サカタのタネ

指標

自己資本比率
ネットキャッシュ比率
D/Eレシオ

負債・純資産の部

負債・純資産の部
利益剰余金
有利子負債・現金

資産の部

資産の部
流動資産
有形・無形固定資産
投資有価証券
のれん

貸借対照表

2016-05百万円
2017-05百万円
2018-05百万円
2019-05百万円
2020-05百万円
2021-05百万円
2022-05百万円
2023-05百万円
2024-05百万円
2025-05百万円
資産の部
流動資産
現金及び預金18,32122,12621,21719,61117,42720,98828,06928,94237,13229,525
受取手形、売掛金及び契約資産------18,18118,35221,77922,144
有価証券150-50-50----99
商品及び製品23,23724,76425,82127,45530,24330,64232,53436,34543,08245,297
仕掛品2,0202,2732,7052,7262,3232,5544,2144,6046,1256,703
原材料及び貯蔵品2,1422,2972,4732,3582,2832,2408689771,1481,102
未成工事支出金---------85
その他2,2332,8953,4193,6104,2284,3875,7687,1367,8709,280
貸倒引当金-276-245-249-288-386-416-444-388-331-391
未成工事支出金135243105320268513716640-
受取手形及び売掛金14,48815,08515,22416,14115,89416,465----
繰延税金資産2,4122,5752,185-------
流動資産合計64,86472,01672,95471,93672,33376,91389,22996,137116,846113,848
固定資産
有形固定資産
建物及び構築物28,63829,39029,50631,73432,27333,07334,84437,08338,78639,060
減価償却累計額-18,677-19,392-19,682-19,775-20,228-21,073-22,150-22,679-23,436-23,456
建物及び構築物(純額)9,9619,9989,82411,95812,04412,00012,69414,40315,34915,604
機械装置及び運搬具11,71012,21912,26013,48213,56814,84216,81318,76221,64722,362
減価償却累計額-9,221-9,431-9,121-9,487-9,262-10,237-11,561-12,775-14,868-15,225
機械装置及び運搬具(純額)2,4892,7883,1383,9944,3064,6045,2515,9866,7787,136
土地14,45614,71514,02114,03113,60613,69713,99513,94914,42716,036
建設仮勘定6705442,9261,8196951,6472,1152,6475,3105,984
その他3,2233,3963,5873,8895,5976,2056,9728,75910,27610,451
減価償却累計額-2,496-2,690-2,798-2,877-3,405-3,917-4,523-5,377-6,276-6,449
その他(純額)7277057881,0112,1922,2872,4493,3823,9994,001
有形固定資産合計28,30528,75330,69932,81532,84534,23736,50640,36945,86548,763
無形固定資産6387101,3082,2032,8584,5914,4054,0284,8923,809
投資その他の資産
投資有価証券13,63313,84615,62413,14113,12914,84814,07716,26119,72018,464
長期貸付金50322833282521222729
退職給付に係る資産--------4019
繰延税金資産----1,3971,6652,1012,6153,8764,591
その他8597138251,0771,0698081,0931,2921,0971,495
貸倒引当金-106-102-72-64-60-13-12-12-11-24
繰延税金資産6141992441,281------
投資その他の資産合計15,05214,68916,64915,46915,56317,33417,28120,17925,11224,565
固定資産合計43,99544,15248,65850,48851,26856,16358,19364,57775,87077,137
資産合計108,859116,169121,612122,425123,601133,077147,423160,715192,717190,986
負債の部
流動負債
支払手形及び買掛金3,3055,4524,4504,7085,0064,8965,2085,3365,6666,930
短期借入金2,6762,9143,6363,1683,4411,8949379292,5592,281
未払法人税等9851,2137691,0951,0481,4472,4881,1554,761761
その他4,0024,9645,5845,9425,7376,4497,4718,0129,91810,063
流動負債合計10,97014,54514,44114,91315,23314,68816,10515,43422,90620,037
固定負債
長期借入金2,3561,2781,2611,9751,2678945535361,077587
繰延税金負債----9471,2561,1942,0923,3333,687
退職給付に係る負債3,0552,9582,3502,1232,0661,8191,5901,6079991,238
役員退職慰労引当金345390460138139444547103174
役員株式給付引当金----66101118151187216
その他8628037971,1762,0862,3742,3482,7653,5773,276
繰延税金負債2,3832,0992,6471,214------
固定負債合計9,0027,5307,5176,6286,5746,4905,8507,2009,2779,180
負債合計19,97222,07521,95821,54221,80821,17821,95622,63432,18429,217
純資産の部
株主資本
資本金13,50013,50013,50013,50013,50013,50013,50013,50013,50013,500
資本剰余金10,79310,79310,79410,90010,79310,79310,79310,79310,79310,793
利益剰余金66,98071,96876,47481,75584,93591,099101,225108,467121,965126,607
自己株式-4,477-4,481-4,489-6,077-4,485-4,487-5,393-5,386-7,213-7,366
株主資本合計86,79691,78096,278100,078104,744110,905120,125127,373139,045143,534
その他の包括利益累計額
その他有価証券評価差額金5,2345,3036,3704,7914,7445,8735,4157,2409,6168,748
為替換算調整勘定-2,842-2,823-2,938-3,931-7,520-4,876-1093,38711,0848,907
退職給付に係る調整累計額-443-327-225-235-367-240-301-322335115
その他の包括利益累計額合計1,9492,1523,206624-3,1437575,00410,30521,03517,771
非支配株主持分141160169180193235336401451462
純資産合計88,88694,09399,654100,883101,793111,898125,466138,080160,533161,768
負債純資産合計108,859116,169121,612122,425123,601133,077147,423160,715192,717190,986