イトクロ

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

2015-10千円
2016-10千円
2017-10千円
2018-10千円
2019-10千円
2020-10千円
2021-10千円
2022-10千円
2023-10千円
2024-10千円
資産の部
流動資産
現金及び預金3,763,2404,299,2035,507,4056,675,1037,566,1937,558,0048,782,6407,648,6728,362,9116,829,268
売掛金434,044747,762494,353516,692404,040409,444314,363331,108319,834324,479
有価証券---------32,776
前払費用22,92225,34546,43058,00851,88043,15060,88256,60747,83048,258
その他9611,4171,6198,69951,1153,7823,606405,1108,770157,165
貸倒引当金-2,472-1,634-621-963-1,103-721-341-928-926-2,679
繰延税金資産35,40772,30375,60458,558------
受取手形----------
流動資産合計4,254,1045,144,3996,124,7927,316,0998,072,1258,013,6619,161,1518,440,5698,738,4217,389,268
固定資産
有形固定資産
建物46,78462,48964,08498,520244,641203,474234,233215,979216,509216,509
減価償却累計額-22,525-24,668-29,722-34,305-73,616-24,449-43,543-46,095-65,232-83,915
建物(純額)24,25937,82034,36164,214171,024179,024190,690169,884151,277132,594
工具、器具及び備品14,82012,71912,71912,98837,36030,89444,39233,68933,57829,624
減価償却累計額-11,394-11,349-12,198-12,582-12,182-7,898-15,667-16,316-21,113-16,572
工具、器具及び備品(純額)3,4251,37052140525,17822,99628,72517,37312,46413,052
その他209209209209209-----
減価償却累計額-180-190-199-209-209-----
その他(純額)2818900-----
有形固定資産合計27,71239,20934,89264,619196,203202,020219,415187,258163,741145,646
無形固定資産
のれん-303,413229,922301,232257,149445,447362,634124,89980,81636,732
ソフトウエア------27,55333,78040,04047,759
無形固定資産合計-303,413229,922301,232257,149445,447390,187158,680120,85684,492
投資その他の資産
投資有価証券--------405,8461,488,936
敷金及び保証金54,55175,08875,830110,362229,239182,248198,184140,237139,320139,858
長期前払費用-------6,337-3,456
繰延税金資産-----57,52276,26296,83345,54137,551
その他1,3281,00663620459281--774340
繰延税金資産8,1799,33216,62112,68180,096-----
関係会社株式----------
投資その他の資産合計64,05985,42693,087123,064309,794240,052274,446243,408591,4821,670,143
固定資産合計91,772428,050357,902488,917763,146887,520884,049589,346876,0811,900,282
資産合計4,345,8775,572,4496,482,6957,805,0168,835,2728,901,18110,045,2009,029,9169,614,5039,289,551
負債の部
流動負債
買掛金259,284339,552236,097170,620175,523174,469157,260185,117204,017175,788
リース債務------2,8472,8472,8472,863
未払金108,335250,777161,623286,240323,121167,760136,704121,238120,46596,416
未払費用16,14614,80719,8278,8588,05814,69713,5596,4377,3657,706
未払法人税等185,482372,012336,622319,831218,05948,079352,8672,560183,5142,560
契約負債-------51,67459,97369,098
預り金8,7714,8134,9157,3526,50513,52913,3995,5865,6085,584
その他81,95479,73292,61291,236-33,95681,7572,19775,7052,193
前受金7,8467,1568,37513,44321,85031,95252,390---
1年内返済予定の長期借入金60,00050,000---20,600----
資産除去債務----16,470-----
1年内償還予定の社債14,00014,00014,00014,000------
流動負債合計741,8211,132,851874,073911,584769,589505,046810,787377,658659,499362,213
固定負債
資産除去債務8,52417,00813,67419,26449,36551,02655,75135,21735,26135,305
リース債務------9,4926,6443,79610,977
その他--7007001205,0505,0508,0008,0008,000
社債44,00030,00016,0002,000------
長期借入金50,000---------
固定負債合計102,52447,00830,37421,96449,48556,07670,29349,86247,05854,282
負債合計844,3451,179,860904,448933,548819,075561,122881,081427,521706,557416,495
純資産の部
株主資本
資本金30,00030,00030,00030,00030,00030,00030,00030,00030,00030,000
資本剰余金
その他資本剰余金2,139,2642,139,2642,201,6932,404,7732,627,4012,633,8592,633,8592,633,8592,633,8592,633,859
資本剰余金合計2,139,2642,139,2642,201,6932,404,7732,627,4012,633,8592,633,8592,633,8592,633,8592,633,859
利益剰余金
その他利益剰余金
繰越利益剰余金1,370,8172,259,8453,372,6674,458,6625,378,8085,696,6596,521,4826,184,3746,470,1466,508,095
利益剰余金合計1,370,8172,259,8453,372,6674,458,6625,378,8085,696,6596,521,4826,184,3746,470,1466,508,095
自己株式-39,196-39,332-38,562-35,836-32,516-32,430-32,430-332,423-332,423-332,448
株主資本合計3,500,8854,389,7775,565,7986,857,5998,003,6948,328,0899,152,9128,515,8108,801,5838,839,507
評価・換算差額等
その他有価証券評価差額金---------11,05826,698
評価・換算差額等合計---------11,05826,698
新株予約権6462,81212,44713,86812,50211,96911,20786,584117,4216,849
純資産合計3,501,5314,392,5895,578,2466,871,4688,016,1968,340,0599,164,1198,602,3958,907,9458,873,055
負債純資産合計4,345,8775,572,4496,482,6957,805,0168,835,2728,901,18110,045,2009,029,9169,614,5039,289,551