日清紡HDs

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

2016-03百万円
2017-03百万円
2018-03百万円
2018-12百万円
2019-12百万円
2020-12百万円
2021-12百万円
2022-12百万円
2023-12百万円
2024-12百万円
資産の部
流動資産
現金及び預金45,92147,69143,04642,43437,55050,54744,94045,17252,50250,411
受取手形、売掛金及び契約資産-------102,978114,613129,992
電子記録債権9,16214,01115,80215,40416,40814,77115,45116,11516,30316,140
商品及び製品37,74534,19134,95436,65041,81145,14046,31656,30458,39053,277
仕掛品36,78144,55846,88958,79656,83049,17247,54155,52266,70064,181
原材料及び貯蔵品20,66621,01923,52423,54423,20522,03228,98337,57544,81345,369
その他9,77612,64411,31415,27013,10910,76314,72312,14814,15812,846
貸倒引当金-831-578-783-417-588-622-719-779-961-1,102
受取手形及び売掛金137,956135,261136,348106,403111,601100,453106,915---
繰延税金資産7,2156,0004,878-------
流動資産合計304,395314,800315,974298,087299,929292,258304,152325,036366,519371,117
固定資産
有形固定資産
建物及び構築物(純額)69,08873,17968,35867,84259,12060,24760,16260,35659,12661,374
機械装置及び運搬具(純額)55,09351,79655,09058,93356,25952,10255,48158,31750,09649,375
土地47,67939,21537,81136,89035,15834,29734,36433,81732,51439,351
建設仮勘定7,3459,12912,6499,9098,2546,8036,7086,6298,56113,409
その他(純額)9,83610,29710,7489,97916,07015,47416,03218,98115,38014,980
リース資産(純額)2,7241,8661,3581,134------
有形固定資産合計191,768185,484186,017184,689174,863168,924172,748178,103165,679178,491
無形固定資産
のれん14,6078,0778,9457,1305,1014,5953,3041,2574,4731,587
その他16,02912,59310,2617,9937,1029,11311,22512,61811,57311,624
無形固定資産合計30,63620,67019,20615,12412,20313,70914,52913,87616,04613,211
投資その他の資産
投資有価証券97,880100,514108,11195,287104,21479,21874,45660,49168,56669,917
長期貸付金1,0811,0129942,1271911733452173,1521,587
退職給付に係る資産2,6742,8544,9386,8589,09710,00314,5609,58016,17622,138
繰延税金資産-----4,5859,98413,17017,3702,855
その他12,61912,73313,76415,13113,25113,78715,56916,66420,85020,996
貸倒引当金-1,422-1,527-1,411-1,085-1,473-1,456-1,547-866-2,145-359
繰延税金資産12,1619,7446,6316,1595,249-----
投資その他の資産合計124,993125,332133,028124,479130,531106,311113,36899,257123,971117,137
固定資産合計347,398331,487338,252324,293317,597288,945300,646291,237305,697308,839
資産合計651,793646,288654,227622,381617,527581,204604,799616,273672,217679,956
負債の部
流動負債
支払手形及び買掛金62,69059,97455,52644,04841,75339,63644,60646,88040,54938,274
電子記録債務9,50012,45716,41920,26019,63518,80121,28923,12126,68622,443
短期借入金55,39748,97746,31265,39146,54835,24741,05459,34483,89247,311
コマーシャル・ペーパー30,00030,00030,00030,00030,00030,00030,00030,00030,00030,000
1年内返済予定の長期借入金14,6797,7707,6768,05739,81827,9906,35646,17913,3959,714
未払法人税等5,3493,0305,7773,0884,0926,3163,4323,3192,3772,736
製品保証引当金1141,0161,0881,2051,0961,1752,3421,3211,2331,140
賞与引当金---3,8353,1203,0932,1452,3061,8493,301
役員賞与引当金28134525817218920928824366103
工事損失引当金48597664247546517384921,170
偶発損失引当金5752,6061,1281,348925348396417437475
その他39,35837,93843,62939,69342,76339,57146,38545,63146,82642,210
事業構造改善引当金----1,0173881,973749--
環境対策引当金------94---
その他の引当金--279134657---
海外訴訟損失引当金--219100------
リース債務1,336890568502------
繰延税金負債0190106-------
事業整理損失引当金----------
流動負債合計219,770206,174209,055218,089231,023202,852200,391259,554247,806198,881
固定負債
長期借入金48,75769,29464,10758,74247,68657,09153,97210,85488,749130,160
繰延税金負債-----12,13611,0019,99010,1647,788
退職給付に係る負債47,08549,18048,03150,26951,77352,77051,96642,37738,65438,168
資産除去債務942842815816839818715771830808
その他11,62410,79410,3858,91812,06011,35211,42712,8239,4336,700
事業構造改善引当金1,9871,5331,5651,5621,1711,4952,216967--
海外訴訟損失引当金1,019395378577540424394437--
役員退職慰労引当金941012222333417---
環境対策引当金3752941,0711,0589391015---
その他の引当金--5146495958---
繰延税金負債34,27430,74127,40916,82518,874-----
リース債務1,3881,181898602------
固定負債合計147,551164,360154,737139,442133,968136,284131,77578,221147,831183,625
負債合計367,321370,535363,793357,531364,992339,136332,167337,775395,638382,507
純資産の部
株主資本
資本金27,58727,58727,58727,60927,63927,66927,69827,73727,77427,807
資本剰余金17,59817,58726,71920,39620,42120,45019,88218,87818,91518,948
利益剰余金168,824167,598189,186177,545165,548174,097193,920196,754171,211175,832
自己株式-23,156-23,089-24,610-11,035-15,947-15,950-15,952-13,240-13,236-13,237
株主資本合計190,855189,683218,882214,516197,662206,266225,548230,129204,665209,349
その他の包括利益累計額
その他有価証券評価差額金36,21937,31042,96433,99239,57025,78225,81316,70223,92325,436
繰延ヘッジ損益-553-18-97-23-25-62-1431
為替換算調整勘定11,8867,71410,3605,2733,810-1,1576,01313,52918,21528,145
退職給付に係る調整累計額-5,216-5,276-3,418-4,067-2,915-2,0161,6803,4513,8086,488
その他の包括利益累計額合計42,83339,75149,88835,10040,44122,60533,51133,61945,93260,103
新株予約権1681621511601671501247038-
非支配株主持分50,61346,15521,51015,07114,26313,04513,44614,67825,94227,996
純資産合計284,471275,753290,434264,849252,535242,067272,631278,498276,578297,449
負債純資産合計651,793646,288654,227622,381617,527581,204604,799616,273672,217679,956