丸一鋼管

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65,27988,49858,40360,76883,82781,87771,05088,54291,866100,24291,859
受取手形及び売掛金30,64332,98136,50736,77433,66537,47350,24852,83555,22149,98647,046
有価証券25,0645,72733,20831,80121,42115,54413,18911,61513,50817,08813,939
製品8,9868,29610,09312,42610,8019,75619,88020,77120,31320,19222,207
原材料及び貯蔵品13,54014,43417,43920,81617,06022,17134,32139,78937,53734,69736,682
未収入金2,2561,1191,6862,1731,9851,5001,7321,4571,3801,2412,587
その他1,1631,0451,3961,0738239492,2192,3992,3923,1964,459
貸倒引当金-28-27-26-172-202-17-79-34-54-63-68
繰延税金資産1,0441,017872--------
流動資産合計147,951153,093159,580165,662169,382169,256192,562217,377222,166226,582218,714
固定資産
有形固定資産
建物及び構築物(純額)23,40922,12921,52721,60621,24124,18324,97526,16626,81235,04237,308
機械装置及び運搬具(純額)26,48326,35523,78822,85317,62120,20821,74622,97024,95328,24031,039
土地32,71732,52232,61032,61032,95636,50536,57737,40238,61543,27743,222
建設仮勘定1,4641,2202,0001,5822,6173,2911,6193,08311,59315,12517,548
その他(純額)7577396457151,5401,9031,8632,0872,1172,1381,958
有形固定資産合計84,83282,96780,57279,36875,97786,09186,78291,710104,092123,825131,076
無形固定資産
のれん8737516395404469531819217516191
その他1,2951,1521,1941,0818398211,3431,4511,9422,2162,860
無形固定資産合計2,1681,9031,8331,6221,2869161,6621,6442,1172,3772,951
投資その他の資産
投資有価証券56,82365,46970,78270,96660,49671,28585,84279,00897,29266,63163,859
繰延税金資産----4024168201,0211,2311,8951,563
その他2,8162,7873,4193,0732,5732,2892,4102,4072,6334,3244,212
貸倒引当金------3-3-3-3-3-3
繰延税金資産279230228325-------
投資その他の資産合計59,91968,48774,43174,36563,47373,98789,07182,433101,15472,84869,632
固定資産合計146,920153,359156,837155,356140,737160,996177,515175,788207,363199,051203,660
資産合計294,871306,453316,418321,019310,120330,252370,078393,165429,529425,634422,374
負債の部
流動負債
支払手形及び買掛金17,85716,97518,42819,06822,27523,04934,47733,83230,20424,75727,443
短期借入金9,3016,8666,3398,8275,5276,4812,8746,4823,1422,1883,599
未払金1,3451,1031,4261,1911,7872,1481,5161,4332,2361,5191,335
未払費用2,3222,0842,2352,1691,9162,3383,2273,0873,6213,3903,480
未払法人税等4,1273,2363,0382,7201,6203,5055,1745,6793,62712,8131,042
賞与引当金8619309048828951,0801,2881,4331,3941,3121,222
役員賞与引当金706872757774156182159133119
設備関係支払手形1,4161,1441,6509351,1331,5004571,0622,3071,3282,979
その他9917515657571,0621,5518172,2542,5163,6254,033
流動負債合計38,29433,16234,66236,62936,29641,73149,98855,44749,21051,07045,255
固定負債
長期借入金8,5005,8983,6011,7829064583451,6522,2241,500787
繰延税金負債----1,8345,1047,3066,90612,4387233,054
株式給付引当金----155207247266302335372
役員株式給付引当金-------38211810
役員退職慰労引当金77526377110129169142144179185
退職給付に係る負債3,0933,1883,1253,0962,9564,7833,7823,8083,9613,5773,203
長期仮受金---------7,7926,848
その他232224230244578861645682535719719
繰延税金負債2,7944,7035,3574,139-------
株式給付引当金--72113-------
固定負債合計14,69814,06712,4509,4536,54111,54312,49613,49719,81714,83715,182
負債合計52,99247,22947,11346,08342,83753,27562,48568,94569,02865,90760,438
純資産の部
株主資本
資本金9,5959,5959,5959,5959,5959,5959,5959,5959,5959,5959,595
資本剰余金15,82115,82115,92015,92015,92615,89915,79613,43613,41415,35415,473
利益剰余金228,340239,684248,467256,052255,033261,392257,951274,533292,032308,522324,241
自己株式-26,963-26,965-27,055-27,046-27,010-28,923-10,072-11,061-10,922-20,852-34,645
株主資本合計226,794238,136246,927254,520253,545257,963273,270286,503304,119312,619314,664
その他の包括利益累計額
その他有価証券評価差額金4,58010,73912,36210,9696,07914,56822,47719,69431,48213,10016,642
為替換算調整勘定8899-585-1,492-2,359-3,2701,0066,59910,82217,71416,014
退職給付に係る調整累計額-77-108-59-7414-267206705898231,003
その他の包括利益累計額合計5,39210,64011,7179,4023,73411,27124,20426,96442,89431,63833,660
新株予約権122144166188188162162162107107107
非支配株主持分9,56910,30110,49310,8249,8147,5799,95510,58913,37915,36113,504
純資産合計241,878259,223269,305274,935267,282276,977307,593324,220360,501359,726361,936
負債純資産合計294,871306,453316,418321,019310,120330,252370,078393,165429,529425,634422,374