日本電設工業

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

2016-03百万円
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15,56516,16517,35711,2207,4286,4575,5887,14610,41514,97912,356
受取手形・完成工事未収入金等81,86180,39584,78490,11094,37781,718106,167102,739119,952135,948150,176
電子記録債権-2,4263,5971,0861,5672,3029021,075482852748
有価証券15,69918,50019,40028,80027,90136,30039,69935,19925,79912,18721,986
未成工事支出金等22,61126,15527,08730,08235,98136,3696,0714,7314,6404,5174,494
その他3,5311,8851,4503,0202,9564,6364,2325,5315,8829,32612,761
貸倒引当金-5-2-2----5-5-11-9-9
繰延税金資産2,5682,6222,620--------
流動資産合計141,832148,148156,296164,320170,212167,783162,657156,419167,161177,804202,513
固定資産
有形固定資産
建物・構築物36,69637,99839,28040,33642,73846,11347,02346,82947,28751,23751,872
機械、運搬具及び工具器具備品10,60611,38913,34513,99615,14817,21717,74918,71819,43920,00020,876
土地13,96014,43214,35815,11716,36217,40217,21827,29629,19729,20130,141
建設仮勘定3023954051,2991,406353595288228501,813
その他1,7691,7541,8121,9682,2182,4872,2112,0302,1201,9742,182
減価償却累計額-26,868-27,917-29,394-31,821-33,659-35,812-37,099-38,484-40,490-41,672-44,062
有形固定資産合計36,46738,05239,80940,89744,21547,76147,16356,91958,37861,59262,823
無形固定資産4,5284,1233,4663,0852,6702,6904,8816,5237,0856,2545,020
投資その他の資産
投資有価証券33,21634,85540,17440,29636,17640,64236,75135,30942,37541,31851,853
退職給付に係る資産6238971,2961,7401,6223,5603,0923,0294,2635,4937,087
繰延税金資産----3,0182,4562,4782,3562,5173,0493,140
その他5805854975308507676798148218781,356
貸倒引当金-25-22-11-5-5-4-4-2-6-1-1
繰延税金資産8611,1111,3042,082-------
投資その他の資産合計35,25637,42743,26044,64441,66347,42142,99741,50849,97150,73763,436
固定資産合計76,25179,60386,53688,62688,54997,87395,042104,951115,435118,584131,280
資産合計218,084227,751242,832252,947258,762265,657257,700261,371282,597296,388333,793
負債の部
流動負債
工事未払金等----------37,548
電子記録債務-9,25911,15711,93212,06812,41511,06110,36611,8086,7189,024
短期借入金4004004001001001001001001004,10012,200
未払法人税等4,3894,6414,7135,1165,9764,4542,8123,1745,8107,0349,097
未成工事受入金3,2065,7203,9504,8283,6283,1902,1141,6461,2723,9632,738
完成工事補償引当金3734301628226318866625194
工事損失引当金6999076188458367677374661,012514123
賞与引当金5,3395,3285,6256,0086,6766,4336,2516,1776,9358,6079,422
役員賞与引当金7483909810096838187104107
その他5,3274,5575,8356,2145,5276,7325,9845,9146,9206,4986,867
支払手形・工事未払金等45,24933,61632,89633,66838,13133,86931,22930,27434,96235,564-
流動負債合計64,72564,54865,31868,82873,32968,32360,56358,26768,97173,15787,225
固定負債
役員退職慰労引当金221105123145881001018490105117
繰延税金負債----3601,2815055352,5102,7115,831
退職給付に係る負債13,09613,50013,87614,2979,90810,19110,00110,96410,6529,3268,144
株式給付引当金---------157367
その他1,2531,1851,1281,0621,3151,3961,3361,2851,2571,2791,381
繰延税金負債2,2152,7003,9041,585-------
固定負債合計16,78617,49019,03317,09011,67312,96911,94412,86814,51113,58115,842
負債合計81,51282,03984,35285,91985,00381,29372,50771,13683,48286,739103,067
純資産の部
株主資本
資本金8,4948,4948,4948,4948,4948,4948,4948,4948,4948,4948,494
資本剰余金7,7927,7927,7927,7927,7927,7927,7927,7927,7927,5957,780
利益剰余金103,242110,831118,218126,070135,192142,462145,409150,674158,440168,859181,303
自己株式-1,789-1,790-24-24-25-25-26-26-5,241-5,689-6,329
株主資本合計117,739125,327134,480142,332151,453158,723161,669166,934169,485179,259191,248
その他の包括利益累計額
その他有価証券評価差額金10,45210,97513,41713,24110,26011,5689,2989,45313,97912,72019,359
退職給付に係る調整累計額-944-585-179-132-3271,2481,4008452,3283,7365,139
その他の包括利益累計額合計9,50810,39013,23713,1099,93312,81610,69810,29916,30716,45724,499
非支配株主持分9,3249,99310,76211,58512,37212,82312,82313,00013,32113,93314,978
純資産合計136,572145,712158,480167,027173,758184,363185,192190,234199,115209,649230,726
負債純資産合計218,084227,751242,832252,947258,762265,657257,700261,371282,597296,388333,793