TONE

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

2016-05千円
2017-05千円
2018-05千円
2019-05千円
2020-05千円
2021-05千円
2022-05千円
2023-05千円
2024-05千円
2025-05千円
資産の部
流動資産
現金及び預金410,554381,836514,589909,198896,8492,374,6971,698,2151,839,5922,248,5141,913,048
受取手形及び売掛金1,200,7821,451,9431,796,4781,652,5511,240,5791,358,8701,459,3731,687,9631,850,1961,717,075
商品及び製品880,5201,172,1731,274,0031,420,8111,489,2691,197,8901,239,9401,700,1642,756,0602,929,770
仕掛品429,585527,992435,872401,876414,119406,551341,109304,330506,632478,523
原材料及び貯蔵品689,052877,752765,225770,304987,2461,049,4621,019,8651,203,5591,640,7941,598,727
その他55,35840,41736,94860,07887,90863,002118,571149,117187,41084,629
貸倒引当金-3,900-4,660-5,730-5,275-3,973-4,174-4,357-5,395-6,362-6,282
繰延税金資産52,05170,65782,706-------
流動資産合計3,714,0054,518,1134,900,0945,209,5465,111,9986,446,3005,872,7186,879,3339,183,2478,715,492
固定資産
有形固定資産
建物及び構築物(純額)620,833587,391592,869557,919718,627690,860673,455716,3951,164,1831,099,890
機械装置及び運搬具(純額)111,610142,137128,486134,612102,249102,220103,680102,128204,592191,343
工具、器具及び備品(純額)28,25321,09322,48921,22918,43425,62624,47426,36261,73959,553
土地740,263781,5091,037,2561,007,2761,023,1781,023,1781,576,0961,576,0961,576,0961,585,089
リース資産(純額)31,86320,77912,9825043,6922,8401,9881,136284-
建設仮勘定13,88829,84526,11477,33720,09414,27634,305132,7175,494190,830
有形固定資産合計1,546,7111,582,7561,820,1981,798,8801,886,2771,859,0012,414,0002,554,8353,012,3903,126,707
無形固定資産
その他46,34961,35048,92037,75367,37555,34387,04167,44151,25830,875
リース資産15,7876,6444,2661,888------
無形固定資産合計62,13667,99453,18639,64267,37555,34387,04167,44151,25830,875
投資その他の資産
投資有価証券580,621702,109773,050654,359680,884797,6021,229,7091,476,1522,250,3602,293,262
退職給付に係る資産-----31,86248,04643,40839,16031,914
その他289,200280,244269,767294,721289,255284,225321,363323,890337,250333,654
貸倒引当金--11700------
投資その他の資産合計869,821982,2361,042,817949,080970,1401,113,6901,599,1191,843,4502,626,7712,658,831
固定資産合計2,478,6692,632,9872,916,2022,787,6032,923,7923,028,0364,100,1614,465,7275,690,4205,816,414
資産合計6,192,6757,151,1017,816,2967,997,1498,035,7919,474,3369,972,87911,345,06014,873,66714,531,906
負債の部
流動負債
支払手形及び買掛金586,228723,170627,488660,693706,153411,571613,078733,720817,230440,246
1年内返済予定の長期借入金------100,000-397,060359,560
1年内償還予定の社債--------7,0007,000
リース債務21,35510,80015,4022,585937937937937312-
未払法人税等195,444220,354170,685204,858129,396232,439231,849219,229201,453137,485
賞与引当金105,455105,318101,45294,287104,596113,172131,924100,82292,21980,471
未払金106,959151,817142,208141,985166,974142,077147,939257,692388,506203,092
未払費用50,43949,58753,13655,77953,22951,91850,28151,03848,32251,755
製品保証引当金-----47,33435,50518,0009,000-
その他20,10516,44339,13717,85826,099165,05933,03124,99357,12397,433
短期借入金271,999231,090440,46762,96038,500-----
役員賞与引当金36,50029,500--------
流動負債合計1,394,4871,538,0821,589,9781,241,0071,225,8881,164,5111,344,5461,406,4332,018,2271,377,045
固定負債
長期借入金431,692241,927101,46038,500-100,000--1,760,9381,401,378
社債--------43,00036,000
繰延税金負債----122,496152,66999,271135,616291,423316,372
資産除去債務3,7803,7803,7803,7803,7803,7803,7803,7803,7803,780
長期未払金40,27919,01316,6288,6375,6005,6106,0306,2701,4001,400
株式給付引当金-------62,20280,49393,143
その他2,3002,4002,7002,8002,9003,1003,8003,8004,0004,000
リース債務28,78717,9872,585-3,1242,1861,249312--
退職給付に係る負債159,202138,689109,27979,4982,645-----
繰延税金負債130,903171,919198,651132,242------
固定負債合計796,946595,717435,084265,459140,546267,346114,131211,9812,185,0351,856,073
負債合計2,191,4342,133,7992,025,0631,506,4661,366,4341,431,8571,458,6781,618,4154,203,2623,233,118
純資産の部
株主資本
資本金605,000605,000605,000605,000605,000605,000605,000605,000605,000605,000
資本剰余金163,380163,380163,380182,998204,325428,148633,555788,827803,548807,813
利益剰余金3,376,8714,305,5475,040,6765,774,9666,279,4737,004,6667,568,7308,299,7239,003,5469,556,164
自己株式-370,861-371,252-372,572-355,303-703,193-357,920-511,113-406,126-660,421-612,235
株主資本合計3,774,3914,702,6765,436,4836,207,6616,385,6057,679,8948,296,1729,287,4239,751,67310,356,741
その他の包括利益累計額
その他有価証券評価差額金212,690304,430353,514268,992275,506353,962198,309407,602834,272858,290
為替換算調整勘定14,16010,1941,23414,0298,2448,62219,71931,62084,45983,756
その他の包括利益累計額合計226,850314,625354,749283,021283,751362,585218,028439,222918,731942,046
純資産合計4,001,2415,017,3015,791,2336,490,6836,669,3578,042,4798,514,2019,726,64510,670,40411,298,788
負債純資産合計6,192,6757,151,1017,816,2967,997,1498,035,7919,474,3369,972,87911,345,06014,873,66714,531,906