日本金属

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5,339,7688,102,8948,395,1326,423,3756,219,1318,77110,1348,04012,04012,0139,087
受取手形及び売掛金11,777,95911,543,53710,580,9709,258,2377,936,3318,0979,1028,9378,4066,4726,208
電子記録債権--3,294,4274,656,5154,024,0714,1415,1234,8207,0956,2015,311
商品及び製品4,451,6054,013,2254,069,4174,636,2494,917,9514,3895,1538,6447,3006,8756,922
仕掛品4,092,8773,532,4504,065,6544,219,2274,838,3643,8534,9365,1715,2204,8564,964
原材料及び貯蔵品1,196,8511,119,4491,162,9291,064,1521,227,5061,3221,5311,9242,0301,6781,882
その他378,719280,706293,893324,353633,389405601760458597371
貸倒引当金-44,026-31,628-19,252-3,310-3,238-2-2-1-1-1-1
繰延税金資産302,470328,321388,797--------
流動資産合計27,496,22628,888,95732,231,97130,578,80029,793,50830,97836,58038,29742,55138,69334,746
固定資産
有形固定資産
建物及び構築物(純額)4,126,3453,909,4243,793,1343,601,5323,522,6284,0533,9563,9723,4643,5733,504
機械装置及び運搬具(純額)6,006,4046,132,1166,229,1026,885,9887,822,2427,91911,11311,15210,32010,1249,448
土地16,289,14516,287,19316,240,59716,258,03916,268,53116,25616,24516,23013,79213,10013,020
建設仮勘定794,086796,3181,574,860751,597569,86482142817517557187
その他(純額)572,524549,336553,065566,260547,272559549523511511430
有形固定資産合計27,788,50727,674,39028,390,76028,063,41728,730,53829,60832,29232,05328,26427,36826,592
無形固定資産94,46362,59176,84675,193103,54512615213312010686
投資その他の資産
投資有価証券2,140,7592,359,3782,536,2042,179,7281,830,8132,0982,1202,3773,0022,8813,813
長期貸付金11,67015,34515,20212,48514,19111104554
繰延税金資産----1,160,9131,186851833771474103
その他242,123259,470222,025213,007206,559202207207403400382
貸倒引当金-39,531-37,662-41,966-40,606-36,300-36-35-34-33-32-31
繰延税金資産622,344658,638206,537803,548-------
投資その他の資産合計2,977,3653,255,1702,938,0013,168,1633,176,1763,4633,1533,3894,1483,7294,272
固定資産合計30,860,33630,992,15231,405,60731,306,77432,010,26133,19935,59835,57632,53331,20430,951
資産合計58,356,56359,881,10963,637,57961,885,57461,803,77064,17772,17973,87475,08569,89765,697
負債の部
流動負債
支払手形及び買掛金12,302,80211,996,48514,168,77712,060,21611,924,83211,48414,40310,28310,1528,0798,126
電子記録債務-------4,3384,2053,7673,376
短期借入金11,090,79510,403,8408,874,0408,880,3409,161,55010,54410,92212,32812,41214,1503,000
リース債務109,607168,609161,414163,438164,927149766911111190
未払法人税等106,278381,504582,242465,72558,542157705166784140161
賞与引当金301,646342,305448,103437,125327,393312337340300278295
製品保証引当金------4656524337
環境対策引当金---11,600--37-0-33
前受収益----------9
その他1,800,0842,276,9342,897,1042,361,2172,536,6582,8915,2493,7572,4252,4151,787
返品調整引当金87,61473,17354,43951,81739,88338-----
流動負債合計25,798,82825,642,85327,186,12124,431,48124,213,78725,57831,77831,33930,44428,98716,918
固定負債
長期借入金10,947,27010,753,43010,657,89010,397,55011,056,00012,14211,52012,21211,7106,93014,000
リース債務289,446493,983403,937311,039187,905161174143227315240
繰延税金負債----8,526805046118142247
再評価に係る繰延税金負債3,041,2633,041,2633,041,2633,041,2633,041,2633,0413,0413,0413,0413,1293,121
退職給付に係る負債1,916,3852,059,4961,752,1702,402,5722,620,4632,5982,2372,5502,5932,4501,881
環境対策引当金--55,65330,55061,9015921484341-
資産除去債務35,88837,49238,12438,76839,424404041414142
その他10,1609,8409,5809,58071,5800000051
繰延税金負債98,557125,28394,9138,672-------
固定負債合計16,338,97216,520,79016,053,53316,239,99617,087,06418,12317,08718,08517,77713,05319,584
負債合計42,137,80142,163,64443,239,65540,671,47841,300,85243,70248,86549,42448,22242,04036,503
純資産の部
株主資本
資本金6,857,0006,857,0006,857,0006,857,0006,857,0006,8576,8576,8576,8576,8576,857
資本剰余金986,351986,351986,351986,351986,351986986986986986986
利益剰余金2,516,2043,879,6905,955,7896,663,7256,265,5225,9858,4659,36411,12811,83112,024
自己株式-9,241-9,826-10,002-10,021-10,107-10-10-10-10-10-210
株主資本合計10,350,31311,713,21513,789,13814,497,05514,098,76613,81916,29817,19718,96119,66419,657
その他の包括利益累計額
その他有価証券評価差額金611,157831,637946,664707,950467,1838038049831,4241,3431,974
土地再評価差額金5,852,7455,852,7455,998,8915,998,8915,998,8916,0016,0596,0776,0775,9886,008
為替換算調整勘定132,42974,753175,297139,679221,5901401634086511,0641,396
退職給付に係る調整累計額-727,885-754,887-512,067-129,480-283,514-289-12-217-251-204156
その他の包括利益累計額合計5,868,4476,004,2496,608,7866,717,0406,404,1516,6567,0157,2517,9018,1919,536
純資産合計16,218,76117,717,46420,397,92421,214,09620,502,91720,47523,31424,44926,86327,85629,194
負債純資産合計58,356,56359,881,10963,637,57961,885,57461,803,77064,17772,17973,87475,08569,89765,697