赤阪鐵工所

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

2016-03千円
2017-03千円
2018-03千円
2019-03千円
2020-03千円
2021-03千円
2022-03千円
2023-03千円
2024-03千円
2025-03千円
2026-03千円
資産の部
流動資産
現金及び預金3,018,2882,400,7472,693,2472,723,5801,762,5432,647,4232,561,8342,206,4941,596,956723,9231,037,647
受取手形895,573511,708689,735590,584358,525290,280263,374302,252248,119294,39793,680
電子記録債権201,452272,511925,636499,424629,451485,974480,483442,576614,668525,1841,101,831
売掛金1,179,9821,464,5681,767,0041,790,4242,480,2691,480,9371,365,0971,402,0191,599,2951,950,2481,867,224
製品----70,50080,761--59,55296,846149,880
仕掛品2,064,6162,816,4352,541,0062,497,9512,316,3721,948,0572,011,7892,535,4282,233,8842,442,2343,272,983
原材料及び貯蔵品455,840424,227491,810416,598434,311410,538435,926478,391522,119617,062747,553
前払費用4,2082,7371542334692,1642,3543,4888,3999,5565,950
その他9,202130,30024,65345,22552,93633,72331,00765,19442,36679,29357,482
貸倒引当金--223-6,419-6,419-7,666-2,091-1,986-1,248-78-87-2,283
繰延税金資産91,031121,136135,002--------
流動資産合計7,920,1978,144,1489,261,8328,557,6038,097,7147,377,7717,149,8817,434,5976,925,2856,738,6598,331,950
固定資産
有形固定資産
建物5,050,0105,102,1295,113,4695,200,8355,296,3055,374,6015,423,0425,552,3015,581,2665,769,9405,859,940
減価償却累計額-3,699,335-3,788,588-3,874,995-3,919,331-4,009,761-4,098,607-4,189,876-4,283,417-4,381,574-4,478,684-4,585,553
建物(純額)1,350,6741,313,5411,238,4741,281,5031,286,5431,275,9931,233,1661,268,8841,199,6921,291,2551,274,386
構築物722,926747,540748,290725,843727,093726,493726,493729,433729,433813,621824,361
減価償却累計額-580,421-592,112-604,105-592,463-602,555-611,598-620,671-628,244-636,538-645,000-658,498
構築物(純額)142,504155,428144,185133,379124,537114,894105,822101,18892,894168,621165,863
機械及び装置8,730,7738,859,5748,662,3348,325,2608,360,0128,579,1128,434,0128,690,5608,673,4488,466,5618,589,533
減価償却累計額-8,283,595-8,458,179-8,377,314-7,983,417-8,069,844-8,049,388-7,999,812-8,074,335-8,150,429-7,980,155-8,099,280
機械及び装置(純額)447,178401,395285,019341,842290,167529,723434,200616,225523,019486,406490,253
車両運搬具101,403100,127109,027109,722111,576114,134116,228118,195122,391123,779130,646
減価償却累計額-92,980-91,282-96,999-101,777-103,811-108,989-108,864-110,129-114,213-115,441-113,246
車両運搬具(純額)8,4238,84412,0287,9447,7655,1457,3638,0668,1788,33817,400
工具、器具及び備品2,281,5272,354,5922,413,3832,059,6002,037,9822,107,9122,142,3382,165,7642,212,1342,333,2802,492,855
減価償却累計額-2,235,377-2,280,480-2,346,331-1,992,984-1,950,706-2,010,039-2,054,386-2,092,245-2,121,879-2,195,500-2,349,373
工具、器具及び備品(純額)46,15074,11167,05266,61587,27697,87287,95173,51990,254137,780143,482
土地858,347858,347858,347858,347858,347858,347858,347858,347858,347858,347858,347
リース資産-----9,996116,212410,666452,726755,466730,597
減価償却累計額------1,832-12,307-33,227-76,148-156,284-223,322
リース資産(純額)-----8,163103,904377,438376,577599,181507,274
建設仮勘定27,06710,9021,7589,289168,10014,2673,6005,0651,44213,9873,756
有形固定資産合計2,880,3462,822,5702,606,8652,698,9232,822,7382,904,4082,834,3563,308,7343,150,4063,563,9193,460,763
無形固定資産
ソフトウエア25,95228,92859,44180,09692,420100,943128,99498,43292,48159,68251,530
その他5,44331,8065,31223,2965,2545,2255,1965,1677,6447,0586,472
無形固定資産合計31,39560,73464,753103,39397,675106,169134,191103,600100,12666,74058,003
投資その他の資産
投資有価証券822,557953,3641,149,730945,734720,436962,661950,7991,079,7702,300,1972,302,7664,985,282
関係会社株式9,0529,0529,0529,0529,0529,0529,0529,0529,0529,0529,052
出資金373373373373373373373373374374374
長期貸付金16,70015,70014,70013,70012,65011,65010,5009,3008,0007,0006,000
従業員に対する長期貸付金18,64413,83610,75717,27714,55013,00912,55010,52610,90710,1218,573
破産更生債権等--3,3843,3847,7371,6896,7096,7096,4806,480-
長期前払費用1,1441,55488823655924928159911,0587,0764,663
長期預金-------300,000850,000850,000850,000
前払年金費用80,493181,045201,224204,263237,181270,698313,166356,407376,051404,460426,856
その他189,963198,176123,026131,196132,771129,060113,385102,146102,33386,86586,912
貸倒引当金-20,260-19,921-22,374-21,404-24,952-17,981-21,901-20,745-19,220-18,230-10,756
投資その他の資産合計1,118,6691,353,1821,490,7631,303,8131,110,3601,380,4631,394,9171,854,1413,655,2343,665,9676,366,958
固定資産合計4,030,4114,236,4884,162,3824,106,1294,030,7754,391,0424,363,4645,266,4756,905,7677,296,6289,885,726
資産合計11,950,60912,380,63613,424,21412,663,73312,128,48911,768,81311,513,34612,701,07313,831,05314,035,28718,217,676
負債の部
流動負債
支払手形367,508381,345599,326482,246685,501106,66348,67857,91361,79916,670-
電子記録債務-----232,125163,418252,920308,991325,642449,053
買掛金1,213,9431,636,5821,897,8271,942,4281,666,3671,286,163968,0501,283,0441,398,4241,156,2561,323,369
短期借入金174,980174,980183,320183,320174,980174,980174,980174,980183,320174,980174,980
1年内返済予定の長期借入金339,904239,26496,17475,269100,072170,064227,514233,949270,902294,280332,625
1年内償還予定の社債72,000132,000--100,00040,00040,00040,00040,00040,00020,000
リース債務-----2,19913,38751,30561,46895,48494,058
未払金155,55767,581140,296132,51012,316146,440119,37017,863141,577119,378150,841
未払費用247,949286,498491,666319,361389,872301,198253,448260,692260,102267,594327,359
未払法人税等82,99162,48421,20712,21153,22511,03556,01131,13616,85717,41789,068
契約負債------314,564553,318209,531288,4361,027,973
預り金8,5528,89321,84022,7708,5898,8318,6998,80024,1889,71310,064
前受収益4,1815,1505,1505,1505,2445,1825,1785,3645,3645,3644,813
賞与引当金126,900121,400129,300135,300137,600129,600139,800143,800143,700150,600148,300
製品保証引当金40,00654,619108,503112,703173,738167,25054,92634,44243,72862,616114,587
受注損失引当金------47,76032,22846,96377,99245,693
その他11,49211,49211,49226,96219,6451,503400--100434
前受金201,537281,058594,728424,511318,097357,140-----
設備関係支払手形26,67571,41550,652100,63132,743------
流動負債合計3,074,1813,534,7654,351,4853,975,3763,877,9923,140,3762,636,1863,181,7573,216,9173,102,5264,313,220
固定負債
社債132,000-100,000100,000-160,000120,00080,00040,000-80,000
長期借入金321,65882,39491,850192,375289,803444,743500,566564,177499,046679,764838,807
リース債務-----6,780100,456363,268346,524550,828447,155
繰延税金負債----15,336168,220167,885223,239578,657603,8851,400,548
退職給付引当金53,05646,63733,41625,83924,29226,87429,09725,19620,36918,40818,590
役員株式給付引当金----15,63822,97230,30535,05144,97335,69844,110
執行役員退職慰労引当金----1,0501,6502,2501,4372,2872,8873,937
その他88,58880,49669,004110,957114,463114,463114,463115,363114,36381,935109,158
繰延税金負債87,681164,707210,64220,406-------
役員退職慰労引当金181,778164,32853,865--------
役員株式給付引当金---7,441-------
執行役員退職慰労引当金---450-------
固定負債合計864,762538,563558,778457,469460,583945,7041,065,0251,407,7341,646,2221,973,4072,942,308
負債合計3,938,9444,073,3294,910,2634,432,8464,338,5764,086,0813,701,2124,589,4924,863,1405,075,9337,255,528
純資産の部
株主資本
資本金1,510,0001,510,0001,510,0001,510,0001,510,0001,510,0001,510,0001,510,0001,510,0001,510,0001,510,000
資本剰余金
資本準備金926,345926,345926,345926,345926,345926,345926,345926,345926,345926,345926,345
その他資本剰余金--------621611588
資本剰余金合計926,345926,345926,345926,345926,345926,345926,345926,345926,966926,957926,934
利益剰余金
利益準備金377,500377,500377,500377,500377,500377,500377,500377,500377,500377,500377,500
その他利益剰余金
固定資産圧縮積立金96,20291,17585,90880,86475,54070,24464,60559,56054,61648,91743,790
別途積立金3,930,0303,930,0303,930,0303,930,0303,930,0303,930,0303,930,0303,930,0303,930,0303,930,0303,930,030
繰越利益剰余金1,050,2271,258,6041,394,7781,298,3901,305,5401,035,1331,166,1931,385,3411,386,8651,389,6441,539,941
特別償却準備金-----------
利益剰余金合計5,453,9615,657,3105,788,2185,686,7865,688,6115,412,9095,538,3305,752,4325,749,0135,746,0925,891,263
自己株式-32,014-32,627-33,751-76,187-436,558-436,746-437,126-435,951-423,214-406,497-408,065
株主資本合計7,858,2928,061,0298,190,8128,046,9457,688,3997,412,5087,537,5507,752,8277,762,7667,776,5527,920,132
評価・換算差額等
その他有価証券評価差額金150,933246,278311,829196,886101,513270,223274,583358,7531,205,1461,182,8013,042,014
繰延ヘッジ損益2,438-11,308-12,944-------
評価・換算差額等合計153,371246,278323,138183,941101,513270,223274,583358,7531,205,1461,182,8013,042,014
純資産合計8,011,6648,307,3078,513,9518,230,8867,789,9137,682,7327,812,1338,111,5808,967,9128,959,35410,962,147
負債純資産合計11,950,60912,380,63613,424,21412,663,73312,128,48911,768,81311,513,34612,701,07313,831,05314,035,28718,217,676