大森屋

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

2016-09千円
2017-09千円
2018-09千円
2019-09千円
2020-09千円
2021-09千円
2022-09千円
2023-09千円
2024-09千円
2025-09千円
資産の部
流動資産
現金及び預金1,709,156868,3362,686,2421,556,799779,7821,798,3563,182,7602,020,4201,087,1661,380,097
売掛金---------3,072,134
棚卸資産4,824,1045,681,4115,371,4615,502,6396,379,0225,880,4515,471,2406,286,6088,118,85612,592,789
その他16,41443,72915,11991,810162,73241,05185,591242,398204,583682,488
受取手形及び売掛金2,823,3233,025,1153,282,4442,907,7672,815,1622,871,6662,912,4303,108,1193,002,119-
繰延税金資産34,91748,85658,946-------
流動資産合計9,407,9159,667,44911,414,21410,059,01610,136,70010,591,52411,652,02311,657,54612,412,72617,727,510
固定資産
有形固定資産
建物及び構築物2,289,7782,222,9752,771,5202,811,9132,781,5803,193,9813,067,0943,081,0443,249,1875,779,930
減価償却累計額-1,828,996-1,793,335-1,826,163-1,881,661-1,869,131-1,792,718-1,730,000-1,801,400-1,868,365-1,950,753
建物及び構築物(純額)460,782429,640945,356930,252912,4481,401,2621,337,0941,279,6431,380,8213,829,176
機械装置及び運搬具1,787,7151,905,1222,448,4952,504,8902,520,8842,563,6222,572,8282,693,2512,706,6882,797,632
減価償却累計額-1,568,687-1,618,698-1,693,423-1,855,152-1,871,270-1,993,307-2,113,596-2,203,652-2,261,353-2,338,150
機械装置及び運搬具(純額)219,027286,423755,072649,738649,613570,314459,231489,599445,335459,481
土地1,509,1111,509,111721,179721,179721,179721,179696,871696,871696,871696,871
建設仮勘定-3,000-6,90789,967-3,85028,35049,35040,127
その他252,863255,179264,979110,949111,075122,282109,48593,09295,790128,467
減価償却累計額-239,216-245,142-246,733-97,198-101,059-102,757-88,177-78,115-84,820-90,131
その他(純額)13,64710,03618,24613,75010,01619,52521,30714,97710,96938,335
有形固定資産合計2,202,5692,238,2122,439,8542,321,8282,383,2252,712,2812,518,3552,509,4422,583,3485,063,993
無形固定資産35,58826,16415,85226,90435,64638,49233,75728,38146,42083,446
投資その他の資産
投資有価証券391,706455,900434,277360,867380,589434,979403,732543,731566,665577,581
繰延税金資産----113,592120,152136,58364,46065,27359,816
その他52,63052,50037,57336,71834,72232,49136,08236,59534,28646,778
貸倒引当金-11,000-11,000-2,300-2,500-2,500-2,500-2,500-2,500-2,500-2,500
繰延税金資産74,77333,09783,434104,891------
投資その他の資産合計508,110530,497552,985499,978526,404585,123573,897642,288663,725681,676
固定資産合計2,746,2682,794,8743,008,6922,848,7112,945,2773,335,8973,126,0103,180,1123,293,4945,829,116
資産合計12,154,18412,462,32414,422,90612,907,72713,081,97713,927,42114,778,03314,837,65815,706,22123,556,626
負債の部
流動負債
支払手形及び買掛金822,6951,211,4041,409,753729,240767,658796,281877,5781,277,515901,364728,550
短期借入金--60,50072,60072,600112,596109,26355,4291,200,0006,700,000
1年内返済予定の長期借入金--------39,996226,662
未払金814,679839,1821,214,442910,653914,7881,085,065475,938316,094311,0091,283,978
返金負債------707,598714,784660,568674,035
未払法人税等71,00055,000286,47910,045103,000140,100252,50013,19353,20013,856
賞与引当金81,10882,01191,40886,32786,82698,115108,90092,46998,227100,639
前受金------475112326111
その他139,66757,642270,093137,090115,845103,793184,689127,667138,380101,578
流動負債合計1,929,1512,245,2413,332,6771,945,9572,060,7202,335,9512,716,9432,597,2663,403,0739,829,413
固定負債
長期借入金--302,500229,900157,300434,705325,442270,013230,0171,803,354
長期未払金---44,04544,04544,04540,40839,59539,59539,595
退職給付に係る負債357,316342,583325,676344,389358,137419,395416,543382,918375,296355,975
役員退職慰労引当金224,850162,695203,854-------
その他----------
固定負債合計582,166505,279832,031618,335559,483898,146782,394692,527644,9082,198,925
負債合計2,511,3172,750,5204,164,7082,564,2932,620,2033,234,0983,499,3373,289,7944,047,98212,028,339
純資産の部
株主資本
資本金814,340814,340814,340814,340814,340814,340814,340814,340814,340814,340
資本剰余金1,043,8711,043,8711,043,8711,043,8711,043,8711,043,8711,043,8711,043,8711,043,8711,043,871
利益剰余金7,711,5187,725,7498,281,6938,437,8338,545,5438,801,0279,406,5999,550,4779,654,9949,506,268
自己株式-25,070-25,070-25,774-25,774-25,790-57,125-57,125-57,125-88,445-107,958
株主資本合計9,544,6599,558,89010,114,13010,270,27010,377,96510,602,11311,207,68511,351,56311,424,76111,256,522
その他の包括利益累計額
その他有価証券評価差額金130,453164,502151,83095,707104,570145,357118,850211,208229,901238,709
為替換算調整勘定6,2499,9509,7777,6019,1897,2574,4274,1483,0083,275
退職給付に係る調整累計額-38,495-21,539-17,540-30,145-29,950-61,405-52,267-19,05656729,780
その他の包括利益累計額合計98,207152,912144,06673,16383,80891,20971,010196,300233,477271,764
純資産合計9,642,8669,711,80310,258,19710,343,43410,461,77310,693,32311,278,69511,547,86411,658,23811,528,287
負債純資産合計12,154,18412,462,32414,422,90612,907,72713,081,97713,927,42114,778,03314,837,65815,706,22123,556,626