ダイショー

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
現金及び預金1,491,0721,427,8841,642,8551,7201,9852,6452,8312,1962,5262,5881,928
受取手形44,24851,15658,96917142216141072
売掛金2,423,2562,510,3243,054,8643,0252,7552,7642,9673,0563,9593,2683,588
商品及び製品647,478688,160748,8347497719579841,1341,2331,3311,450
原材料283,901319,556334,098326304346368421462446593
前払費用42,05340,68740,3754243454342404552
未収入金53,75038,83938,188521487042444498484
その他12,5879,33915,35920324613674
貸倒引当金-18,000-18,000-18,000-17-17-17-9-8-6-5-5
繰延税金資産164,815167,907176,765--------
流動資産合計5,145,1645,235,8556,092,3105,9386,0376,8397,2526,9168,2777,7888,099
固定資産
有形固定資産
建物4,995,5075,098,6985,129,9245,1565,2085,3015,4485,4485,4995,5398,545
減価償却累計額-2,707,713-2,851,650-2,987,394-3,114-3,217-3,324-3,439-3,548-3,664-3,785-3,994
建物(純額)2,287,7932,247,0482,142,5292,0421,9911,9772,0081,8991,8351,7544,551
構築物690,674690,674692,4746928779851,1661,1661,1681,1811,468
減価償却累計額-386,144-423,209-454,785-484-513-555-603-647-686-725-779
構築物(純額)304,529267,465237,688208363430562519482455688
機械及び装置2,755,3502,933,9413,016,0563,0443,4163,5623,9274,1354,2154,4316,317
減価償却累計額-1,752,040-1,988,641-2,183,809-2,360-2,519-2,740-2,955-3,134-3,335-3,444-3,851
機械及び装置(純額)1,003,310945,299832,2476838968229711,0008809862,466
車両運搬具13,46012,28117,8312223273033374662
減価償却累計額-11,796-9,618-13,468-17-19-22-25-28-32-37-46
車両運搬具(純額)1,6642,6624,362545545816
工具、器具及び備品165,330179,377186,039193200202211227235253289
減価償却累計額-123,690-136,071-145,094-157-166-172-181-192-190-202-219
工具、器具及び備品(純額)41,64043,30540,9453534292935455069
土地2,675,2622,675,2622,675,2622,6772,6772,6772,6872,8012,8012,8012,801
リース資産1,998,4711,881,7652,031,0742,0782,4951,3551,2841,4281,3641,2911,142
減価償却累計額-877,033-955,424-1,150,463-1,345-1,584-572-527-619-670-722-744
リース資産(純額)1,121,437926,341880,611732911783757808693568398
建設仮勘定13,401-6,48014051825-223,024-
有形固定資産合計7,449,0397,107,3856,820,1286,5246,8846,9087,0297,0686,7659,65210,991
無形固定資産
ソフトウエア-----735741259-
リース資産63,05340,88236,327199071513520776
その他2,1151,9343,31432288777
ソフトウエア仮勘定---535------
電話加入権1,5611,561---------
無形固定資産合計66,73044,37839,6422712914711785532483
投資その他の資産
投資有価証券152,733179,520201,191174214259248242281259280
長期前払費用11,5745,6171,849105112611811
繰延税金資産----540585623626635594610
敷金及び保証金262,283253,711262,324258255234231264224235222
その他126,689137,671153,979148141143149146156133140
貸倒引当金-1,600-1,100-1,3000-5-50-4-2-10
破産更生債権等1,5631,0041,24605------
繰延税金資産363,631385,916401,809587-------
投資その他の資産合計916,875962,3421,021,1001,1781,1571,2191,2651,2821,2961,2401,265
固定資産合計8,432,6458,114,1067,880,8717,7318,1718,2758,4128,4368,11510,91612,340
資産合計13,577,81013,349,96113,973,18113,66914,20915,11515,66415,35216,39318,70520,440
負債の部
流動負債
買掛金1,505,9591,527,6421,584,4471,5091,6181,7771,8472,0512,2352,1332,288
短期借入金300,000300,000300,000200------1,900
1年内返済予定の長期借入金225,000---16616642--320320
リース債務284,832283,744297,234298324211215233232222206
未払金977,469987,2011,169,4111,1521,1371,4861,8351,2751,4811,5671,227
未払費用117,745118,690120,711124133137134140134145153
未払法人税等126,513146,943189,560961073011977127749206
未払消費税等89,29169,744125,726142-30222613412-
預り金18,90020,38723,8022124374036273533
賞与引当金351,000356,000382,000396412437435445461463477
役員賞与引当金20,00019,00021,5001815212121231920
流動負債合計4,016,7123,829,3544,214,3943,9593,9384,6054,7914,3025,0084,9696,834
固定負債
長期借入金----20842---2,4402,120
リース債務993,932768,260708,292532788744694719580435339
退職給付引当金418,724431,122441,931425436464490521548551547
長期未払金-------704703495495
その他37,04038,06037,1543736353613141413
役員退職慰労引当金643,407708,112763,110778612648701----
固定負債合計2,093,1041,945,5541,950,4881,7732,0831,9351,9231,9591,8463,9363,515
負債合計6,109,8165,774,9096,164,8825,7336,0216,5406,7156,2626,8558,90510,350
純資産の部
株主資本
資本金870,826870,826870,826870870870870870870870870
資本剰余金
資本準備金379,666379,666379,666379379379379379379379379
資本剰余金合計379,666379,666379,666379379379379379379379379
利益剰余金
利益準備金90,38490,38490,3849090909090909090
その他利益剰余金
別途積立金5,850,0005,850,0005,950,0006,2506,3506,5506,9507,3507,4507,9508,150
繰越利益剰余金354,684448,234570,398423554713701439764548630
利益剰余金合計6,295,0696,388,6196,610,7836,7636,9947,3547,7427,8798,3048,5898,870
自己株式-114,363-114,416-114,416-114-114-114-114-114-114-114-114
株主資本合計7,431,1987,524,6957,746,8607,8998,1308,4908,8789,0159,4409,72510,006
評価・換算差額等
その他有価証券評価差額金36,79450,35661,4393657847075977483
評価・換算差額等合計36,79450,35661,4393657847075977483
純資産合計7,467,9937,575,0527,808,2997,9368,1888,5748,9499,0909,5389,79910,089
負債純資産合計13,577,81013,349,96113,973,18113,66914,20915,11515,66415,35216,39318,70520,440