オーベクス

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
2026-03千円
資産の部
流動資産
現金及び預金2,052,4791,207,6081,418,9101,437,5541,434,3621,907,6362,499,2292,476,0672,952,5482,850,3792,627,404
受取手形及び売掛金1,137,2701,121,1951,259,3521,346,3441,261,3671,263,6051,316,0331,311,6681,169,2301,297,6181,135,657
電子記録債権--------128,578106,871234,683
商品及び製品271,593258,811173,970211,816174,020196,356174,191153,752173,412239,420215,312
仕掛品1,077,1041,204,2781,255,4961,291,6181,336,7691,237,5501,276,4141,346,2531,259,9031,416,2951,561,467
原材料及び貯蔵品262,539267,946317,219368,004394,025356,735429,102475,317503,244500,000609,808
その他165,473242,885171,969188,270203,690150,373161,602163,883156,792175,205225,135
貸倒引当金-3,999-2,980-128-134-123-1,033-1,842-1,667-746-115-109
繰延税金資産105,83569,83351,376--------
流動資産合計5,068,2964,369,5794,648,1664,843,4734,804,1125,111,2235,854,7305,925,2776,342,9646,585,6756,609,359
固定資産
有形固定資産
建物及び構築物2,029,1782,959,9803,030,2553,027,8523,020,1483,056,6343,038,5972,943,9852,978,8232,962,5653,014,264
減価償却累計額-1,438,395-1,490,033-1,587,386-1,669,533-1,749,271-1,849,598-1,899,916-1,879,628-1,980,316-2,048,538-2,163,411
建物及び構築物(純額)590,7821,469,9461,442,8691,358,3191,270,8771,207,0351,138,6801,064,357998,507914,027850,852
機械装置及び運搬具2,451,8312,605,7812,682,4192,790,6012,926,0923,018,6133,161,9183,235,7963,399,0553,463,6743,454,819
減価償却累計額-2,069,854-2,172,832-2,284,153-2,384,299-2,471,440-2,609,025-2,712,890-2,811,671-2,947,817-3,029,173-2,988,423
機械装置及び運搬具(純額)381,976432,949398,266406,301454,652409,587449,028424,125451,238434,501466,395
土地1,396,2371,389,4571,508,7161,509,5541,509,5541,509,5541,509,5541,457,4421,457,5251,457,5251,669,535
リース資産95,171180,288241,568259,821250,539217,869241,262186,076213,318217,168216,199
減価償却累計額-26,396-34,262-59,016-93,947-117,545-145,939-160,417-132,309-151,130-166,568-163,719
リース資産(純額)68,774146,025182,551165,874132,99371,92980,84553,76662,18750,60052,480
建設仮勘定93,36250,66042,71023,73825,86722,59712,77164,11043,80019,31126,076
その他337,945366,663377,237419,006444,099455,463543,953550,852567,042630,042691,350
減価償却累計額-309,884-300,178-325,313-369,283-403,476-420,440-458,548-493,823-517,786-561,805-610,184
その他(純額)28,06066,48551,92349,72240,62335,02285,40557,02849,25668,23681,166
有形固定資産合計2,559,1953,555,5253,627,0383,513,5113,434,5683,255,7283,276,2863,120,8313,062,5142,944,2023,146,505
無形固定資産
特許権5,5207,1356,1115,9354,6773,6432,6944,6227,42310,0509,288
リース資産5,9554,4898,88215,96711,1347,2483,6687383,3222,59713,326
その他11,78110,78210,7399,68215,18120,21421,81819,34519,98120,72321,014
無形固定資産合計23,25722,40725,73331,58430,99331,10728,18124,70630,72733,37143,629
投資その他の資産
投資有価証券142,001161,185156,316139,007103,98479,44988,971113,663131,245124,970126,859
出資金210210210210210210130130130130130
繰延税金資産----64,48386,797111,79172,79395,32297,934173,211
その他79,01877,44873,99284,46396,70990,75980,84576,60664,79362,55671,486
貸倒引当金-11,283-11,283-8,533-8,534-8,535-11,895-5,994-5,994-5,993-5,993-5,993
再評価に係る繰延税金資産------6,262----
繰延税金資産2,7544,6776,46055,447-------
投資その他の資産合計212,701232,237228,445270,593256,851245,320282,007257,199285,497279,598365,693
固定資産合計2,795,1533,810,1693,881,2173,815,6903,722,4143,532,1563,586,4753,402,7373,378,7383,257,1723,555,828
資産合計7,863,4508,179,7498,529,3838,659,1648,526,5278,643,3799,441,2069,328,0149,721,7039,842,84810,165,188
負債の部
流動負債
支払手形及び買掛金479,692483,117510,707540,846470,474394,869479,282321,844150,491163,081154,172
電子記録債務--------295,460327,261276,860
1年内返済予定の長期借入金214,7921,146,912343,960366,448401,286404,1761,114,606639,778695,302552,060523,550
リース債務18,21333,02146,85549,66042,83435,02731,99717,35514,34813,08820,919
未払法人税等213,00922,10426,060121,14314,242105,737165,69740,602113,164144,38520,591
賞与引当金134,637130,68184,19690,34085,52780,990150,56796,951105,399138,29696,211
その他258,717256,005200,975233,946231,390178,261372,062266,981374,074301,091266,547
製品自主回収関連損失引当金44,769----------
流動負債合計1,363,8312,071,8431,212,7551,402,3841,245,7541,199,0612,314,2131,383,5141,748,2401,639,2641,358,852
固定負債
長期借入金1,926,4881,249,5762,256,2461,989,7981,963,3022,037,2261,145,7001,517,1121,091,600894,330940,570
リース債務55,409109,491128,992108,94972,01838,61240,02623,24438,47930,54337,515
再評価に係る繰延税金負債31,61631,61631,61631,61631,61631,616-23,04223,04223,71923,719
株式給付引当金----90,192111,873134,045148,137164,857118,936122,641
退職給付に係る負債339,764316,656339,816332,939357,312379,616390,230399,016398,322427,738429,673
その他745745745745745745515515515515515
株式給付引当金26,41938,54156,29973,400-------
厚生年金基金解散損失引当金22,20522,20522,205--------
繰延税金負債4,06718,27616,347--------
固定負債合計2,406,7151,787,1082,852,2692,537,4492,515,1862,599,6891,710,5162,111,0681,716,8161,495,7831,554,636
負債合計3,770,5473,858,9524,065,0253,939,8343,760,9413,798,7504,024,7293,494,5833,465,0573,135,0472,913,489
純資産の部
株主資本
資本金1,939,8341,939,8341,939,8341,939,8341,939,8341,939,8341,939,8341,939,8341,939,8341,939,8341,939,834
資本剰余金496,043518,455518,455518,486518,489518,489518,489518,489518,489517,064517,091
利益剰余金1,802,6802,050,3262,188,2272,459,8752,554,3122,623,0703,109,5403,435,3303,810,1664,328,7044,801,217
自己株式-195,796-218,951-219,710-215,565-214,956-215,241-212,795-206,244-201,060-256,105-282,571
株主資本合計4,042,7624,289,6634,426,8064,702,6314,797,6804,866,1535,355,0685,687,4106,067,4306,529,4986,975,572
その他の包括利益累計額
その他有価証券評価差額金73,64186,58582,42269,13042,74929,34435,65151,91363,49860,47361,717
土地再評価差額金-77,128-77,128-77,128-77,128-77,128-77,128-39,24927,15127,15126,47426,474
為替換算調整勘定40,75621,67732,25724,6972,28426,25965,00566,95598,56591,354187,935
その他の包括利益累計額合計37,26931,13337,55116,699-32,094-21,52561,407146,020189,215178,302276,126
非支配株主持分12,871----------
純資産合計4,092,9024,320,7974,464,3584,719,3304,765,5854,844,6285,416,4765,833,4316,256,6466,707,8007,251,699
負債純資産合計7,863,4508,179,7498,529,3838,659,1648,526,5278,643,3799,441,2069,328,0149,721,7039,842,84810,165,188