暁飯島工業

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

2016-08千円
2017-08千円
2018-08千円
2019-08千円
2020-08千円
2021-08千円
2022-08千円
2023-08千円
2024-08千円
2025-08千円
資産の部
流動資産
現金預金2,383,0583,487,8844,240,4773,744,5874,399,9514,297,9744,710,5394,153,2435,042,8915,609,362
受取手形736,498673,055250,597223,047381,163171,38198,153107,80186,49813,100
電子記録債権351,56699,19393,167177,38189,556130,217212,422448,294242,059364,655
完成工事未収入金522,484874,237636,8831,004,182591,107774,6931,357,4281,145,557972,095863,836
有価証券----35,415---99,960100,430
未成工事支出金187,60991,295120,823180,01982,92783,36895,427125,604120,855144,324
前払費用2,7362,6273,1912,3332,1725,4983,5283,3383,0292,557
立替金--658,872125,90276,89655,94927,522135,761216,59390,649
その他125,902153,7104,73918,74239,79444228,59220,21250526,116
貸倒引当金-15,390-14,740-13,780-19,170-14,790-11,050-7,110-7,230-11,700-5,180
未収入金137,920----195,897--202,058-
未収消費税等--96,225---59,320151,064--
繰延税金資産37,77646,70434,267-------
流動資産合計4,470,1635,413,9696,125,4665,457,0285,684,1965,704,3736,585,8256,283,6476,974,8467,209,851
固定資産
有形固定資産
建物809,419815,280818,240818,240818,240818,240818,240815,677815,677815,280
減価償却累計額-627,016-640,425-651,397-661,776-671,506-680,868-689,791-697,949-706,170-713,384
建物(純額)182,402174,854166,843156,464146,734137,371128,448117,728109,507101,895
構築物56,502148,396130,675370,603371,848371,848371,848371,848371,848371,848
減価償却累計額-53,597-59,184-41,997-53,066-73,490-94,053-114,613-135,135-155,590-176,042
構築物(純額)2,90489,21188,677317,537298,358277,795257,235236,713216,258195,806
機械及び装置-168,171168,171459,225459,225459,225459,365727,877727,877727,877
減価償却累計額--18,190-35,888-62,945-109,706-150,950-187,334-228,412-308,652-375,160
機械及び装置(純額)-149,981132,283396,279349,518308,275272,031499,464419,224352,716
車両運搬具2,0382,0382,0382,0382,0382,0382,0382,0382,4042,210
減価償却累計額-2,038-2,038-2,038-2,038-2,038-2,038-2,038-2,038-2,252-1,935
車両運搬具(純額)00000000152275
工具器具・備品12,36918,51718,51719,23619,23620,44320,443102,830104,182104,856
減価償却累計額-10,194-12,641-14,683-13,590-15,618-17,386-18,921-24,284-40,938-50,686
工具器具・備品(純額)2,1755,8763,8345,6453,6173,0561,52178,54663,24354,170
土地1,855,7091,855,7091,868,1531,866,0651,866,0051,866,0051,866,0051,890,4071,890,4071,890,407
建設仮勘定449,630183,060239,840-------
有形固定資産合計2,492,8212,458,6922,499,6322,741,9922,664,2352,592,5042,525,2422,822,8602,698,7952,595,272
無形固定資産
ソフトウエア3,39712,21718,02918,10816,22711,28121,52116,63919,27434,760
電話加入権142142142142142142142142142142
ソフトウエア仮勘定-----9,103----
無形固定資産合計3,53912,35918,17118,25016,36920,52721,66316,78119,41634,902
投資その他の資産
投資有価証券302,475332,544301,893372,736331,473384,800298,866313,758529,218994,546
長期性預金---------100,000
出資金7,0357,0457,0357,0207,0207,0207,0207,0207,0207,020
長期前払費用-1,46599040,51435,09019,6116,35560,99432,9489,008
繰延税金資産----49,73934,22235,08434,70238,95511,807
その他39,74431,50425,96415,1148,8708,7039,0419,9788,9409,232
破産更生債権等18218271,16069,50069,50069,500----
貸倒引当金-30,562-24,682-86,420-73,840-69,640-69,500----
繰延税金資産---42,178------
投資その他の資産合計318,875348,059320,623473,224432,054454,357356,368426,454617,0831,131,614
固定資産合計2,815,2362,819,1112,838,4263,233,4673,112,6583,067,3892,903,2743,266,0963,335,2953,761,789
資産合計7,285,4008,233,0818,963,8928,690,4968,796,8548,771,7629,489,0999,549,74410,310,14110,971,640
負債の部
流動負債
支払手形1,052,8671,033,757632,265488,885585,831364,246308,4436,48311,00017,515
電子記録債務--596,691728,258748,468488,505635,059662,671609,152679,992
工事未払金582,217803,2261,102,4161,022,196418,855600,372970,924871,502849,312704,708
1年内返済予定の長期借入金173,600106,400189,680195,040271,532223,368128,364157,464126,633134,136
1年内償還予定の社債70,00075,00080,000100,000100,00080,000130,000110,00090,00080,000
未払配当金2,0881,1301,6001,7551,3031,1331,2931,3211,4071,448
未払費用26,23619,01324,48425,45828,20825,51519,48121,92048,99937,860
未払法人税等147,232203,46942,915161,595236,557169,59040,04569,158175,608279,372
未払消費税等10,569155,87718,26534,879102,51593,39522,16715,372228,34656,118
未成工事受入金581,966347,427497,306436,810227,148280,150252,257429,129646,741677,810
預り金27,800137,7978,24315,42110,0447,9508,0318,05124,78021,309
前受収益756798756764763748748748748748
完成工事補償引当金5,2303,8402,6307,1809,5009,0007,5404,9205,8002,580
賞与引当金74,270103,72082,36088,741110,070113,48094,18091,000121,970176,690
役員賞与引当金17,48023,40014,28011,06015,17016,50012,8108,51021,16027,730
その他1,1631,0756974826971,0151,1331,1431,0071,253
短期借入金955,000930,000680,00080,000------
流動負債合計3,728,4783,945,9323,974,5913,398,5312,866,6672,474,9722,632,4802,459,3952,962,6682,899,275
固定負債
社債155,000180,000190,000180,000170,00090,000350,000240,000150,00070,000
長期借入金116,440202,940622,520517,480540,768402,400365,677380,713254,080303,259
退職給付引当金72,84979,06287,28091,63895,942104,841114,107123,087130,351141,579
長期預り保証金1,2951,2951,2951,2951,2951,2951,2951,2951,2951,295
その他1,3808554904031,2811,5981,1901,0471,0542,001
繰延税金負債-6,137--------
固定負債合計346,964470,290901,586790,816809,287600,135832,270746,142536,780518,135
負債合計4,075,4434,416,2224,876,1774,189,3473,675,9543,075,1073,464,7503,205,5383,499,4493,417,410
純資産の部
株主資本
資本金1,408,6001,408,6001,408,6001,408,6001,408,6001,408,6001,408,6001,408,6001,408,6001,408,600
資本剰余金
資本準備金3,7053,7053,7053,7053,7053,7053,7053,7053,7053,705
その他資本剰余金---15,67722,33422,33422,33448,19248,19248,192
資本剰余金合計3,7053,7053,70519,38326,03926,03926,03951,89851,89851,898
利益剰余金
利益準備金26,56633,50442,42448,37157,43268,35581,26192,179103,379118,551
その他利益剰余金
別途積立金500,000800,0001,200,0001,400,0001,700,0002,000,0002,300,0002,400,0002,400,0002,400,000
繰越利益剰余金1,469,6271,735,1071,621,2601,844,1392,099,9912,347,3212,396,5152,489,9622,926,0983,555,905
利益剰余金合計1,996,1932,568,6122,863,6843,292,5103,857,4234,415,6764,777,7774,982,1415,429,4776,074,456
自己株式-178,012-178,070-178,070-152,397-189,069-189,197-189,197-143,744-161,234-161,405
株主資本合計3,230,4863,802,8464,097,9194,568,0955,102,9945,661,1186,023,2196,298,8956,728,7417,373,549
評価・換算差額等
その他有価証券評価差額金-20,53014,011-10,204-66,94717,90635,5361,12945,31081,951180,679
評価・換算差額等合計-20,53014,011-10,204-66,94717,90635,5361,12945,31081,951180,679
純資産合計3,209,9563,816,8584,087,7154,501,1485,120,9005,696,6556,024,3496,344,2056,810,6927,554,229
負債純資産合計7,285,4008,233,0818,963,8928,690,4968,796,8548,771,7629,489,0999,549,74410,310,14110,971,640