栗本鐵工所

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17,05518,28023,18921,56420,38820,41821,35820,33419,36815,73018,542
受取手形、売掛金及び契約資産------35,48240,14938,17238,88030,165
電子記録債権1,1632,4074,4517,0476,3917,3758,96410,46712,94012,51016,391
商品及び製品10,4849,74110,8419,34610,44510,1949,73611,33811,69912,11810,623
仕掛品5,7936,5125,8586,6828,8684,9658,5756,2468,0538,5518,398
原材料及び貯蔵品2,2702,2132,7202,6252,6052,7333,6503,8043,6593,3663,273
その他1,0841,1461,4731,3471,2851,2341,5071,2531,1371,7722,325
貸倒引当金-62-109-121-137-152-115-126-127-42-30-74
受取手形及び売掛金38,77138,26836,96339,29734,83735,827-----
繰延税金資産9919231,108--------
流動資産合計77,55279,38586,48587,77484,66982,63489,14993,46694,98792,90189,645
固定資産
有形固定資産
建物及び構築物24,99825,87725,99926,14526,85928,00028,53928,96129,71830,76031,123
減価償却累計額-17,175-17,433-17,838-18,323-18,848-19,373-19,978-20,561-21,075-21,915-22,494
建物及び構築物(純額)7,8238,4448,1607,8218,0118,6268,5618,4008,6438,8458,628
機械装置及び運搬具51,51852,06553,32853,91055,20555,98456,93057,70358,26059,26559,968
減価償却累計額-43,901-44,537-45,671-46,287-46,875-47,659-48,510-49,234-50,253-51,415-52,271
機械装置及び運搬具(純額)7,6167,5287,6577,6228,3298,3258,4198,4688,0077,8507,696
工具、器具及び備品9,7439,7589,8349,89610,14910,33710,46910,57710,74710,88011,434
減価償却累計額-8,858-8,898-9,037-9,183-9,306-9,376-9,482-9,671-9,804-9,946-10,224
工具、器具及び備品(純額)8848607977138439619869069439331,210
土地15,20913,42813,72913,77313,78713,80813,78713,84613,92614,02814,060
リース資産3883753853914004032991,1001,1311,339909
減価償却累計額-257-288-325-351-311-293-208-217-230-288-210
リース資産(純額)13087604088110918829001,050698
建設仮勘定1,5774543871,1511,8061,0546787901,0002,3406,269
有形固定資産合計33,24330,80330,79231,12132,86732,88632,52533,29533,42135,04938,564
無形固定資産
その他7026807497451,4001,8521,7731,4431,1821,078840
無形固定資産合計7026807497451,4001,8521,7731,4431,1821,078840
投資その他の資産
投資有価証券10,87212,60612,25110,3288,42311,67611,52612,34718,87020,15122,347
退職給付に係る資産----------1,774
繰延税金資産----5,5264,0413,3373,177616188185
その他2,3332,1632,0911,7551,4931,4401,4931,6612,2602,3272,544
貸倒引当金-321-218-203-178-164-54-83-227-162-157-313
繰延税金資産-3,7902,9564,923-------
投資その他の資産合計12,88318,34317,09616,82815,27917,10316,27416,95821,58522,50926,537
固定資産合計46,82949,82748,63748,69549,54651,84350,57351,69756,18958,63665,941
資産合計124,382129,212135,122136,469134,216134,477139,722145,164151,176151,538155,586
負債の部
流動負債
支払手形及び買掛金22,79020,89019,57819,62918,10217,39515,10415,35314,03610,4188,639
電子記録債務2,8595,86411,66513,28810,7679,72913,55614,25720,54314,70712,224
短期借入金21,75923,01221,30620,25520,67020,32022,25019,85012,29018,18013,870
1年内返済予定の長期借入金3,0617,1022,1122,1112,3756681,2226966785601,145
リース債務5240392831343365496364
未払法人税等5766474375101,2586184262,2311,3871,6931,963
未払費用1,4951,4281,6091,8021,9901,8781,8392,0731,9982,6642,834
前受金1,4041,2991,0482,3773,3511,2812,6281,8302,219882462
賞与引当金1,4381,6591,5861,6771,9022,0131,8962,7673,1243,5902,846
工事損失引当金4286199203184487321477485474269
その他の引当金131615551624128112833
その他3,1182,2692,1342,3682,1812,6912,3022,6982,6183,9722,937
訴訟損失引当金22212121--238----
災害損失引当金----42339713----
環境対策引当金----692-----
流動負債合計58,63464,33961,75664,32863,32557,54361,84662,31159,44257,23647,292
固定負債
長期借入金7,385184,9622,8817051,7367141181,1315707,100
リース債務855152317289688308871,051996
繰延税金負債---------5362,602
退職給付に係る負債8,4267,8138,2569,48210,4949,3058,8308,3476,4611,7191,096
資産除去債務137131335318318318319324325379385
その他6105515144494013513032541961,365675
環境対策引当金-178145110202020131--
繰延税金負債352----------
固定負債合計16,9988,74414,26613,27412,01311,82210,2569,8899,0035,62212,856
負債合計75,63373,08476,02277,60275,33969,36672,10272,20068,44662,85960,148
純資産の部
株主資本
資本金31,18631,18631,18631,18631,18631,18631,18631,18631,18631,18631,186
資本剰余金6,9426,9426,8806,8806,8736,8736,8736,8736,8956,8967,345
利益剰余金14,24117,81519,83021,17822,58725,02827,02930,82834,52038,70441,456
自己株式-1,093-1,771-1,761-1,750-1,831-1,817-1,802-1,778-1,483-1,473-1,904
株主資本合計51,27654,17356,13657,49358,81661,27163,28767,10971,11975,31378,083
その他の包括利益累計額
その他有価証券評価差額金1,7943,1923,3482,0137713,3063,2564,2128,8869,03811,373
繰延ヘッジ損益71----10--2
為替換算調整勘定--185-4-5244198292458399
退職給付に係る調整累計額-4,823-1,768-1,151-1,442-1,690-558-247871,4402,8814,516
その他の包括利益累計額合計-3,0211,4252,214576-9232,6953,0544,49810,61912,37816,291
非支配株主持分4935287487979841,1441,2771,3559919861,064
純資産合計48,74956,12859,10058,86758,87665,11167,61972,96382,73088,67895,438
負債純資産合計124,382129,212135,122136,469134,216134,477139,722145,164151,176151,538155,586