積水化学工業

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
2019-03百万円
2020-03百万円
2021-03百万円
2022-03百万円
2023-03百万円
2024-03百万円
2025-03百万円
2026-03百万円
資産の部
流動資産
現金及び預金68,007109,89177,99669,88276,81987,454144,534101,080138,572142,58697,192
受取手形35,16832,96045,95944,62439,43634,81036,99938,40043,10937,82035,411
売掛金140,828131,111137,304142,349134,688135,821148,748153,380168,864167,960178,080
契約資産------7217521,4861,758517
商品及び製品58,91756,61962,18566,51673,74479,65286,262104,091112,748110,721124,970
分譲土地25,40530,87930,92638,26650,58058,76755,36464,15467,69369,18786,144
仕掛品38,20438,34946,98453,20756,55450,46956,61162,60461,08772,00675,294
原材料及び貯蔵品28,23327,70430,36234,19836,31134,02145,60055,95056,70461,90367,508
前渡金4,6791,6871,5471,9502,6313,3624,5514,0554,1225,27417,594
前払費用3,7663,3883,7624,3235,2377,1218,0928,4145,7937,3897,475
短期貸付金9745,1287,2302,0951,46621821141,115714664
その他19,37715,68816,53714,01515,78915,25922,98429,61625,04426,46531,408
貸倒引当金-1,698-1,179-1,597-1,394-1,377-1,172-1,257-965-776-686-564
有価証券10710000-----
繰延税金資産12,54013,87014,096--------
流動資産合計434,513466,101473,297470,037491,883505,571609,395621,650685,564703,104721,698
固定資産
有形固定資産
建物及び構築物(純額)90,76788,88293,140101,189104,206116,433120,810120,761123,499121,784130,368
機械装置及び運搬具(純額)78,35273,61577,80382,92384,28496,844108,218109,933114,194113,941121,958
土地71,20370,42673,29978,26679,70880,07983,05983,82885,93186,51791,306
リース資産(純額)9,40210,12610,14610,35718,52019,20319,61819,96121,75021,29421,826
建設仮勘定12,2449,38814,89025,40038,90527,22821,60631,33833,59946,08581,999
その他(純額)8,0049,32310,45711,31811,62411,60711,93911,55813,51014,24515,093
有形固定資産合計269,974261,765279,738309,455337,250351,397365,254377,381392,485403,870462,551
無形固定資産
のれん16,78314,62717,64016,95357,34650,91410,73611,0288,6366,8747,253
ソフトウエア8,1088,1678,1779,6129,57110,52010,56115,61417,41016,91531,348
リース資産2712162081751351501371171076461
その他18,55916,57925,07124,03434,01536,06325,29824,24232,94435,27618,905
無形固定資産合計43,72239,59151,09750,775101,06997,64946,73351,00359,09759,13157,567
投資その他の資産
投資有価証券168,262156,916177,707163,334140,862174,656130,688137,314127,421105,102101,597
長期貸付金6961,7891,0482,2811,3791,6131,1571,1631,0979231,041
長期前払費用1,4211,2111,5191,4871,3942,0212,0301,9702,1301,7572,867
退職給付に係る資産62517920020212531221,06615,28435,36835,57556,739
繰延税金資産----16,5365,34710,90910,0344,2234,8557,808
その他14,42413,05813,58715,53513,88413,90814,03814,48317,13617,17917,012
貸倒引当金-2,521-1,815-2,042-2,200-2,034-2,334-2,352-2,154-1,280-714-950
繰延税金資産4,9254,8402,95912,797-------
投資その他の資産合計187,833176,181194,980193,438172,148195,525177,537178,096186,096164,679186,115
固定資産合計501,530477,538525,817553,669610,468644,571589,525606,481637,679627,681706,235
資産合計936,043943,640999,1141,023,7061,102,3521,150,1431,198,9211,228,1311,323,2431,330,7861,427,933
負債の部
流動負債
支払手形5,0214,3204,9724,2683,0021,7441,386759578413360
電子記録債務14,78122,11626,63927,62626,85925,05228,33528,77715,56715,78213,498
買掛金105,23293,68499,20898,546101,91490,798108,460107,067107,713107,356107,514
短期借入金22,89913,27410,9747,6858,4467,2784,2933,56911,5692,34020,001
1年内償還予定の社債10,01616161619---30-10,182
リース債務3,2273,4133,3173,6074,6944,6255,0005,1565,4335,4225,759
未払費用38,24239,11540,94241,40041,09743,91043,50041,17743,10744,25443,306
未払法人税等5,68612,36111,10910,96811,85510,65823,67811,81725,08616,87017,942
賞与引当金16,74516,74016,88617,91818,16217,62019,70919,19819,62822,21921,914
役員賞与引当金259308343272275245290354474488511
完成工事補償引当金1,2091,2221,1911,3111,3821,4031,4823,1052,4452,2091,500
株式給付引当金----166157138115112108139
前受金40,53441,62338,79843,06942,18040,22746,06853,51457,43669,55768,013
その他47,84541,75037,51137,35646,15538,55547,35053,36455,41452,97777,940
コマーシャル・ペーパー--7,00017,00028,000------
株式給付引当金-133138133-------
事業譲渡損失引当金3,241----------
繰延税金負債-----------
流動負債合計314,944290,081299,050311,180334,212282,278329,694327,978344,597340,002388,584
固定負債
社債6910,05210,03610,01940,00040,00040,00040,03040,00040,00050,000
長期借入金9,5699,9917,9668,60322,36871,20758,09356,18746,27046,04241,179
リース債務6,5556,9857,0166,91614,13715,05715,17015,51517,42117,02517,662
繰延税金負債----4,29110,3624,6244,0464,7571,5241,346
退職給付に係る負債51,45547,06946,50144,58547,17030,40241,84042,73141,34442,82439,631
株式給付引当金----4796487739001,0831,1541,301
その他5,5095,4105,7745,3985,4165,7935,9718,2166,8436,8457,100
繰延税金負債3,7823,3649,7283,860-------
株式給付引当金-135282395-------
固定負債合計76,94283,00987,30579,779133,864173,472166,473167,627157,720155,417158,222
負債合計391,887373,090386,356390,960468,076455,751496,168495,606502,318495,420546,807
純資産の部
株主資本
資本金100,002100,002100,002100,002100,002100,002100,002100,002100,002100,002100,002
資本剰余金109,183109,192109,031109,221109,273109,021109,042108,583108,621105,068105,257
利益剰余金295,659341,009374,101408,008433,017441,087447,958468,094501,945544,799558,200
自己株式-25,970-40,969-42,461-44,337-44,139-43,414-44,592-46,637-48,679-50,082-58,681
株主資本合計478,874509,234540,673572,894598,153606,696612,409630,041661,889699,787704,779
その他の包括利益累計額
その他有価証券評価差額金40,05439,46346,34636,82827,46350,78133,72637,83651,19736,88933,214
繰延ヘッジ損益-116-52-49-32-16-33-18-24-1500
土地再評価差額金321321321321321323322321320319310
為替換算調整勘定5,8179413,1162,123-8,1936,64725,50739,25367,82662,16092,031
退職給付に係る調整累計額-1,894-565-2,643-5,011-8,4192,6502,687-2,40211,1118,19020,853
その他の包括利益累計額合計44,18240,10947,09234,22911,15560,37062,22674,984130,440107,560146,410
非支配株主持分20,58620,78724,72025,46524,90127,32528,11627,49828,59528,01829,935
新株予約権51241827115664------
純資産合計544,156570,549612,757632,746634,275694,392702,753732,525820,925835,366881,125
負債純資産合計936,043943,640999,1141,023,7061,102,3521,150,1431,198,9211,228,1311,323,2431,330,7861,427,933