8096兼松エレクトロニクス

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兼松傘下のITベンダー。仮想化ビジネスを中心にITインフラの構築、保守、運用を手がける

会社サイト   株価   適時開示   有価証券報告書

開示年月日決算期種別連個実予売 上 高営業利益経常利益当期利益配当1Q2Q3Q
2006/04/272006/03年度59,1813,0933,1851,35416.507.50
2006/04/272006/09中間29,000 1,6008000090
2006/10/272006/09中間26,2921,7621,7989970090
2006/04/272007/03年度61,000 3,3001,70018090
2007/04/272007/03年度52,8563,6933,7602,09219090
2007/04/272007/09中間26,0001,7501,8001,4000090
2007/10/252007/09中間26,7052,0022,1161,73700100
2007/04/272008/03年度55,0003,7003,8002,40020090
2008/04/302008/03年度55,5924,3154,5062,866250100
2008/07/312008/061Q11,4625546453780000
2008/04/302008/092Q28,0002,1502,2501,30000150
2008/10/312008/092Q26,1042,2402,3671,32600150
2009/01/302008/123Q36,2722,6482,8221,57000150
2008/04/302009/03年度58,0004,4004,6002,650300150
2008/10/312009/03年度53,0004,4004,6002,650300150
2009/05/012009/03年度49,8314,3224,5392,557450150
2009/07/312009/061Q8,610151194940000
2009/05/012009/092Q25,0002,2002,3001,30000200
2009/10/162009/092Q21,8401,8101,8701,06000200
2009/10/302009/092Q21,8461,8121,8801,06800200
2010/01/292009/123Q29,9422,0272,1241,24100200
2009/05/012010/03年度50,0004,4004,6002,650400200
2009/10/162010/03年度47,0004,4004,6002,650400200
2010/04/302010/03年度43,1893,5983,7332,163400200
2010/07/302010/061Q8,737320354540000
2010/04/302010/092Q21,5002,1002,2001,20000200
2010/10/292010/092Q22,2862,1782,2211,11200200
2011/01/282010/123Q31,4022,6222,6961,37800200
2010/04/302011/03年度43,5004,0504,2002,350400200
2011/04/282011/03年度45,6234,2294,3452,322400200
2011/07/292011/061Q8,9205456013510000
2011/04/282011/092Q23,0002,1502,1501,23000200
2011/10/282011/092Q22,6592,2162,2701,30300200
2012/01/272011/123Q32,2733,0403,1131,77700200
2011/04/282012/03年度46,0004,3504,3502,450400200
2012/04/272012/03年度46,7734,6004,7072,652450200
2012/07/262012/061Q8,8755435653360000
2012/04/272012/092Q23,0002,3002,3001,38000200
2012/10/262012/092Q21,8092,3332,3641,42200200
2013/01/312012/123Q30,1292,6682,7461,66200200
2012/04/272013/03年度47,5004,7004,7502,850450200
2013/04/302013/03年度45,0594,7634,9013,061500200
2013/07/252013/061Q15,4087868004070000
2013/04/302013/092Q30,5002,6502,6501,54000250
2013/10/252013/092Q32,7352,6362,6611,48700250
2014/01/312013/123Q45,0533,2963,3121,83300250
2013/04/302014/03年度59,0005,3005,3003,100500250
2014/04/302014/03年度63,8835,4045,4662,877550250
2014/07/312014/061Q11,3203563821860000
2014/04/302014/092Q29,5002,7002,7501,65000250
2014/10/312014/092Q29,3042,6552,6861,59500300
2015/02/042014/123Q41,5763,2713,3511,89300300
2014/04/302015/03年度60,0005,9506,0003,550550250
2014/10/312015/03年度60,0005,9506,0003,550600300
2015/04/302015/03年度61,8966,1086,2553,467650300
2015/07/302015/061Q11,1553854192890000
2015/04/302015/092Q31,0002,9502,9501,90000300
2015/10/302015/092Q30,5933,0313,0992,02400350
2016/01/292015/123Q42,5303,9794,0712,63400350
2015/04/302016/03年度63,5006,4506,5004,200650300
2015/10/302016/03年度63,5006,4506,5004,200700350
2016/04/282016/03年度61,2896,3906,5164,155750350
2016/07/282016/061Q11,3147747868990000
2016/04/282016/092Q30,5003,3003,3002,20000350
2016/10/272016/092Q30,5103,7933,8172,90900400
2017/01/312016/123Q42,4924,9164,9583,66000400
2016/04/282017/03年度61,3006,6506,7004,450750350
2016/10/272017/03年度61,3007,1507,2005,000800400
2017/04/282017/03年度64,1668,4088,4845,264900400
2017/07/282017/061Q11,0561,0861,1107230000
2017/04/282017/092Q31,0004,1004,1002,70000400
2017/10/262017/092Q29,4004,2104,2472,81200450
2018/01/312017/123Q40,4175,4245,4703,61000450
2017/04/282018/03年度65,0008,6508,7005,700900400
2017/10/262018/03年度65,0008,6508,7005,700950450
2018/04/272018/03年度62,2519,5369,6366,4921100450
2018/07/312018/061Q10,9501,0701,0796970000
2018/04/272018/092Q30,0004,5504,6003,05000500
2018/10/312018/092Q32,8774,7004,7133,13000550
2019/01/312018/123Q44,5935,9465,9693,94600550
2018/04/272019/03年度63,0009,95010,0006,6001200500
2018/10/312019/09年度63,0009,95010,0006,6001250550
2019/04/262019/03年度67,39610,07410,1256,7391250550
2019/07/312019/061Q10,4927297424810000
2019/04/262019/092Q33,0004,8004,8003,20000550
2019/10/312019/092Q35,1385,1205,1473,46000650
2019/04/262020/03年度68,00010,50010,5006,8001250550
2019/10/312020/03年度68,00010,50010,5006,8001300650

兼松エレク