清水建設

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

2016-03百万円
2017-03百万円
2018-03百万円
2019-03百万円
2020-03百万円
2021-03百万円
2022-03百万円
2023-03百万円
2024-03百万円
2025-03百万円
2026-03百万円
資産の部
流動資産
現金預金189,167172,803196,158150,978351,722214,321250,134372,780270,256294,162237,992
受取手形・完成工事未収入金等548,925449,049503,380641,061546,148484,445684,217837,373903,841832,043953,196
電子記録債権----------31,865
有価証券85,202143,000145,15079,0001,02062,00037,00014,00069,000144,000118,000
販売用不動産21,62039,47919,22824,7222,8363,1587,0971,99712,8819,1497,145
未成工事支出金84,51876,85177,77979,06977,94969,53830,74243,85842,98041,40540,342
開発事業支出金26,04129,61326,50220,57716,47217,14314,41925,33629,01531,87549,018
その他の棚卸資産57,98352,03347,96953,75047,88352,0862,9093,5304,0613,8194,494
その他81,37276,25689,27597,801102,651112,062124,711156,423140,520162,877171,428
貸倒引当金-976-861-867-1,060-775-1,157-1,147-1,403-1,877-2,275-1,478
繰延税金資産26,53920,86516,197--------
流動資産合計1,120,3951,059,0911,120,7761,145,9011,145,9081,013,5981,150,0851,453,8971,470,6801,517,0571,612,004
固定資産
有形固定資産
建物・構築物167,046169,974181,675184,009256,177295,399360,731371,184413,013415,184399,740
機械、運搬具及び工具器具備品58,67559,27062,83066,72173,10581,508136,172184,238194,889202,521221,015
土地132,083146,711157,173165,454207,472250,111298,667294,949289,275284,728322,378
建設仮勘定2,7194,3686,01434,53231,64544,93649,94131,0876,20613,17521,350
減価償却累計額-129,142-133,628-141,903-150,869-159,960-170,056-230,887-246,212-264,801-286,906-305,687
有形固定資産合計231,382246,696265,790299,847408,440501,899614,625635,247638,582628,702658,797
無形固定資産4,2744,5746,0817,94812,09119,14021,06921,46522,21534,04142,020
投資その他の資産
投資有価証券349,447359,902387,102387,746319,598355,679326,835312,968373,014299,507303,343
繰延税金資産----2,7302,4712,7229,18813,15422,4275,311
退職給付に係る資産---------8422,403
その他18,25018,56817,27018,76918,12117,82114,94817,11823,14223,15332,487
貸倒引当金-2,288-2,206-2,067-1,983-1,957-1,936-1,930-1,875-2,021-1,961-1,985
繰延税金資産1,4741,5711,3882,563-------
投資その他の資産合計366,884377,835403,693407,095338,493374,035342,576337,399407,290343,969341,559
固定資産合計602,541629,106675,565714,892759,025895,076978,271994,1121,068,0891,006,7141,042,378
資産合計1,722,9361,688,1971,796,3411,860,7941,904,9341,908,6742,128,3562,448,0102,538,7692,523,7712,654,382
負債の部
流動負債
支払手形・工事未払金等441,301390,395377,469354,466319,164280,980325,953424,343377,767399,883352,949
電子記録債務----------74,243
短期借入金125,120121,171130,381121,179112,774143,705130,609225,655242,147243,576237,383
1年内返済予定のノンリコース借入金9,4587,1976,4727,4326,9577,8518,7588,43030,95428,8153,619
1年内償還予定の社債25,00015,00010,00020,00010,00010,000--20,00030,00010,000
未払法人税等19,52021,28420,89731,60925,637-----45,493
未成工事受入金102,91693,530113,053145,533101,39099,340107,630152,680152,741165,457183,710
預り金-85,343113,278114,044124,325107,944109,336145,101-148,586183,527
完成工事補償引当金3,7993,0372,8873,2093,9323,3053,3534,1174,1794,1405,153
工事損失引当金22,95013,00811,3788,1756,07114,44154,11765,454125,791103,99964,536
その他116,66439,96625,69029,25046,40946,07444,67360,303234,81383,92379,658
コマーシャル・ペーパー----80,000-50,000----
1年内償還予定のノンリコース社債6686598798792,7641,26513,761----
1年内償還予定の転換社債型新株予約権付社債----30,016------
役員賞与引当金176273-267289------
独占禁止法関連損失引当金--2,0001,8201,820------
流動負債合計867,576790,868814,388837,868871,553714,908848,1951,086,0861,188,3961,208,3821,240,276
固定負債
社債65,00050,00060,00040,00060,000100,000110,000130,000125,000126,000156,000
ノンリコース社債16,78514,94014,06013,18023,23521,9698,208---450
長期借入金76,77264,60051,67349,52070,36071,32399,945134,781131,890132,362128,930
ノンリコース借入金43,54236,33534,72237,16145,20766,57373,85778,40353,19630,59731,028
繰延税金負債----9417,6257,2311,4962,2002,0273,520
再評価に係る繰延税金負債17,84717,73817,71117,65917,65917,64417,64417,49717,13517,01116,604
退職給付に係る負債68,15059,91557,38555,87357,29353,02955,89960,17738,74842,42421,552
その他13,82814,69917,79719,45923,11924,15232,20232,28934,14241,15654,843
転換社債型新株予約権付社債30,13630,10630,07630,046-------
繰延税金負債32,13132,11342,19624,781-------
関連事業損失引当金5,510----------
固定負債合計369,704320,449325,623287,683296,968372,319404,988454,646402,313391,579412,930
負債合計1,237,2811,111,3181,140,0111,125,5511,168,5211,087,2271,253,1841,540,7321,590,7091,599,9621,653,206
純資産の部
株主資本
資本金74,36574,36574,36574,36574,36574,36574,36574,36574,36574,36574,365
資本剰余金43,15543,11643,11643,11643,11643,11643,67843,69143,58643,58642,491
利益剰余金219,507306,128366,805443,802510,873563,628592,199625,324586,761612,186710,527
自己株式-1,571-1,592-1,606-1,609-21,613-21,615-43,282-41,299-27,506-36,903-43,821
株主資本合計335,457422,017482,680559,674606,741659,494666,959702,081677,206693,234783,563
その他の包括利益累計額
その他有価証券評価差額金131,849132,894149,282150,079104,898133,863132,308121,937164,048119,404129,657
繰延ヘッジ損益15-20-264-54-169236214198-17867-24
土地再評価差額金26,29326,04425,98425,86425,86425,83125,83125,49524,74622,86822,283
為替換算調整勘定756-638-937-1,955-1,985-3,556-8983,4015,85510,07711,378
退職給付に係る調整累計額-13,656-8,522-5,893-4,193-4,870-58180-55516,86114,42331,118
その他の包括利益累計額合計145,258149,756168,171169,741123,737155,794157,536150,477211,332166,842194,414
非支配株主持分4,9395,1055,4785,8265,9326,15750,67554,71859,52063,73223,198
純資産合計485,655576,879656,330735,242736,412821,446875,172907,277948,059923,8091,001,175
負債純資産合計1,722,9361,688,1971,796,3411,860,7941,904,9341,908,6742,128,3562,448,0102,538,7692,523,7712,654,382