太平洋セメント

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53,53960,51653,76656,56151,64173,07460,27179,84280,10174,98763,719
受取手形、売掛金及び契約資産------143,178158,136167,848148,457147,951
電子記録債権--10,98912,99813,50719,23423,35424,82638,73532,08738,521
商品及び製品31,18731,83529,19331,13830,89729,42134,40947,46049,34054,37359,353
仕掛品1,4851,7082,3832,2682,3102,0791,2771,5291,4651,5221,696
原材料及び貯蔵品42,62442,42241,76143,31445,07543,87358,50289,38372,37171,95076,188
短期貸付金3,0183,8963,4643,4213,2892,5571,9211,4591,3452,1912,045
その他9,72112,59510,56011,71414,03515,37317,94227,92019,27820,27823,247
貸倒引当金-938-1,125-1,116-646-1,302-795-307-150-198-115-121
受取手形及び売掛金161,392171,946182,272180,535159,048142,515-----
繰延税金資産6,8869,0987,320--------
流動資産合計308,918332,895340,595341,307318,502327,333340,550430,408430,289405,731412,601
固定資産
有形固定資産
建物及び構築物448,950470,741473,841483,443490,824491,247515,145531,889550,807567,253565,879
減価償却累計額-316,242-334,287-339,384-347,790-351,877-352,836-361,439-374,577-387,059-394,395-393,791
建物及び構築物(純額)132,708136,454134,456135,653138,947138,410153,705157,312163,748172,858172,088
機械装置及び運搬具841,895858,953874,397886,495919,556913,284968,2341,038,5341,088,0141,170,4961,183,345
減価償却累計額-694,744-723,573-737,794-751,845-756,611-759,076-797,800-847,452-898,533-917,514-922,485
機械装置及び運搬具(純額)147,151135,380136,603134,649162,944154,207170,433191,081189,481252,982260,860
土地140,726160,571158,057157,638164,869164,193156,031165,027158,496163,531164,938
リース資産-55,63755,37651,64853,17551,60139,95526,21727,84927,41127,140
減価償却累計額--33,317-34,378-29,527-31,234-31,201-20,891-12,819-14,011-13,598-13,796
リース資産(純額)-22,31920,99822,12021,94120,40019,06413,39813,83813,81313,343
建設仮勘定20,95019,08332,64748,67830,66537,18632,67634,28659,61441,98851,676
その他108,80752,96153,00253,17166,70668,23965,708101,217120,317153,913148,732
減価償却累計額-62,732-29,620-30,327-30,971-41,521-42,294-39,790-42,240-51,585-60,383-62,480
その他(純額)46,07423,34122,67422,19925,18425,94425,91758,97768,73193,53186,252
有形固定資産合計487,611497,151505,438520,939544,553540,342557,829620,083653,910738,702749,158
無形固定資産
のれん6,4323,409777321179159801011036481
その他37,48734,25032,26130,55329,63428,03327,48539,66538,97946,95143,435
無形固定資産合計43,91937,66033,03830,87529,81428,19227,56639,76639,08347,01543,516
投資その他の資産
投資有価証券115,44384,78186,83483,69282,93191,926118,359117,839132,313135,374158,763
長期貸付金1,1273,2382,9411,7541,8801,5381,3912,3762,4862,4622,021
退職給付に係る資産8,96817,35221,29817,80711,09023,09922,68023,69738,90649,38969,838
繰延税金資産----21,1189,63511,0818,1678,59510,4427,839
その他31,48331,61328,34128,37429,35928,29625,43127,83233,99335,73136,228
貸倒引当金-6,655-8,333-8,539-7,432-6,327-6,137-1,883-1,309-1,327-1,150-901
繰延税金資産23,25819,05612,19417,109-------
投資その他の資産合計173,626147,708143,070141,306140,053148,358177,061178,604214,967232,248273,787
固定資産合計705,156682,520681,546693,120714,420716,893762,457838,454907,9611,017,9651,066,461
資産合計1,014,0751,015,4151,022,1421,034,4281,032,9231,044,2271,103,0071,268,8621,338,2511,423,6951,479,061
負債の部
流動負債
支払手形及び買掛金73,89379,67691,11396,27583,43073,59679,68584,16294,95073,64773,662
電子記録債務--4,6708,7165,3307,7448,75111,61317,50216,28417,372
短期借入金160,421134,428153,181135,381120,783103,538102,986149,573142,915156,488158,500
コマーシャル・ペーパー---4,00012,000-21,00027,000-5,00026,000
1年内償還予定の社債45011,12015,03510,000-10,000-10,000-15,00012,700
未払法人税等8,3515,9146,4168,3766,0244,5904,1983,6875,4466,3445,822
賞与引当金5,7235,7426,0216,0466,1586,2656,2465,6776,5027,3027,828
製品補償引当金---------741991
その他の引当金751410121220139404213108321168305
その他71,63171,61383,98680,37379,90698,69186,68591,395100,367107,380113,722
事業撤退損失引当金-------2,56496--
繰延税金負債543--------
流動負債合計321,229308,910360,550349,390313,771304,831309,768385,784368,103388,354416,902
固定負債
社債46,15535,03520,00030,00030,00050,00060,00050,00070,00055,00042,300
長期借入金187,471160,346100,390100,233103,33284,56386,600166,911157,553158,200150,267
繰延税金負債----7,4918,13010,02018,32922,03824,68641,549
退職給付に係る負債22,81424,21724,55924,20624,99924,70322,70121,38023,00523,00822,546
役員退職慰労引当金433568520535521503512536548536486
特別修繕引当金24512112875128180258227304292354
製品補償引当金-------4,4983,8292,7282,121
その他の引当金747981750757828511478472400360360
リース債務15,66221,28518,84417,61617,99614,35213,48126,51424,80521,14617,692
資産除去債務7,9907,5207,5537,6197,3417,8218,7039,37910,93014,45314,447
その他50,72548,01346,46645,71853,27041,80742,35254,04558,57658,80857,798
事業撤退損失引当金-------1,9241,769--
製品補償引当金------3,330----
繰延税金負債3,5278,37810,0517,630-------
再評価に係る繰延税金負債-----------
関係会社事業損失引当金-----------
資産撤去引当金-----------
固定負債合計335,772306,469229,265234,392245,910232,574248,440354,221373,762359,217349,922
負債合計657,002615,380589,815583,783559,682537,405558,208740,005741,866747,571766,824
純資産の部
株主資本
資本金86,17486,17486,17486,17486,17486,17486,17486,17486,17486,17486,174
資本剰余金50,92559,54860,33960,40860,23360,29249,72949,72950,05150,28849,493
利益剰余金188,731228,914260,016294,265326,086365,593384,154342,880379,125417,460432,913
自己株式-979-10,911-10,947-16,081-16,098-26,113-13,766-13,738-17,942-22,131-21,516
株主資本合計324,851363,725395,582424,767456,395485,946506,291465,045497,409531,791547,064
その他の包括利益累計額
その他有価証券評価差額金4,7559,83010,9418,6886,72312,42911,73712,03817,47518,87936,819
繰延ヘッジ損益16481-30160-1901
土地再評価差額金4,6655,0655,0575,0194,9684,8984,8973,6103,6973,5093,419
為替換算調整勘定-4,174-12,862-16,201-20,128-21,413-29,917-11,32213,73032,23064,31660,122
退職給付に係る調整累計額-11,829-3,987-111-3,632-9,995-2,438-99253012,41823,17433,145
その他の包括利益累計額合計-6,566-1,906-313-10,057-19,716-15,0254,32529,91165,801109,879133,505
非支配株主持分38,78738,21537,05835,93536,56335,89934,18133,89933,17434,45531,668
純資産合計357,073400,034432,326450,645473,241506,821544,799528,857596,384676,124712,237
負債純資産合計1,014,0751,015,4151,022,1421,034,4281,032,9231,044,2271,103,0071,268,8621,338,2511,423,6951,479,061