SUMCO

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

2015-12百万円
2016-12百万円
2017-12百万円
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41,91339,06555,04057,90050,22082,968218,173250,505147,72287,181
受取手形、売掛金及び契約資産-------89,99182,85492,549
有価証券5,0006,50019,60021,00019,800-6,5008,8008,6318,490
商品及び製品16,15813,27213,28715,56217,03218,64518,03820,83925,57825,750
仕掛品13,22913,68916,45018,81217,93819,64221,76826,06326,43128,959
原材料及び貯蔵品134,224151,410152,875153,145149,446142,185134,987135,461166,387178,559
その他7,0356,1236,5318,4837,3867,2227,06011,95716,22813,665
貸倒引当金-11-10-10-12-10-9-11-13-11-12
受取手形及び売掛金41,00244,92752,85864,97957,41660,40575,590---
繰延税金資産266411766,549------
流動資産合計258,818275,019316,811346,421319,230331,061482,108543,605473,821435,143
固定資産
有形固定資産
建物及び構築物195,448195,671196,573199,913201,448203,908210,889220,346262,069311,090
減価償却累計額-112,647-117,702-123,013-127,597-130,607-135,465-142,099-148,587-155,444-165,467
建物及び構築物(純額)82,80077,96873,56072,31670,84168,44368,78971,759106,624145,623
機械装置及び運搬具726,191731,757743,934765,136802,288838,115903,528951,7961,056,0891,137,400
減価償却累計額-676,828-683,558-696,809-701,801-730,541-755,421-805,818-857,838-923,139-996,838
機械装置及び運搬具(純額)49,36248,19847,12563,33571,74682,69397,71093,957132,950140,561
土地20,28620,27220,26620,31420,31620,26120,18520,29823,88322,549
建設仮勘定5,0773,2559,24022,59732,16730,73237,399110,264284,061378,007
その他14,56714,56014,49614,26315,31215,33815,30518,20619,69922,851
減価償却累計額-13,510-13,485-13,474-13,189-13,601-13,416-12,888-14,115-15,225-17,244
その他(純額)1,0571,0751,0221,0731,7111,9212,4164,0914,4745,607
有形固定資産合計158,585150,771151,214179,636196,782204,052226,502300,371551,994692,350
無形固定資産
ソフトウエア2,7094,2414,7185,0175,6437,2457,0046,8436,6186,473
その他1,1866277271,3241,6899371,1781,2341,068859
のれん10,0638,4386,8125,1873,5621,936471157--
無形固定資産合計13,95913,30612,25811,52910,89410,1208,6558,2357,6877,333
投資その他の資産
投資有価証券81828210210210188882,0452,453
長期前渡金47,37044,03240,72838,15335,83533,51131,08228,52526,26622,262
長期前払費用3,6763,3543,3483,0862,6802,8612,6381,9542,2292,358
繰延税金資産-----10,46812,5008,3337,3479,303
退職給付に係る資産----648615612600589563
その他1,2411,2131,0341,0239859268841,1131,3861,215
貸倒引当金-385-378-286-284-282-275-252-272-282-299
繰延税金資産6,4945,8425,7148,58011,634-----
投資その他の資産合計58,47954,14550,62150,66251,60348,20947,55540,34339,58337,856
固定資産合計231,024218,224214,095241,828259,280262,381282,712348,950599,265737,540
資産合計489,842493,243530,906588,250578,511593,443764,821892,5551,073,0871,172,683
負債の部
流動負債
支払手形及び買掛金22,88427,76426,32127,93223,51125,61530,74338,03734,21332,028
短期借入金70,23555,84739,73133,10730,23438,18032,53430,43234,10741,628
リース債務1,2541,6651,3311,0225911928223192112
未払法人税等1,4511,0534,2736,4932,7533,3925,24420,61610,3065,316
賞与引当金1,2311,1541,8592,0431,6001,3082,7412,4872,5372,176
設備関係支払手形及び設備関係未払金------17,45122,35381,41749,095
その他8,78514,41011,32823,63912,31212,91814,99743,07741,85333,277
設備関係支払手形及び設備関係未払金5,7083,29610,58619,47715,96515,572----
流動負債合計111,550105,19195,432113,71686,97097,180103,793157,235204,529163,636
固定負債
長期借入金105,988116,637126,705118,598120,864111,383108,349110,617190,140312,043
リース債務2,8872,9351,626643336141101102114170
繰延税金負債-----2,6353,2484,44712,48810,234
再評価に係る繰延税金負債1,4131,3421,3421,3421,3421,3421,3421,3421,3421,342
株式報酬引当金--------167131
退職給付に係る負債20,05821,52321,18824,93924,49524,85124,22823,59724,57423,278
その他1,6041,5281,2229058679049143,7284,2034,610
繰延税金負債1,8001,2471,7652,5592,484-----
固定負債合計133,751145,215153,850148,988150,391141,259138,184143,836233,030351,810
負債合計245,301250,407249,282262,704237,361238,439241,978301,071437,559515,447
純資産の部
株主資本
資本金138,718138,718138,718138,718138,718138,718199,034199,034199,034199,034
資本剰余金23,38423,38426,96930,76330,76327,46385,28585,28585,28685,543
利益剰余金48,50250,69173,309117,812134,228151,559185,069234,319267,739277,812
自己株式-11-11-12-12-12-12-19-19-964-923
株主資本合計210,594212,783238,986287,282303,698317,729469,370518,620551,096561,467
その他の包括利益累計額
その他有価証券評価差額金0000000000
繰延ヘッジ損益0-2,484-1000-19610-1,170
土地再評価差額金2,8162,8862,8852,8852,8852,8852,8852,8852,8852,885
為替換算調整勘定1,7532361,089-1,227-1,639-3,2244,94111,79219,16628,988
退職給付に係る調整累計額-3,481-3,593-1,731-3,944-2,753-2,277-1,048-706-992-56
その他の包括利益累計額合計1,088-2,9542,242-2,285-1,507-2,6156,77814,93221,05930,647
非支配株主持分-33,00740,39440,54838,95839,88846,69457,93163,37165,121
少数株主持分32,857---------
純資産合計244,540242,836281,623325,545341,149355,003522,842591,484635,527657,236
負債純資産合計489,842493,243530,906588,250578,511593,443764,821892,5551,073,0871,172,683