シダー

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
現金及び預金758,108680,814863,027811,7728708257961,0271,6371,4811,766
売掛金1,976,6032,159,1702,271,7522,333,0202,5632,5812,5842,7872,9112,9453,015
その他105,244216,404208,774212,466209242260200174172158
貸倒引当金-1,364-2,115-2,410-1,964-2-2-3-2-4-1-3
繰延税金資産67,40981,578122,076--------
流動資産合計2,906,0013,135,8513,463,2203,355,2933,6403,6473,6374,0134,7184,5984,937
固定資産
有形固定資産
建物及び構築物(純額)4,070,3454,677,4815,200,4944,932,8684,7945,2025,8026,7186,4456,4076,158
車両運搬具(純額)1,7073,9922,6346,752436661720
工具、器具及び備品(純額)131,962129,364118,779114,270109202157158153190281
土地2,016,2122,193,6762,204,4762,288,2822,1812,1792,3492,4072,5282,7782,795
リース資産(純額)3,866,1274,520,0034,345,4814,845,3264,5994,3244,1033,8603,4453,2273,014
建設仮勘定670,193566,073-68,761951,0791,330---10
有形固定資産合計10,756,54812,090,59211,871,86612,256,26211,78512,99213,75013,15212,58012,62112,280
無形固定資産
ソフトウエア75,33262,99049,70448,3544212012996684123
その他9,4418,5818,6278,305357911113124
のれん9,352----------
無形固定資産合計94,12671,57158,33256,65978128139107807348
投資その他の資産
繰延税金資産----98252310342368396373
長期前払費用161,096148,897157,635186,97218920023323224411296
敷金及び保証金2,091,9422,196,7622,170,1952,172,3572,2662,2392,2632,2092,1792,0901,906
その他280,663402,209331,554219,42812410313819716111581
貸倒引当金-5,364-2,632-88-2,435-2-5-7-2-2-4-4
繰延税金資産--82272,062-------
投資その他の資産合計2,528,3382,745,2362,660,1192,648,3852,6772,7912,9382,9792,9512,7112,454
固定資産合計13,379,01214,907,40114,590,31814,961,30714,54015,91216,82816,23915,61215,40514,783
資産合計16,285,01418,043,25218,053,53818,316,60118,18119,55920,46520,25220,33020,00319,721
負債の部
流動負債
買掛金184,351241,697227,170208,294205224255266263280300
短期借入金2,570,0003,320,0002,600,0002,765,0003,0054,1294,5383,5273,4103,7403,940
1年内返済予定の長期借入金711,041652,048731,256765,115737685751739823766756
リース債務105,624142,635157,229179,291187199203203210221222
未払金85,529126,946169,565175,994147196141273218162164
未払費用280,793305,361374,653393,663460419457472490484475
未払法人税等51,65056,850115,15087,8001871631460205150180
預り金36,30852,600124,744131,630806765721837262
前受収益209,067237,133243,624251,925271270286272271256250
賞与引当金163,381182,521195,062211,603230238245246252262268
その他27,41113,73529,81756,111543466731016849
流動負債合計4,425,1585,331,5294,968,2755,226,4305,5686,6297,0266,2086,4306,4666,670
固定負債
長期借入金5,218,9525,112,0035,354,2034,828,4664,2234,2685,0526,0725,8915,0834,648
リース債務4,497,6045,417,8565,299,7395,838,1375,6505,4755,2975,0944,8834,6614,232
退職給付に係る負債301,404333,360377,061425,440469523579618687759748
株式給付引当金------37101419
資産除去債務--99,900101,405102152241325328575584
その他694,321841,562824,878816,1128988981,1021,0281,004945857
繰延税金負債22,14620,02718,498--------
資産除去債務96,98798,419---------
固定負債合計10,831,41511,823,22711,974,28112,009,56111,34511,31812,27713,14612,80612,04011,089
負債合計15,256,57317,154,75716,942,55617,235,99116,91317,94819,30319,35419,23618,50717,760
純資産の部
株主資本
資本金432,280432,280432,280432,280432432432432432432432
資本剰余金308,030308,030308,030308,030308307307307307307314
利益剰余金286,290148,302372,305342,8145298714822054098081,217
自己株式-16-16-33-3300-59-59-59-59-59
株主資本合計1,026,584888,5961,112,5821,083,0911,2691,6111,1628861,0891,4881,904
その他の包括利益累計額
退職給付に係る調整累計額1,856-100-1,600-2,481-1-2-54-4-356
その他の包括利益累計額合計1,856-100-1,600-2,481-1-2-54-4-356
非支配株主持分-----147911-
純資産合計1,028,440888,4951,110,9811,080,6091,2681,6101,1618981,0941,4961,960
負債純資産合計16,285,01418,043,25218,053,53818,316,60118,18119,55920,46520,25220,33020,00319,721