メック

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
2017-12千円
2018-12千円
2019-12千円
2020-12千円
2021-12千円
2022-12千円
2023-12千円
2024-12千円
資産の部
流動資産
現金及び預金4,700,5304,718,3294,634,0694,388,2634,957,4845,579,4637,152,8129,443,1578,755,86311,476,446
受取手形及び売掛金2,570,2872,784,5783,611,4973,576,7863,128,7113,620,5774,858,1834,357,1794,766,1685,826,419
電子記録債権----262,127329,006288,325346,137278,458376,347
商品及び製品330,732289,112376,705404,729420,647415,861589,951662,232620,262756,456
仕掛品39,32983,204129,283234,523132,689159,982223,120170,245127,880182,416
原材料及び貯蔵品214,345293,452432,726473,357391,591350,560580,226835,868772,256858,543
その他70,935353,11278,83083,390149,125123,606150,840177,391177,695188,364
貸倒引当金-11,504-11,947-12,570-12,790-3,845-3,558-3,969-5,052-5,714-5,936
繰延税金資産198,798212,240282,859312,563------
流動資産合計8,113,4558,722,0819,533,4009,460,8259,438,53210,575,49913,839,48915,987,16015,492,87019,659,058
固定資産
有形固定資産
建物及び構築物3,275,2936,248,2746,494,0766,376,1336,939,7307,037,7087,714,1818,043,7767,940,2058,161,445
減価償却累計額-2,025,237-2,103,366-2,313,882-2,403,329-2,571,047-2,805,486-3,143,829-3,482,196-3,425,889-3,818,132
建物及び構築物(純額)1,250,0554,144,9074,180,1943,972,8044,368,6834,232,2224,570,3524,561,5804,514,3154,343,313
機械装置及び運搬具1,912,5112,165,2502,431,2512,425,9272,734,0713,074,0903,181,0563,350,5693,493,0273,924,994
減価償却累計額-1,575,526-1,495,486-1,610,382-1,645,168-1,847,339-2,137,588-2,381,671-2,566,484-2,572,272-2,771,359
機械装置及び運搬具(純額)336,985669,764820,868780,759886,732936,501799,384784,084920,7551,153,635
工具、器具及び備品817,325972,9541,137,5451,206,8441,254,5041,277,4021,450,0551,558,6751,666,1341,826,123
減価償却累計額-583,927-619,127-693,682-766,187-871,792-954,464-1,050,503-1,163,597-1,257,463-1,364,151
工具、器具及び備品(純額)233,398353,827443,862440,656382,711322,938399,551395,077408,671461,971
土地2,853,5502,842,4302,870,1412,924,0912,933,0822,935,8173,008,3633,043,3123,646,8123,691,281
使用権資産----79,78660,81162,75372,62490,302104,954
減価償却累計額---------28,712-34,612
使用権資産(純額)----44,71040,15342,11543,52661,59070,342
減価償却累計額-----35,075-20,657-20,637-29,098--
建設仮勘定1,837,922101,04527,168159,800381,422530,96171,838132,264268,124133,204
有形固定資産合計6,511,9128,111,9748,342,2358,278,1118,997,3428,998,5948,891,6068,959,8469,820,2699,853,747
無形固定資産161,525155,103183,431154,002139,574140,370147,248146,952160,182150,468
投資その他の資産
投資有価証券416,453462,583537,699393,309580,704859,6651,303,2301,258,2881,866,6091,627,553
退職給付に係る資産405,065479,261579,637538,059690,913809,578956,4481,006,6141,193,8491,424,782
繰延税金資産-----3,2569,3544,54611,3451,711
その他127,09781,78264,96063,09097,344123,788157,984135,758120,079321,850
繰延税金資産12,46610,7206,40610,35647,426-----
貸倒引当金-32,338-29,836--79------
投資その他の資産合計928,7431,004,5111,188,7041,004,7361,416,3891,796,2892,427,0172,405,2083,191,8843,375,898
固定資産合計7,602,1829,271,5909,714,3719,436,85010,553,30610,935,25311,465,87211,512,00713,172,33613,380,114
資産合計15,715,63717,993,67119,247,77218,897,67519,991,83921,510,75225,305,36227,499,16828,665,20733,039,172
負債の部
流動負債
支払手形及び買掛金821,7291,072,0851,019,0411,067,2211,166,7241,263,258987,823816,644722,187984,031
電子記録債務------748,762851,092597,301894,293
未払金267,821286,776414,248389,569372,262477,481404,291443,340466,996558,309
未払費用68,36769,955131,788134,669135,894143,020157,453159,207143,590198,645
未払法人税等273,936244,989354,863226,390122,431362,044748,939398,874181,148952,302
賞与引当金211,463227,956290,012324,452313,740317,936332,347330,439289,944421,520
役員賞与引当金25,80032,79738,44736,45330,47038,00541,76048,15637,82250,827
設備関係未払金938,966205,25936,152119,47362,075247,94893,926216,996202,34295,985
その他156,177477,709497,497149,315657,582278,982276,061297,262230,863302,461
短期借入金----400,000400,000----
1年内返済予定の長期借入金-500,000500,000500,000250,000-----
流動負債合計2,764,2613,117,5293,282,0512,947,5453,511,1803,528,6773,791,3663,562,0132,872,1954,458,376
固定負債
繰延税金負債-----369,916477,768481,519853,6021,490,783
退職給付に係る負債47,62450,81253,52253,75143,27124,9972,0382,0364,8137,131
株式報酬引当金--------102,167126,951
その他24,61824,35025,31925,85036,44736,59940,59438,15455,01958,654
株式報酬引当金-43,48462,40678,91271,97279,69964,48789,465--
長期借入金-1,250,000750,000250,000------
繰延税金負債628,681397,122486,777375,246236,967-----
固定負債合計700,9241,765,7691,378,025783,760388,659511,213584,888611,1751,015,6031,683,521
負債合計3,465,1854,883,2994,660,0763,731,3063,899,8404,039,8904,376,2544,173,1893,887,7996,141,898
純資産の部
株主資本
資本金594,142594,142594,142594,142594,142594,142594,142594,142594,142594,142
資本剰余金446,358456,912456,912541,273541,273541,273541,273541,273541,273541,273
利益剰余金10,993,84112,252,19013,433,66514,748,50815,486,35516,583,71218,996,26121,274,59322,722,37424,163,977
自己株式-591,925-835,654-835,654-1,185,432-1,175,796-1,175,844-1,141,081-1,131,394-2,031,602-2,031,602
株主資本合計11,442,41612,467,59013,649,06414,698,49115,445,97416,543,28318,990,59521,278,61421,826,18723,267,790
その他の包括利益累計額
その他有価証券評価差額金70,698121,571168,43962,077185,948373,484584,363336,141658,010496,822
為替換算調整勘定621,182385,223619,926328,101304,802363,9021,119,5801,514,6272,033,1612,799,596
退職給付に係る調整累計額116,154135,986150,26577,699155,273190,190234,568196,595260,048333,064
その他の包括利益累計額合計808,035642,782938,631467,878646,024927,5781,938,5122,047,3642,951,2203,629,483
純資産合計12,250,45213,110,37214,587,69515,166,36916,091,99817,470,86220,929,10723,325,97824,777,40826,897,274
負債純資産合計15,715,63717,993,67119,247,77218,897,67519,991,83921,510,75225,305,36227,499,16828,665,20733,039,172