第一カッター興業

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

2016-06千円
2017-06千円
2018-06千円
2019-06千円
2020-06千円
2021-06千円
2022-06千円
2023-06千円
2024-06千円
2025-06千円
資産の部
流動資産
現金及び預金3,628,9313,834,7085,322,4845,698,6916,348,2736,640,1237,769,4049,442,0939,483,5049,929,000
受取手形・完成工事未収入金2,017,8342,355,7782,630,7762,293,6822,538,4523,576,3453,963,3484,434,5224,428,9674,198,340
材料貯蔵品85,42190,583119,329149,938146,309150,619138,129134,872135,322134,955
その他111,015150,364109,239167,779179,528161,587161,765135,274145,832146,137
貸倒引当金-10,273-14,247-10,713-8,016-6,654-5,196-7,744-7,321-6,628-5,269
売掛金83,854154,797221,964187,227101,71169,568114,56394,400--
未成工事支出金198,797179,615208,302344,771279,695238,8261,3731,116--
商品73,68762,38138,16479,90942,80783,62251,05439,580--
繰延税金資産70,02948,69079,138-------
流動資産合計6,259,2986,862,6728,718,6858,913,9849,630,12410,915,49712,191,89414,274,53814,186,99814,403,164
固定資産
有形固定資産
建物及び構築物819,9761,052,7231,135,7401,256,0261,425,6772,341,6082,824,3082,914,1803,146,4973,148,101
減価償却累計額-296,261-302,025-343,115-337,050-404,889-456,071-627,326-691,258-781,556-913,169
建物及び構築物(純額)523,714750,698792,625918,9761,020,7881,885,5372,196,9822,222,9212,364,9412,234,932
機械装置及び運搬具2,514,2312,702,0602,968,8913,189,2693,844,0164,062,9474,453,0564,853,5655,325,3015,805,267
減価償却累計額-1,914,048-2,106,180-2,341,313-2,548,038-3,053,008-3,276,025-3,603,541-3,913,450-4,230,673-4,649,317
機械装置及び運搬具(純額)600,182595,880627,577641,230791,007786,922849,515940,1141,094,6271,155,949
工具、器具及び備品74,09890,87883,61591,072103,543121,123155,285148,544116,366138,743
減価償却累計額-59,238-64,091-61,252-67,609-77,486-86,285-105,792-106,398-84,202-94,808
工具、器具及び備品(純額)14,86026,78622,36323,46226,05634,83749,49242,14532,16443,935
土地1,649,1741,606,0191,657,8721,675,0042,106,2832,434,6452,461,9452,488,7352,453,4462,418,235
リース資産15,29826,54326,54345,479157,095127,290167,559191,186199,026240,797
減価償却累計額-4,895-9,267-14,075-20,180-92,754-69,896-70,852-84,384-87,496-100,556
リース資産(純額)10,40217,27612,46725,29964,34157,39396,707106,802111,529140,240
建設仮勘定1,10017,369-42,75255,36126,34429,788116,820-7,058
有形固定資産合計2,799,4343,014,0293,112,9063,326,7254,063,8385,225,6815,684,4315,917,5396,056,7086,000,351
無形固定資産
のれん55,27536,85018,425-349,878279,902295,965224,817153,67082,522
その他24,52424,862109,847104,035116,588108,97693,80469,01044,326124,940
無形固定資産合計79,80061,712128,272104,035466,466388,878389,769293,828197,996207,463
投資その他の資産
投資有価証券201,277222,503365,967504,479819,394895,810622,269614,782976,2891,314,110
繰延税金資産----256,197258,430215,801219,204219,37673,017
長期未収入金-----215,645215,645172,760172,7605,000
その他248,155291,324239,580249,967328,003335,545307,130249,292225,164255,430
貸倒引当金-4,068-7,357-2,650-2,580-30,483-243,765-218,569-176,086-176,666-10,901
繰延税金資産153,466152,197144,855208,386------
投資その他の資産合計598,831658,667747,752960,2521,373,1101,461,6661,142,2761,079,9531,416,9221,636,657
固定資産合計3,478,0663,734,4093,988,9324,391,0135,903,4167,076,2267,216,4777,291,3217,671,6287,844,471
資産合計9,737,36410,597,08212,707,61713,304,99815,533,54017,991,72319,408,37121,565,86021,858,62622,247,636
負債の部
流動負債
工事未払金441,367613,837558,039529,393553,553938,6931,014,3671,048,9921,022,409882,783
1年内返済予定の長期借入金34,24039,40818,5361,00026,54413,24910,62059,53834,53634,536
リース債務2,4334,7044,6046,90726,61020,78731,84633,38134,27442,617
未払法人税等385,554188,952515,021240,912502,150575,063346,455580,025461,47081,796
賞与引当金39,15839,88659,82952,06674,80467,10074,82276,31189,40596,819
その他675,793580,713865,072787,326970,7361,003,6161,054,2471,347,1951,118,1461,065,925
買掛金120,901153,446238,826189,51883,988137,87388,33684,639--
流動負債合計1,699,4481,620,9472,259,9291,807,1242,238,3872,756,3822,620,6943,230,0842,760,2422,204,477
固定負債
長期借入金84,38739,81111,275-9,790175,825177,605300,340191,807156,270
リース債務7,49813,5818,97719,19538,24936,69565,35674,20977,76898,052
役員退職慰労引当金188,083216,909246,925185,609236,709271,426265,165247,33548,76555,715
退職給付に係る負債356,468367,459357,850334,937340,798326,491353,864408,600402,511370,807
その他---1,812121,102103,63671,48571,44892,2094,159
資産除去債務4,8414,913--------
固定負債合計641,279642,676625,028541,555746,650914,075933,4761,101,934813,061685,004
負債合計2,340,7272,263,6232,884,9572,348,6792,985,0373,670,4573,554,1714,332,0183,573,3042,889,482
純資産の部
株主資本
資本金470,300470,300470,300470,300470,300470,300470,300470,300470,300470,300
資本剰余金462,044462,044462,044462,044462,044462,044462,044477,722475,095479,556
利益剰余金6,335,1887,256,7498,658,3099,765,86911,211,50712,811,51514,271,48415,896,93417,468,24518,359,448
自己株式-122,205-122,205-122,364-122,364-122,561-122,604-158,721-219,878-243,063-320,361
株主資本合計7,145,3268,066,8889,468,28810,575,84812,021,29013,621,25415,045,10616,625,07818,170,57718,988,944
その他の包括利益累計額
その他有価証券評価差額金----7,375-24,22113,764-8,4899,68718,223246,313
退職給付に係る調整累計額-13,690-24,159-23,776-19,815-17,781-5,651-13,788-15,759-24,844-5,156
その他の包括利益累計額合計-13,690-24,159-23,776-27,190-42,0028,113-22,277-6,071-6,621241,156
非支配株主持分265,000290,730378,148407,660569,215691,897831,370614,833121,365128,053
純資産合計7,396,6368,333,4589,822,65910,956,31812,548,50214,321,26515,854,20017,233,84118,285,32119,358,154
負債純資産合計9,737,36410,597,08212,707,61713,304,99815,533,54017,991,72319,408,37121,565,86021,858,62622,247,636