ハリマ化成グループ

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5,886,4214,113,0693,711,3203,352,7434,006,8863,478,6465,366,5506,300,9026,8514,7466,264
受取手形及び売掛金18,993,37817,931,23420,254,48021,524,70717,574,11717,463,81320,147,88022,313,91921,84620,81220,668
商品及び製品6,105,3035,379,8405,756,6365,866,1445,829,3285,462,5457,070,7738,280,3208,59310,73610,674
原材料及び貯蔵品6,093,1895,589,9785,784,5565,691,7927,108,5626,584,3208,307,69610,646,89214,58013,71313,377
その他1,562,8721,876,7852,130,4191,818,3942,054,8152,653,1002,186,1532,353,3221,8602,2492,491
貸倒引当金-80,482-108,835-121,763-101,989-91,054-75,171-105,653-103,952-143-116-105
有価証券------1,264,200----
繰延税金資産374,122336,422260,054--------
流動資産合計38,934,80535,118,49637,775,70438,151,79236,482,65535,567,25544,237,60149,791,40453,58852,14353,371
固定資産
有形固定資産
建物及び構築物(純額)5,470,1185,478,2685,187,1525,360,6155,398,8275,221,0005,353,5205,490,3815,4866,4066,678
機械装置及び運搬具(純額)5,451,3066,432,6736,575,5486,493,1396,621,3577,182,5657,522,6208,626,1379,82712,22113,792
土地9,645,3759,390,9108,851,2318,529,6918,516,1718,305,6448,292,4278,452,7008,5898,6529,187
リース資産(純額)595,422543,647473,832434,809390,005364,516319,2321,684,1081,4961,8852,079
建設仮勘定1,469,539447,386430,959456,3291,257,653693,2001,351,7372,327,7002,4572,5861,315
その他(純額)557,781518,455549,351762,657931,031683,861562,125537,358640630729
有形固定資産合計23,189,54322,811,34122,068,07522,037,24223,115,04622,450,78823,401,66327,118,38628,49832,38333,783
無形固定資産
顧客基盤-------4,046,1843,8613,6763,491
その他1,179,968931,497942,055788,101739,689558,133712,9181,181,2611,1231,014897
無形固定資産合計1,179,968931,497942,055788,101739,689558,133712,9185,227,4464,9854,6904,389
投資その他の資産
投資有価証券6,351,8747,206,5787,720,8699,596,7588,894,9868,707,8968,863,2558,966,8219,9929,2929,466
退職給付に係る資産--------213297845
繰延税金資産----1,328,4101,243,346968,834658,484616503259
その他840,439823,618890,412856,118837,070865,117733,388690,130700736772
貸倒引当金-7,228-3,219-3,060-2,710-2,710-2,435-12,619-13,586-11-1-1
出資金15,08615,08615,08615,086-------
長期貸付金99299225,42614,265-------
繰延税金資産266,961448,192337,1351,414,039-------
投資その他の資産合計7,468,1268,491,2498,985,87011,893,55811,057,75610,813,92510,552,85910,301,85011,51110,82711,342
固定資産合計31,837,63832,234,08831,996,00134,718,90234,912,49233,822,84734,667,44142,647,68344,99547,90149,515
資産合計70,772,44467,352,58569,771,70672,870,69471,395,14869,390,10278,905,04392,439,08898,583100,044102,886
負債の部
流動負債
支払手形及び買掛金7,879,2918,348,0498,833,4539,019,7738,863,0438,081,14810,585,62910,292,75910,72510,9809,326
短期借入金8,185,8374,759,03010,815,89813,423,32312,384,0648,626,2877,724,67818,349,64829,92528,07120,976
1年内返済予定の長期借入金2,341,220632,9802,711,2661,614,5251,327,939434,497312,4487,099,4551,322395911
リース債務82,22083,66474,68573,18272,46871,24046,805412,451401360417
未払法人税等282,136463,801428,092674,088494,699309,118375,950255,249340197433
役員賞与引当金49,45076,91071,81087,32081,73017,29096,41096,040-9682
その他3,562,1593,191,0083,301,7273,636,5203,344,0273,362,7464,007,9364,658,6314,3605,7768,813
訴訟損失引当金-------492,643613--
繰延税金負債-----------
流動負債合計22,382,31417,555,44326,236,93328,528,73326,567,97320,902,32823,149,85941,656,87947,69045,87840,960
固定負債
長期借入金11,743,06910,484,2282,357,6652,393,2883,251,0907,727,19912,661,8196,185,4516,20011,74315,887
リース債務1,171,1621,099,3351,039,896952,183870,119819,174758,1111,620,2871,5211,9932,234
繰延税金負債----625,006809,508859,4811,020,2091,1411,2731,307
長期預り保証金752,981741,081736,381684,031582,681555,681528,681500,681489480441
役員退職慰労引当金398,247404,576404,507447,241487,1354,4034,85414,626161821
退職給付に係る負債1,604,3731,028,2211,004,294954,360996,831392,945242,33789,6901199811
資産除去債務47,95848,29448,63648,98548,98548,98539,13539,135395353
その他204,372238,515247,176206,189219,453688,043556,340491,806484492462
繰延税金負債1,105,7931,939,8371,598,396844,245-------
固定負債合計17,027,95815,984,0907,436,9556,530,5247,081,30211,045,94115,650,7619,961,88810,01216,15420,419
負債合計39,410,27333,539,53433,673,88935,059,25733,649,27531,948,26938,800,62151,618,76857,70262,03361,380
純資産の部
株主資本
資本金10,012,95110,012,95110,012,95110,012,95110,012,95110,012,95110,012,95110,012,95110,01210,01210,012
資本剰余金9,744,3799,743,9599,767,4499,767,7539,767,7099,765,3619,759,9709,748,7889,7438,6098,608
利益剰余金9,334,19711,366,32413,573,35216,949,92918,200,53618,337,49019,128,06419,015,78916,83616,56117,887
自己株式-62,316-62,436-26,314-422,482-1,028,030-998,288-964,715-1,793,749-1,760-1,727-1,690
株主資本合計29,029,21131,060,79933,327,43836,308,15036,953,16637,117,51537,936,26936,983,77934,83233,45634,818
その他の包括利益累計額
その他有価証券評価差額金1,002,4711,735,4201,679,2561,234,378871,590355,782191,49951,999546116313
為替換算調整勘定-319,712-971,716-1,109,705-2,019,448-2,439,491-2,720,789-1,287,124150,2551,8923,8715,484
退職給付に係る調整累計額-477,092-175,949-173,953-166,206-250,278-186,527-156,205-83,554-54-111183
繰延ヘッジ損益------56,704----
その他の包括利益累計額合計205,666587,754395,597-951,276-1,818,180-2,551,533-1,195,126118,7002,3853,8755,981
非支配株主持分2,127,2922,164,4972,374,7802,454,5622,610,8862,875,8513,363,2793,717,8393,663677706
純資産合計31,362,17033,813,05036,097,81637,811,43637,745,87237,441,83240,104,42240,820,31940,88138,01041,506
負債純資産合計70,772,44467,352,58569,771,70672,870,69471,395,14869,390,10278,905,04392,439,08898,583100,044102,886