山王

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

2016-07千円
2017-07千円
2018-07千円
2019-07千円
2020-07千円
2021-07千円
2022-07千円
2023-07千円
2024-07千円
2025-07千円
資産の部
流動資産
現金及び預金2,810,9742,560,0662,838,6002,898,7082,684,2953,051,3742,864,0483,387,0073,901,0783,610,800
受取手形------558,485356,482439,178533,002
売掛金------2,265,1531,606,5251,742,0612,001,558
製品87,22296,225116,209110,131144,78188,689180,022185,459179,830216,052
原材料及び貯蔵品1,074,0181,261,0081,299,9661,358,3191,673,3211,406,8881,557,2971,759,7561,790,7532,114,164
その他125,205137,881203,279205,761208,746254,445631,892285,601186,006121,564
貸倒引当金-250-250-250-250-250-250-250---420
受取手形及び売掛金1,911,5682,114,8792,365,3651,670,9002,377,3802,445,169----
流動資産合計6,008,7396,169,8126,823,1716,243,5727,088,2767,246,3178,056,6517,580,8338,238,9088,596,722
固定資産
有形固定資産
建物及び構築物(純額)135,567126,586143,049156,787156,963162,949270,323401,993429,819474,465
機械装置及び運搬具(純額)65,138285,908404,798459,1591,033,007859,525881,734781,427601,748874,344
土地1,238,4721,238,4721,289,9721,226,4101,226,4101,226,4101,226,4101,226,4101,226,4101,226,410
リース資産(純額)132,32576,567180,071150,108114,13383,340346,326267,935212,981195,850
建設仮勘定172,143135,82730,432273,68351,433349,57478,784546,597539,974572,989
その他(純額)103,464133,288161,935180,487211,411149,504140,888152,736137,566139,624
有形固定資産合計1,847,1121,996,6492,210,2592,446,6372,793,3592,831,3052,944,4683,377,0993,148,5013,483,685
無形固定資産26,69820,20124,58825,67395,170112,192148,767160,367147,300116,347
投資その他の資産
投資有価証券472,717729,726516,292452,007317,367424,912313,390341,115358,207369,284
繰延税金資産------47,280-847115,765
その他167,723142,928155,080139,325106,43495,805107,069148,659160,739169,992
貸倒引当金-3,353-2,268-1,184-------
投資その他の資産合計637,088870,386670,188591,332423,802520,717467,739489,774519,794655,042
固定資産合計2,510,8992,887,2372,905,0353,063,6433,312,3313,464,2153,560,9754,027,2413,815,5954,255,075
資産合計8,519,6389,057,0499,728,2079,307,21610,400,60810,710,53211,617,62611,608,07412,054,50412,851,797
負債の部
流動負債
支払手形及び買掛金240,681292,432335,065222,283335,728331,270258,155292,457364,053422,612
短期借入金1,477,4001,681,5201,516,5101,133,9201,426,1502,520,0002,520,0002,400,0002,520,0003,100,000
1年内返済予定の長期借入金461,799419,259374,008552,103938,842249,069262,580346,148346,148347,560
リース債務88,19578,66163,40445,47347,05648,38496,42384,12370,69275,287
未払法人税等14,23120,00422,2849,90750,5499,11998,3046,57419,856102,233
その他483,570472,762576,465517,722543,023592,332800,615493,619699,582872,976
繰延税金負債7,5518,9858,863-------
流動負債合計2,773,4302,973,6262,896,6042,481,4103,341,3493,750,1754,036,0773,622,9224,020,3324,920,670
固定負債
長期借入金406,089457,1641,258,3801,990,3872,267,5041,488,6801,318,6101,465,4981,119,350786,044
リース債務104,76327,116180,321159,301112,20069,331325,978258,987199,815169,632
退職給付に係る負債210,654223,023213,962217,419205,087199,281194,978192,753175,456176,035
繰延税金負債----28,04256,0081,2722,5021,7953,846
その他142,219130,242135,238123,694121,476119,781119,015118,525118,22040,129
繰延税金負債44,535122,97662,51255,723------
固定負債合計908,263960,5241,850,4162,546,5262,734,3111,933,0841,959,8552,038,2671,614,6381,175,688
負債合計3,681,6933,934,1504,747,0205,027,9366,075,6615,683,2605,995,9335,661,1905,634,9706,096,358
純資産の部
株主資本
資本金962,200962,200962,200962,200962,200962,200962,200962,200962,200962,200
資本剰余金870,620870,620870,620870,620870,620870,620870,620870,620870,620872,746
利益剰余金2,466,5612,534,6012,578,6041,953,0972,124,5393,067,8593,386,6843,494,5923,761,1834,482,219
自己株式-125,103-125,103-125,103-125,103-125,125-125,383-125,507-125,507-260,558-395,210
株主資本合計4,174,2784,242,3174,286,3203,660,8143,832,2334,775,2955,093,9975,201,9055,333,4455,921,955
その他の包括利益累計額
その他有価証券評価差額金133,998327,389176,137116,98242,566110,30449,31464,50968,52566,963
為替換算調整勘定527,435552,395514,830503,185458,023142,050475,145681,0161,012,211763,517
退職給付に係る調整累計額2,2337973,897-1,702-7,875-3773,235-5465,3503,001
その他の包括利益累計額合計663,667880,581694,866618,465492,714251,976527,695744,9791,086,088833,483
純資産合計4,837,9455,122,8994,981,1864,279,2794,324,9475,027,2725,621,6935,946,8846,419,5336,755,438
負債純資産合計8,519,6389,057,0499,728,2079,307,21610,400,60810,710,53211,617,62611,608,07412,054,50412,851,797