佐藤渡辺

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

2016-03千円
2017-03千円
2018-03千円
2019-03千円
2020-03千円
2021-03千円
2022-03千円
2023-03千円
2024-03千円
2025-03千円
2026-03千円
資産の部
流動資産
現金預金4,945,6683,991,3872,918,2272,802,0543,846,7114,194,6695,999,7464,801,9717,622,9695,030,5096,394,125
受取手形・完成工事未収入金等13,493,17813,686,13414,971,55613,933,43813,313,55713,933,27812,212,82112,276,42212,144,68814,749,39410,288,816
未成工事支出金842,269739,110682,187788,276804,657768,962762,073718,861729,802852,622707,471
販売用不動産-------1,4871,4871,4871,487
その他の棚卸資産170,815171,159214,266181,952154,810180,128197,964218,759242,731212,873234,624
未収法人税等-------34,817-226-
その他319,045202,581148,301222,405296,516309,749142,464160,117200,043208,695205,839
貸倒引当金-7,421-14,841-15,401-9,078-5,990-5,087-5,368-5,325-4,634-5,986-24,120
未収消費税等-------45,529---
繰延税金資産314,836333,783166,741--------
流動資産合計20,078,39119,109,31519,085,87717,919,04918,410,26219,381,70019,309,70218,252,64120,937,08921,049,82317,808,244
固定資産
有形固定資産
建物・構築物7,511,6897,803,2838,023,2558,730,6858,821,2868,854,1178,962,0669,212,6589,048,9319,292,7929,262,893
機械、運搬具及び工具器具備品8,910,1578,941,8078,925,5158,691,2728,480,6448,350,0138,588,3669,175,7199,090,5199,222,8049,151,393
土地5,957,0895,949,3025,949,5135,961,9595,961,9795,961,9005,954,5305,961,4655,959,0275,958,4215,958,412
建設仮勘定142,85998,19717,2639,36422,96520,3519,9006,17486,10030222,550
その他111,734102,33894,714101,134185,705162,509149,938281,827293,784220,546217,237
減価償却累計額-12,751,021-13,200,601-13,203,277-13,181,685-13,332,989-13,502,531-13,684,372-14,609,120-14,682,381-14,883,121-15,104,467
有形固定資産合計9,882,5089,694,3279,806,98610,312,73110,139,5929,846,3609,980,42910,028,7259,795,9819,811,7469,508,019
無形固定資産
のれん-------191,907153,525115,14476,762
その他-------238,657193,534156,437111,448
無形固定資産合計-------430,564347,060271,581188,210
投資その他の資産
投資有価証券1,539,1521,610,1711,737,9271,948,6172,010,1962,160,2372,354,7522,687,7043,466,2993,895,1955,072,221
長期貸付金62,97951,11734,18927,83826,60327,75225,07725,66125,56823,59222,598
破産更生債権等64,81080,65761,91440,96054,44753,87149,89747,5919,37013,67873,254
繰延税金資産----806,035818,336817,271779,765429,642290,098-
その他66,48459,46161,63063,14758,18862,31255,69863,163129,62692,22070,164
貸倒引当金-64,244-69,512-57,055-36,950-37,537-44,540-43,002-39,004-8,255-15,678-70,048
繰延税金資産706,356659,636578,704798,611-------
投資その他の資産合計2,375,5382,391,5312,417,3102,842,2252,917,9343,077,9703,259,6953,564,8824,052,2524,299,1065,168,190
無形固定資産49,66138,55637,31940,46947,84772,56283,073----
固定資産合計12,307,70812,124,41512,261,61613,195,42713,105,37512,996,89313,323,19814,024,17214,195,29414,382,43414,864,421
資産合計32,386,09931,233,73131,347,49431,114,47631,515,63732,378,59332,632,90032,276,81335,132,38335,432,25832,672,666
負債の部
流動負債
支払手形・工事未払金等8,946,4548,411,5838,820,7988,340,1738,157,1198,009,4287,953,0247,262,2467,888,0125,997,3133,752,532
短期借入金3,110,0001,800,0001,800,0001,300,000800,000----2,800,000-
未払法人税等627,723538,459233,651506,637468,871768,160351,888255,895416,087115,421425,684
未払消費税等241,157171,7116,95887,613200,795430,24292,22614,267248,54537,384186,901
未成工事受入金518,893362,591558,256322,265854,824593,956529,151573,018792,527675,9061,659,748
賞与引当金381,200384,499328,006381,551340,307492,283494,013364,705382,874381,538392,412
完成工事補償引当金13,60931,19515,8357,62210,1087,4207,2476,7908,82415,81617,511
工事損失引当金89,90069,30035,00025,20017,80024,90018,90031,20021,00035,00027,300
設備関係電子記録債務--------10,82910,20018,800
その他463,141571,148647,200664,397536,113473,941432,725522,489783,406670,841509,254
1年内返済予定の長期借入金312,872398,980353,340150,136148,99673,99648,99648,99640,870--
設備関係支払手形460,35368,718155,498171,80686,31764,42794,87870,434---
独占禁止法関連損失引当金519,721337,081---------
関係会社整理損失引当金-----------
流動負債合計15,685,02613,145,26912,954,54411,957,40311,621,25110,938,75510,023,0509,150,04310,592,98010,739,4216,990,147
固定負債
退職給付に係る負債2,592,1272,433,5722,243,2742,230,8802,294,9872,228,8972,312,0072,553,4122,210,5372,061,0581,397,494
繰延税金負債----------191,860
再評価に係る繰延税金負債886,522886,522886,522886,522886,522886,522886,522886,522886,522912,597912,597
長期預り金156,000156,000156,000156,000156,000156,000156,000156,000156,000156,000156,000
その他52,28054,26162,57851,171111,72382,03457,988135,675145,716136,480104,080
長期借入金849,360865,330511,990361,854212,858138,86289,86640,870---
固定負債合計4,536,2904,395,6873,860,3653,686,4283,662,0913,492,3163,502,3853,772,4803,398,7763,266,1352,762,032
負債合計20,221,31717,540,95616,814,91015,643,83115,283,34314,431,07213,525,43612,922,52413,991,75714,005,5579,752,179
純資産の部
株主資本
資本金1,751,5001,751,5001,751,5001,751,5001,751,5001,751,5001,751,5001,751,5001,751,5001,751,5001,751,500
資本剰余金869,602869,602869,602869,602869,602869,602939,993935,625914,450919,701923,776
利益剰余金7,519,5209,090,9879,925,32110,999,66311,852,79213,505,88014,923,17715,005,35715,940,17416,116,29316,500,818
自己株式-4,784-5,129-5,444-5,444-5,444-156,244-455,766-424,180-249,435-229,157-207,384
株主資本合計10,135,83811,706,96012,540,98013,615,32114,468,45115,970,73917,158,90317,268,30318,356,68918,558,33818,968,710
その他の包括利益累計額
その他有価証券評価差額金203,558202,973251,814152,226129,917231,303252,049463,9961,042,3661,210,5191,907,212
土地再評価差額金1,698,0581,698,0581,698,0581,698,0581,698,0581,698,0581,698,0581,698,0581,698,0581,671,9841,671,984
退職給付に係る調整累計額88,51740,142-10,719-50,705-131,200-26,113-78,115-154,771-36,802-98,191270,117
為替換算調整勘定-----------
その他の包括利益累計額合計1,990,1351,941,1731,939,1541,799,5791,696,7751,903,2491,871,9922,007,2842,703,6222,784,3123,849,314
非支配株主持分38,80844,64052,44955,74367,06673,53276,56878,70280,31484,049102,460
純資産合計12,164,78213,692,77414,532,58315,470,64516,232,29417,947,52119,107,46419,354,28921,140,62621,426,70022,920,486
負債純資産合計32,386,09931,233,73131,347,49431,114,47631,515,63732,378,59332,632,90032,276,81335,132,38335,432,25832,672,666