鹿島建設

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241,903374,093394,550322,658262,963307,633273,303285,780354,716354,486403,295
受取手形・完成工事未収入金等588,656609,701626,714701,965734,159602,162726,563899,620940,3041,061,5401,112,406
有価証券51112187422110325187383170193367
営業投資有価証券10,15610,15612,38812,38312,35512,31911,89711,62411,31111,39511,365
販売用不動産57,28258,03871,24068,13662,81778,21474,040144,714221,811280,787278,796
未成工事支出金85,03992,27354,07952,05063,54054,9389,4089,9558,35613,12920,350
開発事業支出金34,36432,61535,84546,94074,692103,505183,132268,097260,661248,058169,715
その他の棚卸資産14,39016,40917,89221,52318,18017,0944,6586,8553,7643,8738,899
その他117,06870,22381,81797,158121,30087,729109,478129,969123,559172,458186,754
貸倒引当金-1,572-1,654-853-841-855-980-1,957-5,416-6,666-8,794-10,425
繰延税金資産51,13342,67636,251--------
流動資産合計1,198,4731,304,6461,330,1131,322,3971,349,2641,262,9421,390,7111,751,5841,917,9882,137,1292,181,525
固定資産
有形固定資産
建物及び構築物(純額)148,253145,748134,904122,349117,412125,752158,111159,363203,926212,194236,985
機械、運搬具及び工具器具備品(純額)16,13616,72517,08916,94317,52615,96015,99016,84619,71524,40027,241
土地180,129187,051182,701178,077223,651232,311239,279274,026277,428291,683292,689
建設仮勘定3,0861,0773,52611,75326,16537,3889,11019,57028,53448,86248,662
その他(純額)3,1433,0412,7062,5756,2926,5425,0898,73310,57311,46011,732
有形固定資産合計350,749353,645340,929331,699391,049417,955427,581478,539540,177588,601617,311
無形固定資産7,3568,41810,54111,66111,54811,33014,89827,73326,64729,96831,032
投資その他の資産
投資有価証券270,301264,755294,485326,255309,623350,351355,871356,143442,493397,478478,697
長期貸付金23,39623,96449,13248,93850,01262,95369,01960,20098,765145,365138,929
退職給付に係る資産5745849506676421,5341,3111,5234,7145,4587,812
繰延税金資産----18,6358,03210,14413,3473,40716,9737,591
その他44,49145,55553,84549,23944,83652,91071,38083,509103,541135,667163,767
貸倒引当金-9,673-9,822-7,615-3,705-3,503-3,203-3,177-2,864-2,587-2,049-2,326
繰延税金資産1,1141,0751,8014,022-------
投資その他の資産合計330,202326,112392,599425,416420,246472,578504,550511,860650,334698,893794,471
固定資産合計688,308688,176744,069768,778822,843901,863947,0301,018,1331,217,1601,317,4621,442,815
資産合計1,886,7811,992,8222,074,1822,091,1752,172,1082,164,8062,337,7412,769,7183,135,1493,454,5923,624,341
負債の部
流動負債
支払手形・工事未払金等517,266517,834509,027530,420520,653445,589501,962603,867583,998631,710536,387
短期借入金84,89089,27089,357104,913151,459143,416174,731244,385324,318379,117387,157
コマーシャル・ペーパー80,00075,00061,00035,00045,000-40,00040,000-70,000-
1年内償還予定の社債20,00020,00030,000--10,000-3835,26714,80020,000
未払法人税等30,79830,02028,78617,66530,59727,62322,70125,27832,61122,57251,291
未成工事受入金155,468210,429187,647146,075162,087146,103124,112149,817203,326250,009224,527
開発事業等受入金--13,48913,83313,55312,1705,9187,60812,6506,5576,976
完成工事補償引当金5,2675,2025,13612,68012,82413,46512,08612,67811,76313,00815,561
工事損失引当金45,43213,78714,76712,85212,51514,11913,83614,74828,08925,09424,497
役員賞与引当金105144143111153142141154205240278
株式給付引当金--------1,5291,4801,767
その他130,755143,979164,311180,068176,565177,448212,176221,188272,239282,383336,315
独占禁止法関連損失引当金---8,702-------
開発事業等受入金12,72211,404---------
流動負債合計1,082,7081,117,0721,103,6671,062,3231,125,410990,0801,107,6681,319,7681,506,0001,696,9741,604,762
固定負債
社債60,00060,00040,00040,00050,00040,00050,00080,06744,80095,850105,850
長期借入金133,636128,656124,474118,78980,425123,61695,173173,293208,273232,246320,126
繰延税金負債----6059891,66225412,5348,81014,157
再評価に係る繰延税金負債21,81521,72620,71420,69419,85920,68920,68920,62720,60521,01120,969
退職給付に係る負債55,55156,06457,70560,19162,10062,57563,18462,09961,34357,50953,785
その他43,50639,01232,67629,08536,48240,84444,59251,25756,72964,20068,470
持分法適用に伴う負債1,2261,2261,2791,2051,2051,2051,2051,2051,205--
繰延税金負債14,28616,51023,8691,963-------
固定負債合計330,021323,197300,720271,928250,678289,919276,507388,804405,492479,628583,358
負債合計1,412,7301,440,2701,404,3871,334,2511,376,0881,280,0001,384,1751,708,5721,911,4932,176,6032,188,120
純資産の部
株主資本
資本金81,44781,44781,44781,44781,44781,44781,44781,44781,44781,44781,447
資本剰余金45,30445,30445,30443,26743,36743,27142,31341,99043,82143,46143,461
利益剰余金231,499319,834424,194507,094583,303654,128731,275813,653891,884970,2551,093,668
自己株式-6,307-6,505-6,567-6,641-16,420-26,172-45,921-55,673-67,510-95,976-114,510
株主資本合計351,943440,079544,378625,167691,697752,675809,114881,417949,642999,1871,104,065
その他の包括利益累計額
その他有価証券評価差額金82,58779,32997,468111,41784,212112,242105,356103,271159,758120,563161,895
繰延ヘッジ損益-724-409-223-371-239-659-730-305,1425,8306,953
土地再評価差額金20,19620,10818,66318,61819,43521,49821,49821,35721,30820,30520,214
為替換算調整勘定19,48510,9527,224249-1,400-10,35210,58844,81969,800105,597112,991
退職給付に係る調整累計額-2,193-1,527-1,491-1,802-1,918-565-1221,5954,4856,6438,894
その他の包括利益累計額合計119,351108,453121,642128,110100,089122,163136,590171,013260,496258,940310,949
非支配株主持分2,7564,0183,7743,6464,2339,9677,8618,71413,51619,86121,204
純資産合計474,051552,552669,795756,924796,020884,806953,5661,061,1451,223,6551,277,9881,436,220
負債純資産合計1,886,7811,992,8222,074,1822,091,1752,172,1082,164,8062,337,7412,769,7183,135,1493,454,5923,624,341