KeePer技研

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

2016-06千円
2017-06千円
2018-06千円
2019-06千円
2020-06千円
2021-06千円
2022-06千円
2023-06千円
2024-06千円
2025-06千円
資産の部
流動資産
現金及び預金1,695,6541,468,6081,824,8662,355,1121,893,9471,517,1322,721,4633,573,8255,137,4524,172,742
受取手形154,949163,880159,428157,820117,371166,410168,918185,863193,628147,933
売掛金580,357574,381600,274667,901667,632880,5521,157,3511,356,8681,637,1661,766,891
商品415,695505,188477,016565,417561,807731,453706,0061,163,2711,120,8081,179,211
貯蔵品26,41526,68726,63026,28431,72545,62668,48985,746123,979118,784
前渡金---4,4704,375--2008,32018,424
前払費用109,70399,369123,812112,294231,738190,139189,880255,878254,301250,540
関係会社短期貸付金--------23,9965,538
その他13,3807,9003,8115,3196,37911,17817,32453,97789,66175,458
貸倒引当金-823-520-229-249-237-313-265-159-180-199
繰延税金資産23,71236,37223,682-------
流動資産合計3,019,0462,881,8683,239,2923,894,3723,514,7403,542,1795,029,1686,675,4718,589,1337,735,326
固定資産
有形固定資産
建物(純額)1,052,8401,472,5072,162,1482,247,3402,244,7302,566,2763,127,1164,102,4805,573,3896,889,207
構築物(純額)91,788103,836147,369162,002172,910173,511201,894250,830319,749391,439
機械及び装置(純額)83,40674,77487,56691,28188,63880,17866,08260,96444,35137,690
車両運搬具(純額)32,38124,67022,84927,15532,24434,09522,29233,29239,93340,934
工具、器具及び備品(純額)69,71596,889112,000124,033129,040125,891130,607191,094233,398258,187
土地459,729459,729458,140458,1401,487,2861,593,7592,016,8362,016,8362,016,8362,016,836
リース資産(純額)--------295,013301,283
建設仮勘定40531,0912,7448,4044815,05863,60976,50978,793146,714
有形固定資産合計1,790,2682,263,5002,992,8203,118,3594,154,8984,588,7705,628,4396,732,0088,601,46310,082,293
無形固定資産
ソフトウエア25,29141,99040,87633,75436,86837,19146,49574,00966,13398,183
その他25,03726,24623,71324,46123,03660,25861,04855,24077,06757,490
のれん1,951650--------
無形固定資産合計52,28068,88764,58958,21559,90597,450107,543129,249143,201155,674
投資その他の資産
投資有価証券15,44016,36016,72216,33318,19819,57819,38820,36422,2374,354,132
関係会社株式-----1,0001,0001,00070,33971,339
関係会社長期貸付金-------280,614462,448871,666
長期前払費用16,29936,75032,87629,15126,65744,84136,73343,45144,43045,542
敷金及び保証金146,102227,423303,484314,630323,051340,436364,218511,654599,705690,392
建設協力金42,866158,545148,489202,386246,666281,036291,760277,799295,013301,283
保険積立金13,90713,49913,09112,68412,27611,86811,46011,46011,46011,460
繰延税金資産----197,662259,786368,995396,797445,076507,682
その他20,0302010,01010101010102117
貸倒引当金---276-360-276-276-13---7
破産更生債権等--27636027627613---
繰延税金資産105,992122,790132,174192,372------
投資その他の資産合計360,638575,389656,849767,569824,523958,5571,093,5661,543,1521,950,7326,853,510
固定資産合計2,203,1862,907,7773,714,2593,944,1435,039,3265,644,7786,829,5508,404,41010,695,39717,091,478
資産合計5,222,2325,789,6456,953,5527,838,5168,554,0669,186,95811,858,71815,079,88219,284,53124,826,804
負債の部
流動負債
買掛金155,755200,036195,484278,271286,862468,183359,263455,905729,482613,910
1年内返済予定の長期借入金180,096381,277160,43945,575331,332331,332379,93648,00048,000506,316
未払金143,627157,051256,511258,447295,053549,923422,871685,592682,512610,277
未払法人税等197,040218,023139,658330,681255,810780,702923,770935,7721,008,8741,571,185
未払費用85,168142,635135,234150,867153,066194,763312,764271,150355,059461,473
リース債務--------22,24225,379
賞与引当金16,69119,43222,63124,51927,73337,39047,16954,85970,47973,411
契約負債------163,526231,297277,011258,592
その他48,59851,77177,02792,12086,264125,368155,884131,440161,438183,268
支払手形----------
ポイント引当金----------
流動負債合計826,9781,170,226986,9861,180,4821,436,1222,487,6632,765,1872,814,0193,355,1004,303,815
固定負債
長期借入金295,916229,5851,071,923994,600663,268331,936160,000112,00064,000943,105
退職給付引当金124,873164,424192,385229,829263,678308,871370,913426,714493,793558,236
役員退職慰労引当金213,335227,967227,213237,538242,780255,593256,683270,969288,243294,257
リース債務--------272,770275,903
資産除去債務45,07574,933102,852105,718111,180232,222262,025300,899339,767397,953
その他4,0434,0434,0434,0434,0434,0434,0434,0434,04311,387
固定負債合計683,244700,9531,598,4171,571,7291,284,9511,132,6671,053,6651,114,6261,462,6172,480,843
負債合計1,510,2221,871,1802,585,4042,752,2112,721,0733,620,3303,818,8533,928,6454,817,7186,784,658
純資産の部
株主資本
資本金1,344,1891,345,1631,345,8671,345,8671,347,5571,347,5571,347,5571,347,5571,347,5571,347,557
資本剰余金
その他資本剰余金--------1,049,0191,049,019
資本準備金1,007,2241,007,2241,007,2241,007,2241,007,2241,007,2241,007,2241,007,224--
資本剰余金合計1,007,2241,007,2241,007,2241,007,2241,007,2241,007,2241,007,2241,007,2241,049,0191,049,019
利益剰余金
利益準備金4,9314,9314,9314,9314,9314,9314,9314,9314,931141,390
その他利益剰余金
繰越利益剰余金1,355,4321,560,1902,008,9592,727,7033,471,6875,392,7817,866,88110,978,47514,226,52217,614,330
利益剰余金合計1,360,3631,565,1212,013,8902,732,6343,476,6185,397,7127,871,81210,983,40614,231,45417,755,720
自己株式-144-61-61-121-142-2,188,286-2,188,728-2,189,329-2,164,590-2,165,002
株主資本合計3,711,6333,917,4474,366,9205,085,6045,831,2575,564,2078,037,86511,148,85814,463,44017,987,294
評価・換算差額等
その他有価証券評価差額金3761,0171,2277001,7352,4191,9992,3783,37154,851
評価・換算差額等合計3761,0171,2277001,7352,4191,9992,3783,37154,851
純資産合計3,712,0093,918,4654,368,1485,086,3055,832,9935,566,6278,039,86511,151,23614,466,81218,042,145
負債純資産合計5,222,2325,789,6456,953,5527,838,5168,554,0669,186,95811,858,71815,079,88219,284,53124,826,804