クリエートメディック

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

2015-12千円
2016-12千円
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4,130,3304,839,2704,622,9094,281,0684,330,8333,973,4074,359,1734,305,9774,392,8456,317,961
受取手形-------243,202171,37795,455
電子記録債権500,503627,341867,6411,041,7931,076,7111,130,3951,246,8801,301,4671,352,3091,199,515
売掛金-------1,978,9461,904,2291,867,830
商品及び製品1,355,7831,296,7761,406,0831,601,7251,637,0801,711,3921,723,8531,898,2562,376,0102,091,024
仕掛品646,770591,662608,326670,243739,223717,111703,859857,885889,199774,771
原材料及び貯蔵品565,368560,494665,184705,088648,354676,170790,7601,092,4421,049,0281,055,435
その他256,944229,953256,229337,659371,275269,829445,415456,499591,707544,346
貸倒引当金-1,000-1,500-1,500-1,000-1,000-1,000-4,098-5,850-3,823-5,959
受取手形及び売掛金3,057,9252,999,6172,584,3152,399,2822,326,9702,245,4102,309,285---
繰延税金資産95,99489,776116,883123,434------
有価証券100,017200,014--------
流動資産合計10,708,63911,433,40811,126,07311,159,29611,129,45010,722,71811,575,12812,128,82712,722,88413,940,381
固定資産
有形固定資産
建物及び構築物(純額)2,044,0512,908,2922,813,7022,714,8672,683,1992,532,8872,505,9352,435,2682,456,9002,544,199
機械装置及び運搬具(純額)685,611574,587481,116425,459394,213385,260381,113416,630473,412473,301
土地1,982,6061,781,5981,670,4261,658,6781,658,6781,658,6781,658,6781,643,4721,643,4721,086,223
建設仮勘定700,692-79,721183,40863,30544,362133,484111,953293,057191,330
その他(純額)157,545186,082250,094283,848353,123368,715401,034555,354522,630548,757
リース資産(純額)----------
有形固定資産合計5,570,5065,450,5605,295,0615,266,2625,152,5204,989,9045,080,2455,162,6795,389,4724,843,812
無形固定資産
借地権184,294180,820174,666161,988153,178144,176155,974165,852168,602177,874
その他22,08529,91546,56152,62981,132292,362530,713471,043397,085354,200
無形固定資産合計206,380210,736221,228214,618234,310436,538686,688636,896565,687532,075
投資その他の資産
投資有価証券563,791301,799338,251250,266260,378550,314393,953547,728454,250619,533
繰延税金資産-----332,182274,553327,77785,42971,848
その他54,67056,929148,245148,85248,44765,65965,17161,65441,05340,016
繰延税金資産90,064160,949130,262198,366332,514-----
貸倒引当金-2,746-2,746--------
投資その他の資産合計705,778516,930616,758597,485641,339948,156733,678937,160580,732731,398
固定資産合計6,482,6656,178,2276,133,0486,078,3656,028,1716,374,5996,500,6126,736,7366,535,8926,107,287
資産合計17,191,30417,611,63517,259,12217,237,66217,157,62117,097,31718,075,74118,865,56419,258,77720,047,668
負債の部
流動負債
支払手形及び買掛金875,0931,087,068832,665798,095569,604473,445450,960487,515498,848534,773
電子記録債務----102,964290,913232,664319,174288,789248,718
短期借入金900,000900,000900,000900,000900,000800,000800,000800,000800,000800,000
未払法人税等57,685132,20183,840158,610107,32988,167118,571129,36384,60983,522
賞与引当金32,43140,02437,67535,55044,87349,23856,21097,58752,23453,166
役員賞与引当金10,57018,85416,88618,68119,01317,48518,20117,34216,01512,096
前受金--------86,500-
その他601,782783,190768,824836,964741,436771,519896,536965,8261,140,1741,372,829
1年内返済予定の長期借入金241,060332,980413,030166,400166,40092,400----
リース債務----------
流動負債合計2,718,6223,294,3193,052,9222,914,3022,651,6212,583,1702,573,1442,816,8092,967,1723,105,107
固定負債
退職給付に係る負債670,503922,865961,3971,076,7901,123,0111,192,6121,202,2091,136,7371,004,646836,307
繰延税金負債--------216,410261,637
資産除去債務3,1833,2533,3243,3983,4723,5493,6279,6792,7012,702
長期未払金3,68092,50992,50992,50978,33771,47571,47566,39134,85828,086
その他--2,0002,00033,68618,5684,996112,23388,62263,154
長期借入金561,590691,490275,000258,80092,400-----
役員退職慰労引当金90,3583,3823,6103,838------
固定負債合計1,329,3151,713,5001,337,8411,437,3351,330,9081,286,2051,282,3081,325,0421,347,2391,191,888
負債合計4,047,9375,007,8204,390,7634,351,6373,982,5303,869,3753,855,4534,141,8524,314,4114,296,996
純資産の部
株主資本
資本金1,461,7351,461,7351,461,7351,461,7351,461,7351,461,7351,461,7351,461,7351,461,7351,461,735
資本剰余金1,486,0221,486,0221,486,0221,486,0221,486,0221,486,0221,486,0221,486,4201,486,4011,486,572
利益剰余金9,248,0789,433,0159,574,9299,921,42610,292,49610,607,35510,931,24910,871,39510,586,34111,078,119
自己株式-35,078-290,974-291,217-291,290-291,407-513,801-513,958-509,916-506,097-1,003,042
株主資本合計12,160,75812,089,79912,231,46912,577,89312,948,84713,041,31213,365,04813,309,63513,028,38013,023,385
その他の包括利益累計額
その他有価証券評価差額金102,75961,43585,90523,97430,15512,44125,07655,53377,361129,621
繰延ヘッジ損益---------6,703
為替換算調整勘定877,040567,948626,255386,263277,544262,944867,2531,306,9491,735,5402,380,450
退職給付に係る調整累計額2,807-115,368-75,271-102,107-81,455-88,757-37,09151,594103,083210,512
その他の包括利益累計額合計982,608514,015636,888308,130226,244186,628855,2381,414,0771,915,9852,727,287
純資産合計13,143,36712,603,81512,868,35812,886,02413,175,09113,227,94114,220,28714,723,71214,944,36515,750,672
負債純資産合計17,191,30417,611,63517,259,12217,237,66217,157,62117,097,31718,075,74118,865,56419,258,77720,047,668