日本坩堝

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
2024-03千円
2025-03千円
2026-03千円
資産の部
流動資産
現金及び預金1,361,6651,482,1391,533,8241,594,6941,885,4442,258,5532,401,8091,837,4671,655,6561,820,7292,278,893
受取手形------399,181361,506335,754156,94074,603
電子記録債権132,678159,459130,162180,265186,121199,024310,205349,339602,620566,620535,410
売掛金------1,911,5642,261,9852,166,5842,183,6182,175,419
契約資産------79,623205,399235,354103,673269,709
商品及び製品531,142461,531517,008590,565606,455485,502459,788502,345507,140668,584684,889
仕掛品284,887277,361313,504314,192261,278207,690215,727239,232243,243319,154184,948
未成工事支出金----30,8018,8583,91820,0047,74510,29211,908
原材料及び貯蔵品537,758520,803578,437619,791687,378498,346695,894724,310770,345784,440689,073
未収入金182,745234,403192,356160,510117,053213,79928,74235,33643,77054,00649,522
その他25,53020,84239,43854,08657,46166,72369,01070,35094,55662,041106,511
貸倒引当金-300-35-10-10-10-10-10-123-134-214-579
受取手形及び売掛金2,554,2812,575,8413,144,3123,224,1622,712,7032,452,119-----
繰延税金資産84,13583,894115,036--------
流動資産合計5,694,5215,816,2386,564,0676,738,2556,544,6846,390,6046,575,4546,607,1556,662,6386,729,8897,060,309
固定資産
有形固定資産
建物及び構築物(純額)851,3981,532,5901,610,4141,560,8791,519,2461,501,5301,491,7771,402,6351,307,8141,502,7691,451,412
機械装置及び運搬具(純額)682,894638,556615,213574,409531,426462,042435,926357,115308,797445,926618,951
工具、器具及び備品(純額)41,13339,31544,67045,84491,15078,23873,26287,12570,32791,38779,414
土地104,875104,875119,850119,850119,850119,850119,851119,851209,125214,115255,415
リース資産(純額)205,152161,634127,729404,219303,118305,928222,710165,584128,775104,00071,819
建設仮勘定--108,216-18,871---119,13979,852244,241
有形固定資産合計1,885,4522,476,9702,626,0922,705,2012,583,6612,467,5882,343,5292,132,3112,143,9802,438,0512,721,255
無形固定資産
のれん--305,374283,562261,750239,938260,794217,647174,500211,519174,999
その他--40,940106,72499,58574,84254,88533,59820,62123,39817,883
無形固定資産合計--346,314390,286361,335314,780315,679251,245195,122234,917192,882
投資その他の資産
投資有価証券478,158610,764755,363660,292563,582792,691841,920876,281998,5271,137,5671,603,527
関係会社出資金346,329335,120316,628267,389322,605351,902591,397570,731279,272284,91024,870
繰延税金資産----382,816336,586294,820255,410246,172259,221111,848
保険積立金27,15623,65721,5406,4248,6066,24050,34533,58431,01535,35241,380
その他161,763169,470151,930176,783159,90543,70164,06458,359128,054125,202343,716
貸倒引当金-6,565-1,352-1,125-272-272---339-339--
繰延税金資産288,052274,102215,753362,742-------
長期貸付金5,32830---------
破産更生債権等95----------
投資その他の資産合計1,300,3161,411,7911,460,0891,473,3581,437,2421,531,1201,842,5481,794,0271,682,7021,842,2542,125,342
無形固定資産96,93167,203---------
固定資産合計3,282,6993,955,9644,432,4954,568,8454,382,2384,313,4884,501,7574,177,5854,021,8054,515,2235,039,480
資産合計8,977,2209,772,20210,996,56211,307,10010,926,92210,704,09211,077,21210,784,74010,684,44411,245,11212,099,790
負債の部
流動負債
支払手形及び買掛金645,505574,894797,658741,376694,330601,791697,540800,471590,193724,208639,776
電子記録債務709,955735,716903,6211,012,042818,031691,771646,248709,458939,212963,476737,621
短期借入金1,328,1001,390,9001,455,0701,477,9141,661,4061,444,4921,311,1541,344,6001,347,9001,335,2001,476,908
リース債務79,44577,21146,36667,62461,30571,73360,63750,80149,73953,01435,237
未払法人税等47,64987,86798,07799,18045,60843,62279,00772,11771,713113,222138,929
賞与引当金163,895180,070229,993217,745161,220159,870158,293185,969212,307232,285257,311
役員賞与引当金11,50017,12522,74024,35019,00916,66439,42825,95438,15350,41435,273
その他377,088329,113461,211439,442427,880420,014390,018344,425421,340408,486530,434
流動負債合計3,363,1373,392,8964,014,7364,079,6733,888,7893,449,9573,382,3283,533,7983,670,5603,880,3073,851,492
固定負債
長期借入金835,2001,339,5501,629,6821,438,5681,079,1621,022,6701,123,900714,300499,900546,100827,776
リース債務210,702139,746107,170320,137261,613245,366184,729133,92784,18837,4172,132
退職給付に係る負債613,211629,088617,563636,230692,464762,983791,293800,366734,977748,109803,194
役員退職慰労引当金120,600134,05074,73391,66777,77893,310117,941113,150109,216123,28683,294
役員株式給付引当金-----2,2967,9998,80212,94019,88121,372
資産除去債務8,5008,5008,5008,5008,5008,500104,375104,375104,375104,375110,875
その他161,563188,769193,020200,723197,677206,613178,537176,339175,628175,928195,928
固定負債合計1,949,7762,439,7032,630,6682,695,8252,317,1942,341,7382,508,7762,051,2621,721,2261,755,0992,044,573
負債合計5,312,9135,832,5996,645,4046,775,4986,205,9835,791,6955,891,1055,585,0615,391,7865,635,4065,896,066
純資産の部
株主資本
資本金704,520704,520704,520704,520704,520704,520704,520704,520704,520704,520704,520
資本剰余金60,70060,70060,70060,70060,70085,47485,47485,47485,47485,47485,474
利益剰余金2,863,8103,099,8943,406,6093,716,5853,928,7573,964,8934,140,3524,096,6684,202,0894,490,6354,733,990
自己株式-69,237-69,294-69,679-69,723-69,723-109,333-109,343-109,343-161,298-161,298-149,111
株主資本合計3,559,7933,795,8204,102,1504,412,0824,624,2544,645,5544,821,0024,777,3184,830,7855,119,3315,374,874
その他の包括利益累計額
その他有価証券評価差額金77,992143,707252,281180,835109,159270,675326,924356,758438,847445,696828,849
為替換算調整勘定27,099175-3,273-61,315-12,474-3,83238,17965,60123,02444,678-
繰延ヘッジ損益-577-99---------
その他の包括利益累計額合計104,514143,783249,008119,52096,685266,843365,104422,360461,872490,374828,849
非支配株主持分-----------
純資産合計3,664,3073,939,6034,351,1584,531,6024,720,9394,912,3975,186,1065,199,6795,292,6575,609,7066,203,724
負債純資産合計8,977,2209,772,20210,996,56211,307,10010,926,92210,704,09211,077,21210,784,74010,684,44411,245,11212,099,790