工藤建設

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
現金預金1,868,3372,152,6042,116,0932,989,5511,898,4022,788,4101,741,6022,160,4744,417,7573,209,222
完成工事未収入金1,164,2381,142,817805,615371,0611,445,259731,3492,237,1452,749,0761,501,5953,319,432
不動産事業未収入金4,5583,1287,3525,4289,0976,16220,087103,75219,0538,929
介護事業未収入金--479,645677,630687,133721,536730,321835,332880,764844,683
未成工事支出金974,552653,171975,115507,456619,670393,59740,28864,63431,97236,006
不動産事業支出金320,369279,885282,868198,232398,232398,274398,27452,27336,47336,473
貯蔵品35,00335,72933,19242,18346,20138,94836,81034,83732,16637,510
短期貸付金154,8387,5007,5007,5007,8607,5007,5007,8247,9817,800
前払費用271,320266,134264,853294,363296,918303,331394,954392,597405,879334,757
立替金54,03247,615232,97359,036283,85455,10826,39424,69125,47522,147
その他17,44328,136102,6898,770202,48947,125126,39949,2189,0449,824
貸倒引当金-3,048-4,015-2,741-2,516-5,972-5,618-10,602-12,137-7,855-15,373
受取手形23,42310,4547,715--583----
繰延税金資産75,16593,79961,685-------
介護事業未収入金455,137428,535--------
販売用不動産33,000---------
流動資産合計5,448,3735,145,4965,374,5585,158,6995,889,1495,486,3075,749,1776,462,5777,360,3077,851,414
固定資産
有形固定資産
建物1,694,9421,704,8241,778,4601,823,9991,832,0201,845,7121,872,1471,867,4911,878,6872,141,931
減価償却累計額-953,726-998,574-1,044,877-1,082,287-1,127,956-1,174,335-1,221,613-1,265,750-1,308,635-1,410,969
建物(純額)741,216706,249733,583741,712704,064671,377650,533601,741570,052730,962
構築物65,79065,79083,216104,139101,346109,066109,644119,509119,509123,562
減価償却累計額-32,385-36,286-40,070-44,502-49,610-53,850-51,574-56,107-61,350-68,310
構築物(純額)33,40429,50343,14659,63651,73655,21558,06963,40258,15955,252
車両運搬具80,70689,93689,93692,28490,55493,24492,50084,70376,95284,524
減価償却累計額-74,350-78,523-83,657-84,318-86,972-87,326-83,602-78,326-74,370-80,250
車両運搬具(純額)6,35611,4126,2797,9653,5815,9188,8976,3762,5814,274
工具、器具及び備品327,313350,805355,445394,565416,316472,313527,317493,944522,675601,920
減価償却累計額-276,235-293,991-311,934-332,770-348,170-376,744-423,566-410,166-440,995-500,388
工具、器具及び備品(純額)51,07756,81343,51161,79568,14695,569103,75083,77881,680101,532
土地1,710,2411,740,8831,945,6801,945,6801,945,6801,945,6801,945,6801,945,6801,945,6802,800,073
リース資産---706,004706,004706,004730,823784,806784,806784,806
減価償却累計額----23,037-92,148-161,260-234,950-306,821-452,359-495,866
リース資産(純額)---682,966613,855544,743495,873477,984332,446288,939
有形固定資産合計2,542,2972,544,8622,772,2003,499,7563,387,0643,318,5043,262,8043,178,9632,990,6023,981,035
無形固定資産
ソフトウエア26,38319,36517,78931,53626,94238,92244,96849,98769,55459,406
その他28,85527,22725,59927,62926,00125,62424,64820,31411,40912,569
のれん---180,805142,061103,31764,573---
リース資産1,8731,338802267------
無形固定資産合計57,11247,93044,191240,239195,005167,864134,19070,30280,96371,976
投資その他の資産
投資有価証券288,748290,010185,368142,420127,567144,061170,643189,342289,480289,115
関係会社株式23,10023,1006,6006,6006,6006,6006,6006,6006,6003,300
長期貸付金193,813190,680187,479184,210185,778182,575179,088175,526171,886168,167
退職給付に係る資産---------181,278
長期前払費用50,10552,32146,50251,42643,83932,171186,503104,44647,93813,387
破産更生債権等2,2911,3781,5552,2992,0182,3522,4222,4471,6532,368
差入保証金3,239,6063,049,6583,133,9373,525,6153,740,0763,885,3114,007,1544,054,5874,138,9624,053,063
繰延税金資産----132,417124,605113,33785,80188,07083,621
その他37,22246,44860,07163,75178,90694,236146,876166,771170,945279,134
貸倒引当金-3,683-1,262-1,661-1,934-4,124-7,116-7,328-7,212-6,425-7,079
前払年金費用19,42442,81063,63485,005105,568122,715142,616165,076187,474-
株主、役員又は従業員に対する長期貸付金2,5981,258372-------
繰延税金資産23,6602,652-127,388------
会員権-30,428--------
会員権等30,428---------
投資その他の資産合計3,907,3163,729,4853,683,8614,186,7824,418,6484,587,5134,947,9144,943,3865,096,5865,066,357
固定資産合計6,506,7266,322,2786,500,2537,926,7788,000,7188,073,8828,344,9098,192,6528,168,1519,119,368
資産合計11,955,10011,467,77411,874,81213,085,47813,889,86713,560,18914,094,08614,655,22915,528,45916,970,783
負債の部
流動負債
工事未払金1,088,067945,628988,878767,1351,359,044973,0491,207,1381,215,5601,316,2251,629,632
不動産事業未払金47,94547,44250,64551,41754,65457,37056,79930,93330,44537,031
短期借入金300,000660,000850,000682,0001,410,000700,0001,530,0002,040,0001,630,0002,320,530
1年内返済予定の長期借入金1,514,166962,908779,088747,848667,221667,675566,162514,732495,948752,560
リース債務1,2171,2601,30565,06465,63966,95573,56367,45068,91869,832
未払金300,806351,094236,684321,246281,687332,798205,827253,177224,076231,938
未払法人税等309,967137,70551,322292,23276,736126,13528,098100,491149,563121,318
未払費用162,459161,972230,144258,592227,458238,761224,045237,256310,634330,692
未成工事受入金1,248,727833,9801,416,7011,250,816899,769711,878303,457353,7171,420,866335,320
預り金361,485379,942415,090487,382460,717468,256481,004522,136554,991655,968
完成工事補償引当金111,21195,50588,56265,75057,69555,18245,67351,30749,92557,220
賞与引当金32,59633,53029,70828,92533,90582,80796,177108,563128,80984,197
工事損失引当金--------12,1804,000
転貸損失引当金-22,02019,60415,86133,12628,66257,82024,30012,46411,360
その他230,226288,946143,996172,611336,142492,680374,448173,947161,620137,033
1年内償還予定の社債28,80032,80020,00040,00040,00030,00020,00020,000--
役員賞与引当金-----21,800--16,590-
厚生年金基金解散損失引当金-78,816--------
不動産事業受入金----------
流動負債合計5,737,6765,033,5535,321,7345,246,8846,003,7975,054,0115,270,2155,713,5736,583,2606,778,637
固定負債
長期借入金1,420,9841,391,8761,291,3051,252,807966,2871,299,5721,116,7291,111,9971,126,8971,987,807
役員退職慰労引当金---------6,000
リース債務3,2361,975670730,639664,999598,045547,247545,011476,093406,261
預り保証金---------2,187,421
長期預り金9,29811,36910,4359,5008,5667,6316,6975,7624,8289,206
資産除去債務20,55320,94321,34020,69120,20320,58623,76531,37931,84035,227
繰延税金負債---------50,688
転貸損失引当金-124,132117,731101,928171,015128,028112,56264,81122,2629,258
その他--1,0539618692,0181,5911,164848120,782
預り保証金-----2,015,5492,316,7902,476,2692,425,220-
社債12,80070,00050,000110,00070,00040,00020,000---
預り保証金1,430,9061,293,1321,215,8921,658,5471,837,660-----
繰延税金負債--21,565-------
厚生年金基金解散損失引当金78,816---------
固定負債合計2,976,5942,913,4292,729,9943,885,0753,739,6004,111,4314,145,3844,236,3974,087,9894,812,653
負債合計8,714,2707,946,9828,051,7289,131,9599,743,3989,165,4439,415,5999,949,97110,671,25011,591,291
純資産の部
株主資本
資本金867,500867,500867,500867,500867,500867,500867,500867,500867,500867,500
資本剰余金---------551,160
利益剰余金---------4,015,466
自己株式-88,136-88,297-88,437-496,318-496,387-496,735-171,994-172,050-172,076-163,651
資本剰余金
資本準備金549,500549,500549,500549,500549,500549,500549,500549,500549,500-
資本剰余金合計549,500549,500549,500549,500549,500549,500549,500549,500549,500-
利益剰余金
利益準備金149,062149,062149,062149,062149,062149,062149,062149,062149,062-
その他利益剰余金
繰越利益剰余金--2,308,2442,876,4913,081,1973,317,0343,264,4713,274,2253,355,943-
繰越利益剰余金1,742,0062,002,791--------
利益剰余金合計1,891,0692,151,8532,457,3063,025,5533,230,2593,466,0963,413,5333,423,2873,505,005-
株主資本合計3,219,9323,480,5563,785,8693,946,2344,150,8714,386,3604,658,5384,668,2364,749,9295,270,475
その他の包括利益累計額
その他有価証券評価差額金20,89740,23537,2147,283-4,4018,38519,94837,022107,279104,266
退職給付に係る調整累計額---------4,749
その他の包括利益累計額合計20,89740,23537,2147,283-4,4018,38519,94837,022107,279109,016
純資産合計3,240,8293,520,7923,823,0833,953,5184,146,4694,394,7464,678,4874,705,2584,857,2085,379,491
負債純資産合計11,955,10011,467,77411,874,81213,085,47813,889,86713,560,18914,094,08614,655,22915,528,45916,970,783