%268.02万 | 4.91%268.52万 |
非流動資産合計 | -27.37%3,583.11万 | -27.17%3,637.64万 | -27.17%3,637.64万 | -2.45%4,858.06万 | -2.28%4,905.43万 | -1.86%4,933.22万 | -1.70%4,994.44万 | -1.70%4,994.44万 | -0.82%4,979.83万 | -3.26%5,020.07万 |
資産合計 | -35.46%3,983.69万 | -25.31%4,233.64万 | -25.31%4,233.64万 | -6.92%5,604.67万 | 6.37%5,863.06万 | 9.51%6,172.66万 | 0.26%5,668.64万 | 0.26%5,668.64万 | 5.85%6,021.53万 | -3.65%5,511.98万 |
負債 | ||||||||||
流動負債 | ||||||||||
未払金 | 96.69%557.65万 | 47.88%506.86万 | 47.88%506.86万 | -49.15%371.15万 | -60.98%272.04万 | -58.24%283.51万 | -30.03%342.76万 | -30.03%342.76万 | 65.47%729.82万 | 31.50%697.11万 |
-買掛金 | 65.48%469.15万 | 65.84%413.36万 | 65.84%413.36万 | -41.67%371.15万 | -54.93%272.04万 | -47.29%283.51万 | -46.83%249.26万 | -46.83%249.26万 | 51.49%636.32万 | 18.56%603.61万 |
-関連当事者による流動負債 | --88.5万 | 0.00%93.5万 | 0.00%93.5万 | ---- | ---- | ---- | 345.24%93.5万 | 345.24%93.5万 | 345.24%93.5万 | 345.24%93.5万 |
当期の未払費用 | -18.97%222.43万 | -28.19%272.48万 | -28.19%272.48万 | -17.28%223.58万 | -13.29%267.7万 | 12.96%274.49万 | 23.38%379.47万 | 23.38%379.47万 | 77.40%270.27万 | 46.50%308.75万 |
短期借入金及び資本リース債務 | 250.83%3,913.86万 | 326.04%3,913.35万 | 326.04%3,913.35万 | 19.86%1,082.13万 | 24.21%1,099.29万 | 28.42%1,115.59万 | 208.81%918.55万 | 208.81%918.55万 | 203.55%902.83万 | 197.59%885.03万 |
-短期借入金 | 250.83%3,913.86万 | 326.04%3,913.35万 | 326.04%3,913.35万 | 19.86%1,082.13万 | 24.21%1,099.29万 | 28.42%1,115.59万 | 208.81%918.55万 | 208.81%918.55万 | 203.55%902.83万 | 197.59%885.03万 |
流動性繰延負債 | -81.65%49.77万 | -56.18%85.08万 | -56.18%85.08万 | 1.12%85.79万 | 2,097.57%229.54万 | 2,488.05%271.23万 | 1,343.33%194.17万 | 1,343.33%194.17万 | 523.71%84.84万 | -16.57%10.45万 |
流動負債合計 | 143.91%4,743.71万 | 160.38%4,777.78万 | 160.38%4,777.78万 | -11.32%1,762.64万 | -1.72%1,868.57万 | 7.98%1,944.82万 | 65.57%1,834.95万 | 65.57%1,834.95万 | 119.78%1,987.75万 | 80.94%1,901.33万 |
非流動負債 | ||||||||||
長期借入金及びリース債務 | -92.98%210.09万 | -93.15%211.37万 | -93.15%211.37万 | -3.05%2,997.06万 | -1.47%3,051.03万 | -1.15%2,992.39万 | -13.92%3,086.21万 | -13.92%3,086.21万 | -13.32%3,091.43万 | -13.19%3,096.53万 |
-長期借入金 | -96.52%99.96万 | -96.65%99.39万 | -96.65%99.39万 | -2.86%2,883.28万 | -1.32%2,935.28万 | -2.06%2,874.95万 | -15.14%2,964.52万 | -15.14%2,964.52万 | -14.58%2,968.31万 | -14.18%2,974.45万 |
-リース債務 | -6.23%110.12万 | -7.98%111.98万 | -7.98%111.98万 | -7.58%113.78万 | -5.19%115.74万 | 28.07%117.44万 | 32.97%121.69万 | 32.97%121.69万 | 34.79%123.11万 | 20.53%122.08万 |
長期前払費用 | 19.07%216.02万 | 14.52%207.03万 | 14.52%207.03万 | 14.62%198.24万 | 14.86%189.65万 | 15.76%181.43万 | 19.71%180.79万 | 19.71%180.79万 | 24.40%172.96万 | 13.08%165.11万 |
関係会社等に対する支払金額 | --0 | ---- | ---- | ---- | --0 | --0 | ---- | ---- | ---- | ---- |
その他の非流動性負債 | ---- | ---- | ---- | ---- | ---- | ---- | --158.58万 | --158.58万 | ---- | ---- |
非流動負債合計 | -86.57%426.11万 | -87.79%418.4万 | -87.79%418.4万 | -2.12%3,195.31万 | -0.64%3,240.67万 | -0.32%3,173.81万 | -8.31%3,425.58万 | -8.31%3,425.58万 | -11.90%3,264.39万 | -12.16%3,261.63万 |
負債合計 | 1.00%5,169.82万 | -1.22%5,196.18万 | -1.22%5,196.18万 | -5.60%4,957.94万 | -1.04%5,109.25万 | 2.68%5,118.64万 | 8.59%5,260.52万 | 8.59%5,260.52万 | 13.93%5,252.14万 | 8.38%5,162.97万 |
資本 | ||||||||||
資本金 | -16.52%520.54万 | -27.61%524.86万 | -27.61%524.86万 | -23.63%553.74万 | -26.07%553.73万 | -16.04%623.56万 | 21.20%725.05万 | 21.20%725.05万 | 21.20%725.05万 | 23.04%748.95万 |
-普通株式 | 17.28%3,291 | 30.81%3,053 | 30.81%3,053 | 24.94%2,916 | 59.27%2,835 | 61.17%2,806 | 34.91%2,334 | 34.91%2,334 | 35.93%2,334 | 17.03%1,780 |
-優先株 | -16.54%520.21万 | -27.63%524.55万 | -27.63%524.55万 | -23.64%553.45万 | -26.09%553.45万 | -16.06%623.28万 | 21.20%724.81万 | 21.20%724.81万 | 21.20%724.81万 | 23.05%748.77万 |
利益剰余金 | -44.44%-9,599.83万 | -34.32%-9,205.94万 | -34.32%-9,205.94万 | -21.80%-7,479.03万 | -18.60%-6,885.29万 | -20.03%-6,646.39万 | -29.84%-6,853.71万 | -29.84%-6,853.71万 | -21.68%-6,140.32万 | -19.34%-5,805.65万 |
資本剰余金 | 14.70%7,902.54万 | 20.11%7,731.79万 | 20.11%7,731.79万 | 25.64%7,509.98万 | 38.62%6,968.28万 | 37.92%6,889.7万 | 29.79%6,437.1万 | 29.79%6,437.1万 | 21.77%5,977.6万 | 11.09%5,026.77万 |
利益剰余金に影響しない損益 | 39.31%-9.38万 | 7.84%-13.25万 | 7.84%-13.25万 | -51.12%-12.7万 | -1,129.49%-15.99万 | -969.94%-15.45万 | -233.38%-14.38万 | -233.38%-14.38万 | -295.99%-8.41万 | -227.25%-1.3万 |
株主資本 | -239.31%-1,186.13万 | -427.34%-962.55万 | -427.34%-962.55万 | 3.26%571.98万 | 2,087.10%620.74万 | 327.60%851.43万 | 6.90%294.05万 | 6.90%294.05万 | 19.16%553.91万 | -111.58%-31.24万 |
少数株主持分 | --0 | --0 | --0 | -65.31%74.75万 | -65.00%133.07万 | -55.21%202.6万 | -78.66%114.07万 | -78.66%114.07万 | -64.93%215.48万 | -44.67%380.26万 |
資本合計 | -212.53%-1,186.13万 | -335.85%-962.55万 | -335.85%-962.55万 | -15.94%646.73万 | 115.98%753.81万 | 61.81%1,054.03万 | -49.59%408.12万 | -49.59%408.12万 | -28.71%769.39万 | -63.53%349.02万 |
通貨単位 | ドル | ドル | ドル | ドル | ドル | ドル | ドル | ドル | ドル | ドル |
会計基準 | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
監査意見 | -- | 説明付き保留意見 | -- | -- | -- | -- | -- | -- | -- | -- |
データなし