アミューズ

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17,718,95822,100,93419,889,18625,473,26529,86727,66127,48132,67930,48627,79326,669
受取手形及び営業未収入金4,255,9304,641,0096,378,8326,625,2078,4405,863--10,00412,06410,057
有価証券---------5554,927
商品及び製品1,523,0271,778,6572,005,2201,667,7631,8011,5141,3211,1701,4021,1721,085
仕掛品1,526,0801,141,9011,855,4001,865,6281,8901,3101,2827621,3132,4893,143
原材料及び貯蔵品-95,357109,241131,27018220719015615110070
未収入金------3,2712,1801,8122,5542,243
その他1,214,6141,677,1392,358,6462,084,8862,1802,5901,1728901,2401,2781,294
貸倒引当金-211,203-145,568-1,024,164-443,564-528-128-153-167-97-54-21
営業未収入金------4,8878,635---
繰延税金資産238,946275,254533,619--------
貯蔵品70,085----------
流動資産合計26,336,43831,564,68532,105,98237,404,45843,83439,01939,45446,30846,31447,95349,470
固定資産
有形固定資産
建物及び構築物(純額)----------3,121
土地1,486,7521,528,8241,527,068856,5979029229961,0281,045875800
その他(純額)916,038193,368146,606580,6503035085498711,0201,2741,025
建物(純額)2,036,7071,010,082928,6951,118,3191,5301,1131,8212,3532,3543,658-
リース資産(純額)24,44658,57343,92629,51343211485--
有形固定資産合計4,463,9452,790,8482,646,2962,585,0802,7782,5663,3814,2614,4275,8084,947
無形固定資産
のれん278,901544,223245,013163,342132104-226449389329
その他216,165231,880222,877344,511436531431635590561523
無形固定資産合計495,066776,104467,891507,8545696354318621,039950853
投資その他の資産
投資有価証券1,332,6251,548,9102,415,0672,928,1402,7604,6394,6065,5824,7734,0714,754
繰延税金資産----7493605183191,0231,1021,193
その他2,721,2471,383,1221,342,9541,395,6631,3981,4261,0541,0671,3929541,280
貸倒引当金-104,900-204,159-200,691-203,704-16-158-135-107-6700
繰延税金資産466,699346,614298,752981,934-------
投資その他の資産合計4,415,6723,074,4883,856,0825,102,0344,8926,2686,0456,8627,1236,1287,228
固定資産合計9,374,6846,641,4416,970,2698,194,9688,2409,4709,85811,98512,59012,88713,029
繰延資産
開業費137,044----------
繰延資産合計137,044----------
資産合計35,848,16738,206,12739,076,25245,599,42752,07448,49049,31358,29458,90460,84162,499
負債の部
流動負債
営業未払金6,256,9568,372,9598,210,36210,117,30412,7716,4546,70711,74013,74012,00412,488
1年内返済予定の長期借入金--------534534
1年内償還予定の社債--------403020
未払法人税等2,299,3681,480,542959,7531,383,4243236232416524329891,399
契約負債---------3,6653,317
賞与引当金---------229483
役員賞与引当金46,50029,00023,57134,9353820313644436
従業員株式給付引当金--12,0502,835102032143330
その他1,949,1292,095,0812,083,7542,173,6843,4212,9282,9616,5065,1685,0734,405
リース債務8,71137,82231,87316,453197765--
返品調整引当金8,0005,0001,64014,30010-----
ポイント引当金23,75218,46118,93024,0272928-----
繰延税金負債-2,4043,290--------
流動負債合計10,592,41812,041,27111,345,22613,766,96316,60610,0649,97018,97419,45922,11622,215
固定負債
社債--------906040
長期借入金-----100122206191146111
役員株式給付引当金----9165587410712893
退職給付に係る負債970,581976,5641,022,0411,264,0581,2571,3141,3731,4371,4991,2161,202
その他27,52136,42545,58737,48529891414545150
リース債務17,34127,29716,80523,87832161231--
繰延税金負債-5,5525,402--------
役員株式給付引当金--36,85961,432-------
役員退職慰労引当金16,30816,308---------
固定負債合計1,031,7531,062,1491,126,6971,386,8561,4111,5851,5811,7371,9451,6031,498
負債合計11,624,17113,103,42012,471,92415,153,81918,01711,65011,55120,71221,40423,72023,714
純資産の部
株主資本
資本金1,587,8251,587,8251,587,8251,587,8251,5871,5871,5871,5871,5871,5871,587
資本剰余金1,694,9502,109,7932,096,3552,072,2022,2492,2392,2842,2842,2842,2842,474
利益剰余金19,932,49621,179,69622,628,04526,500,28128,85030,20531,14931,85531,57832,54834,573
自己株式-934,917-1,321,284-1,288,601-1,240,594-1,401-1,269-1,249-2,931-2,858-2,841-3,662
株主資本合計22,280,35323,556,03125,023,62428,919,71431,28632,76333,77232,79632,59333,57934,973
その他の包括利益累計額
その他有価証券評価差額金26,66445,26241,92834,9063001,5711,3181,400583476616
為替換算調整勘定-7,446-22,696-48,016-77,772-89-10413141269315373
退職給付に係る調整累計額----474250517783100
その他の包括利益累計額合計19,21722,565-6,087-42,8652581,5091,3821,5929318751,090
非支配株主持分1,924,4241,524,1101,586,7901,568,7582,5122,5662,6063,1913,9752,6662,720
純資産合計24,223,99525,102,70626,604,32730,445,60734,05736,83937,76137,58137,50037,12038,785
負債純資産合計35,848,16738,206,12739,076,25245,599,42752,07448,49049,31358,29458,90460,84162,499