あじかん

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
2020-03千円
2021-03千円
2022-03千円
2023-03千円
2024-03千円
2025-03千円
2026-03百万円
資産の部
流動資産
現金及び預金1,456,9141,627,7861,465,9371,454,5061,909,3411,843,2581,831,6812,110,9942,176,5192,275,5862,336
受取手形------31,57734,18234,4308,143-
売掛金------5,410,9195,757,0087,174,5285,744,9825,784
商品及び製品2,174,6002,129,4252,112,7182,605,5832,407,4332,296,8982,486,1212,750,7853,069,6953,535,4793,096
仕掛品10,8516,47914,20331,27734,88034,96145,17750,09759,76764,92264
原材料及び貯蔵品973,173940,6521,071,2191,204,9351,331,7881,106,4951,434,4791,456,0091,691,6951,586,7271,709
前渡金12,65315,25918,1625,33711,67413,40329,0399,79410,64615,63122
前払費用74,22572,946104,158118,671112,40999,409136,715161,030141,519164,946261
その他21,562197,510232,248239,303253,332344,235464,732319,375479,096375,584535
貸倒引当金-43,387-11,746-24,901-12,772-20,662-15,214-23,161-17,895-20,916-8,549-7
受取手形及び売掛金4,781,6144,902,7366,567,3626,298,9804,905,0545,031,986-----
繰延税金資産138,086128,373147,665--------
流動資産合計9,600,29610,009,42411,708,77411,945,82410,945,25210,755,43511,847,28012,631,38214,816,98513,763,45413,803
固定資産
有形固定資産
建物及び構築物(純額)1,893,3771,883,0984,140,2184,025,9734,069,9473,921,0393,765,7303,613,0573,473,6483,374,7593,355
機械装置及び運搬具(純額)1,255,3151,471,2012,710,7742,643,9912,553,3412,194,3211,856,3211,768,5611,744,9881,919,8311,943
工具、器具及び備品(純額)263,934392,603517,329493,082541,112471,503396,973347,205392,119399,210391
土地3,371,1003,371,1003,362,4893,549,3593,789,9873,804,9173,807,2763,821,4603,962,9654,155,7534,155
リース資産(純額)75,94864,07789,52798,225117,716221,193305,596291,534211,888250,603172
建設仮勘定7,617904,25433,050234,4257,41430,90939,623170,65276,151121,69860
有形固定資産合計6,867,2938,086,33710,853,39011,045,05811,079,51910,643,88510,171,52010,012,4719,861,76210,221,85610,079
無形固定資産
ソフトウエア64,42842,91780,85999,722243,072358,104545,152555,373597,349614,608603
ソフトウエア仮勘定--------104,97573,14179
リース資産31,12324,18412,1227,07819,35160,80948,78932,29418,2328,3910
その他34,41930,33830,23327,2502,7802,7843,1803,3563,5093,8083
のれん----65,81949,36432,90916,454---
無形固定資産合計129,97197,440123,215134,052331,024471,063630,032607,478724,065699,950686
投資その他の資産
投資有価証券918,276934,6151,103,074894,131629,565687,613605,662646,601911,974961,6551,135
退職給付に係る資産----196,885282,689291,337317,224472,567417,324606
繰延税金資産----107,66782,229106,79464,343-10,28912
長期前払費用3,4973,1242,9387771,0317181,9041,8797382,3263
その他1,061,749884,351909,128833,294893,010899,278856,157869,296887,320847,966856
貸倒引当金-27,014-38,678-40,141-58,837-77,238-77,198-70,053-47,757-34,552-27,795-24
繰延税金資産3,250--98,880-------
投資その他の資産合計1,959,7591,783,4121,975,0001,768,2461,750,9211,875,3331,791,8021,851,5892,238,0472,211,7672,588
固定資産合計8,957,0249,967,19012,951,60612,947,35713,161,46512,990,28112,593,35512,471,53912,823,87613,133,57313,354
資産合計18,557,32119,976,61524,660,38124,893,18124,106,71823,745,71724,440,63625,102,92227,640,86126,897,02827,158
負債の部
流動負債
買掛金-------3,206,4203,024,2503,055,9542,911
短期借入金2,654,0002,489,0005,120,8565,048,8565,127,5523,838,2534,608,8604,468,5423,930,0001,760,0001,810
1年内返済予定の長期借入金--------477,560487,560507
リース債務59,94150,01145,50246,46358,41597,041123,917125,417113,299125,62377
未払金642,136924,6781,116,0481,054,705779,719845,205803,445827,384979,2401,152,907961
未払法人税等108,995478,406187,857268,035114,363221,751176,84930,433660,376359,624159
未払費用365,973393,810428,245443,131419,397443,639454,582464,393590,060535,708530
賞与引当金269,000284,000306,000297,000328,400352,000340,800329,100332,100327,879328
契約負債------127,80287,46362,35353,68551
その他310,395503,383180,275474,907210,147287,300113,638198,213397,600423,568205
ポイント引当金-----62,55038,247----
支払手形及び買掛金2,685,4602,791,7782,827,8092,795,8762,623,7112,755,0132,769,719----
役員賞与引当金31,48435,63651,65546,55141,29042,496-----
流動負債合計7,127,3857,950,70610,264,24910,475,5259,702,9988,945,2519,557,8639,737,36710,566,8428,282,5117,544
固定負債
長期借入金561,000442,0002,001,7161,707,8601,399,3051,141,052562,192803,650901,090838,530840
長期未払金--215,009125,704180,254130,25496,53196,53160,67260,67246
長期預り保証金----------20
リース債務78,46363,70178,02275,84995,375215,669269,210234,353146,217167,006119
退職給付に係る負債205,366113,78185,82536,952-14,32617,22817,84319,30519,89920
資産除去債務49,16752,95553,21253,45353,67053,86154,05354,07654,21354,30353
繰延税金負債----21,44715,6807,23519046,26583,828209
その他1,5001,5001,5001,5001,5001,5001,5001,5001,5001,5001
役員退職慰労引当金390,659253,219---------
繰延税金負債-21,36699,323--------
固定負債合計1,286,157948,5242,534,6102,001,3191,751,5511,572,3431,007,9501,208,1441,229,2631,225,7411,311
負債合計8,413,5438,899,23112,798,85912,476,84411,454,54910,517,59410,565,81310,945,51211,796,1069,508,2538,855
純資産の部
株主資本
資本金1,102,2501,102,2501,102,2501,102,2501,102,2501,102,2501,102,2501,102,2501,102,2501,102,2501,102
資本剰余金1,098,9901,098,9901,098,9901,098,9901,098,9901,098,9901,098,9901,098,9901,098,9901,098,9901,098
利益剰余金7,441,5398,451,2549,064,1439,870,06910,306,94810,793,10511,256,80511,410,60812,798,72114,157,39415,040
自己株式-64,300-64,361-64,426-64,426-64,426-64,426-64,426-64,426-64,426-64,426-250
株主資本合計9,578,47910,588,13311,200,95712,006,88312,443,76112,929,91913,393,61813,547,42114,935,53516,294,20816,991
その他の包括利益累計額
その他有価証券評価差額金285,171298,336411,681258,12383,611145,252117,198163,838350,829388,182508
繰延ヘッジ損益-20,05810,063--1,3505,73312,76919,697-10,8473,073-4,44223
為替換算調整勘定369,084222,190262,661152,679119,060140,181344,307456,996555,316710,825779
退職給付に係る調整累計額-68,898-41,339-13,779--------
その他の包括利益累計額合計565,298489,251660,563409,452208,406298,203481,203609,987909,2201,094,5661,311
純資産合計10,143,77711,077,38411,861,52112,416,33612,652,16813,228,12213,874,82214,157,40915,844,75517,388,77518,302
負債純資産合計18,557,32119,976,61524,660,38124,893,18124,106,71823,745,71724,440,63625,102,92227,640,86126,897,02827,158