協立エアテック

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

2015-12千円
2016-12千円
2017-12千円
2018-12千円
2019-12千円
2020-12千円
2021-12千円
2022-12千円
2023-12千円
2024-12千円
資産の部
流動資産
現金及び預金2,358,2472,512,8282,271,4172,809,3233,165,6793,559,1143,446,7623,409,6654,031,9764,373,605
受取手形及び売掛金2,545,7571,954,4182,013,0802,163,1542,116,5171,766,8001,859,5041,853,4962,126,1832,140,782
電子記録債権1,096,0311,153,3031,519,9211,820,5671,716,0491,303,7651,275,9301,728,3211,769,8381,563,444
商品及び製品491,657411,581547,504713,201670,737599,820571,163736,003774,733621,009
仕掛品23,61014,83517,04229,86924,17722,95725,86724,30124,27832,521
原材料及び貯蔵品397,185410,718449,449455,981517,148554,313576,357653,225776,540847,796
その他61,79749,15682,36295,97595,69870,33176,17678,33976,25073,423
貸倒引当金-28,374-25,305-5,542-5,135-1,913-1,228-1,253-1,464-2,624-2,540
繰延税金資産29,63241,50524,46553,223------
流動資産合計6,975,5446,523,0426,919,7028,136,1628,304,0967,875,8767,830,5108,481,8899,577,1779,650,043
固定資産
有形固定資産
建物及び構築物(純額)493,485447,7701,076,1481,009,0851,132,4801,230,6011,193,7411,538,7781,511,1881,447,332
機械装置及び運搬具(純額)298,241305,533288,158263,955426,888436,394356,811328,542290,813263,835
土地1,422,8651,912,8681,906,4301,906,4301,921,7221,928,9222,640,6632,618,5082,618,5082,959,618
建設仮勘定-365,4141,13362,2507,61519,755140,0805,44319,87510,213
その他(純額)71,42179,54281,59356,39037,01072,964116,84599,45081,13272,719
有形固定資産合計2,286,0143,111,1293,353,4643,298,1123,525,7173,688,6384,448,1414,590,7234,521,5184,753,719
無形固定資産
その他18,79220,12518,67616,22852,455160,667158,734162,816143,484114,196
無形固定資産合計18,79220,12518,67616,22852,455160,667158,734162,816143,484114,196
投資その他の資産
投資有価証券288,932249,250336,377295,893347,086289,946311,220319,720450,034781,016
退職給付に係る資産---------48,008
繰延税金資産-----90,155192,745199,078175,06878,844
その他60,10768,30464,10574,53685,11786,47794,35687,81991,763104,206
貸倒引当金-2,625-5,472-2,046-2,040-2,039-2,033-2,028-2,011-1,998-1,983
繰延税金資産83,76272,81649,15675,23784,745-----
長期貸付金9,7717,6326,850-------
投資その他の資産合計439,948392,530454,442443,627514,909464,546596,293604,606714,8671,010,091
固定資産合計2,744,7553,523,7853,826,5833,757,9684,093,0824,313,8525,203,1705,358,1475,379,8705,878,006
資産合計9,720,30010,046,82710,746,28611,894,13012,397,17812,189,72813,033,68013,840,03614,957,04815,528,050
負債の部
流動負債
支払手形及び買掛金1,849,0071,669,7772,053,2252,339,2651,736,126665,257819,921875,1141,003,135904,837
電子記録債務----599,4241,255,2371,261,6931,732,7071,785,7061,886,351
短期借入金1,700,0001,800,0001,800,0001,750,0001,750,0001,700,0001,950,0002,050,0002,050,0001,950,000
未払金341,792297,439256,395350,932325,143378,515304,483259,085331,201335,994
未払法人税等4,513197,046123,645240,549152,600109,799139,51489,781197,932134,609
賞与引当金40,20840,63640,66341,47641,80041,32941,22442,56046,13247,041
その他281,573256,824221,312388,512416,346326,174280,031243,330321,579317,096
1年内返済予定の長期借入金----------
流動負債合計4,217,0964,261,7234,495,2425,110,7355,021,4414,476,3124,796,8685,292,5795,735,6855,575,931
固定負債
退職給付に係る負債485,637598,137604,744649,512719,949676,534682,932741,502706,677758,316
長期未払金58,37558,37558,37558,37557,07557,07557,07557,07557,07557,075
製品保証引当金40,00038,64437,39936,43536,41832,36828,32224,27620,23016,184
長期預り保証金39,89538,54538,54538,54533,54528,54533,54524,94519,94519,945
資産除去債務5,3615,4125,4495,4885,4985,4985,4985,4985,4985,498
その他39,42638,00229,18016,11914,27828,79920,77811,5994,853267
繰延税金負債3,2103,0403,0403,040------
厚生年金基金解散損失引当金91,000---------
長期借入金----------
固定負債合計762,905780,156776,735807,516866,765828,820828,152864,896814,279857,286
負債合計4,980,0015,041,8805,271,9785,918,2515,888,2075,305,1335,625,0206,157,4766,549,9656,433,217
純資産の部
株主資本
資本金1,683,3781,683,3781,683,3781,683,3781,683,3781,683,3781,683,3781,683,3781,683,3781,683,378
資本剰余金1,586,8111,586,8111,586,8111,590,0881,592,6991,594,1801,596,0201,597,6361,610,8091,613,057
利益剰余金1,997,7382,340,4572,714,6873,258,2133,776,9854,113,5214,570,3364,838,0065,371,9535,774,726
自己株式-510,172-510,172-510,241-507,297-504,545-501,066-497,892-494,069-491,010-488,323
株主資本合計4,757,7565,100,4745,474,6346,024,3826,548,5186,890,0137,351,8427,624,9518,175,1308,582,838
その他の包括利益累計額
その他有価証券評価差額金103,54593,723146,007108,874135,80493,282105,111106,758208,598433,502
為替換算調整勘定30,68918,15823,16911,4056,5059,04737,74750,21061,41981,612
退職給付に係る調整累計額-151,692-207,408-169,503-168,784-181,857-107,748-86,040-99,360-57,402-26,070
その他の包括利益累計額合計-17,457-95,527-326-48,504-39,547-5,41856,81757,607212,615489,045
非支配株主持分--------19,33622,948
少数株主持分----------
純資産合計4,740,2985,004,9475,474,3085,975,8786,508,9716,884,5957,408,6597,682,5598,407,0829,094,832
負債純資産合計9,720,30010,046,82710,746,28611,894,13012,397,17812,189,72813,033,68013,840,03614,957,04815,528,050