タケダ機械

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722,450807,868691,556985,9761,083,643789,2531,335,6921,098,8772,090,2101,478,277
受取手形------376,575243,479184,774132,283
売掛金------699,335882,516515,834756,848
電子記録債権-------251,772193,290279,502
製品847,189781,700735,431756,8951,029,0711,305,6101,012,0411,238,8261,320,3061,561,103
仕掛品231,450288,434325,306356,100283,373175,739421,557505,442532,251544,600
原材料291,436304,475409,888543,290438,426378,134418,347480,587595,839494,982
その他37,19210,95110,6529,47829,04956,61316,40860,54916,03120,094
受取手形及び売掛金958,7891,329,0831,489,1741,350,1281,110,4051,191,222----
繰延税金資産57,27562,79273,554-------
貸倒引当金-163---------
流動資産合計3,145,6223,585,3053,735,5634,001,8713,973,9703,896,5724,279,9584,762,0505,448,5375,267,692
固定資産
有形固定資産
建物及び構築物2,683,0332,765,6232,775,7292,639,9722,673,3902,648,9982,658,7842,663,9832,666,3852,670,182
減価償却累計額-2,045,788-2,088,453-2,130,763-2,057,858-2,092,252-2,098,265-2,130,416-2,162,115-2,191,005-2,220,758
建物及び構築物(純額)637,245677,170644,966582,113581,137550,733528,367501,867475,380449,423
機械装置及び運搬具853,853851,398868,672838,049850,027855,782906,095908,586908,018913,154
減価償却累計額-686,153-678,309-714,661-716,173-706,839-738,394-735,254-770,808-794,025-817,890
機械装置及び運搬具(純額)167,699173,088154,011121,876143,188117,388170,840137,778113,99395,264
土地1,021,7291,021,7291,021,729967,629967,629967,629967,629967,629967,629967,629
リース資産451,365435,565435,565503,090582,611691,516713,914884,422883,895899,395
減価償却累計額-134,096-194,373-250,257-298,953-352,887-401,316-444,975-512,913-587,683-658,786
リース資産(純額)317,269241,191185,308204,136229,724290,200268,938371,509296,212240,608
その他198,195208,096219,439214,589223,332220,365224,389227,245229,072233,379
減価償却累計額-170,930-174,921-185,438-174,785-183,788-188,457-195,651-201,484-198,798-201,557
その他(純額)27,26433,17534,00039,80339,54331,90828,73725,76130,27331,821
建設仮勘定10,000---------
有形固定資産合計2,181,2082,146,3562,040,0161,915,5601,961,2221,957,8591,964,5142,004,5451,883,4881,784,747
無形固定資産
リース資産68,104101,100107,40096,10095,88864,74849,06626,09115,3165,152
その他55,81560,90973,57774,03496,16881,62358,58253,95545,24377,615
無形固定資産合計123,920162,010180,977170,134192,056146,371107,64980,04760,55982,768
投資その他の資産
投資有価証券91,793155,851143,495103,131100,97296,141119,558123,969171,042107,143
繰延税金資産----60,29951,99572,58073,25658,54237,408
その他208,012202,992175,905127,094161,019206,373198,215249,980292,558340,803
貸倒引当金-3,140-3,140-3,140-3,140-3,140-3,140-3,140-3,140-3,140-3,140
長期貸付金2,4931,7553,1392,11088854----
繰延税金資産--5,62667,738------
投資その他の資産合計299,159357,459325,027296,934320,040351,424387,214444,067519,003482,215
固定資産合計2,604,2882,665,8252,546,0212,382,6292,473,3192,455,6552,459,3772,528,6592,463,0512,349,731
資産合計5,749,9116,251,1316,281,5846,384,5006,447,2906,352,2276,739,3367,290,7107,911,5887,617,423
負債の部
流動負債
支払手形及び買掛金450,284502,841600,670578,505421,420275,999381,714559,726631,452256,618
電子記録債務---------84,639
短期借入金860,000650,000570,000400,000350,000800,000400,000500,000400,000400,000
1年内返済予定の長期借入金413,388429,821374,772268,459354,640184,439398,688196,343207,687290,208
リース債務67,70667,95373,96881,88288,66286,45476,85782,45480,33475,951
未払法人税等198,715143,318127,181154,14657,9759,562150,10880,295228,26245,241
契約負債-------46,34122,90022,701
賞与引当金100,509110,613127,018155,508112,65586,519119,514134,676150,622123,275
役員賞与引当金22,80025,80029,00042,40027,45012,50021,40021,80032,90022,000
製品保証引当金3,8543,5013,4934,9262,8802,68112,28014,28718,41012,471
株主優待引当金-------11,75112,34413,836
その他142,866211,410216,283216,256187,626151,928208,778167,333304,073212,140
流動負債合計2,260,1242,145,2582,122,3861,902,0831,603,3101,610,0841,769,3411,815,0092,088,9841,559,083
固定負債
長期借入金643,522869,530628,070490,342544,462360,023346,335469,989498,104573,727
リース債務282,808249,629193,542194,346208,313239,382224,483317,259237,287172,189
役員退職慰労引当金136,304152,820126,96044,55654,38764,28774,38390,05182,26890,882
その他10,38112,06810,9887,2037,1987,2636,2705,7225,5235,521
繰延税金負債41,61526,6539,477-------
固定負債合計1,114,6311,310,701969,039736,448814,361670,956651,472883,023823,182842,320
負債合計3,374,7563,455,9603,091,4252,638,5322,417,6722,281,0402,420,8132,698,0322,912,1672,401,404
純資産の部
株主資本
資本金1,874,0831,874,0831,874,0831,874,0831,874,0831,874,0831,874,0831,874,0831,874,0831,874,083
資本剰余金43,11744,10344,10344,10344,10344,10344,10344,10344,10344,103
利益剰余金633,6791,024,5541,430,1992,015,2202,292,5722,337,9622,570,0952,841,0263,212,9393,433,060
自己株式-181,125-166,685-167,901-168,249-168,546-168,870-169,024-169,404-169,659-169,659
株主資本合計2,369,7552,776,0553,180,4853,765,1584,042,2134,087,2784,319,2574,589,8094,961,4675,181,588
その他の包括利益累計額
その他有価証券評価差額金5,39819,1149,673-19,189-12,594-16,091-7342,86837,95434,431
その他の包括利益累計額合計5,39819,1149,673-19,189-12,594-16,091-7342,86837,95434,431
非支配株主持分----------
純資産合計2,375,1542,795,1703,190,1593,745,9684,029,6184,071,1874,318,5234,592,6784,999,4215,216,019
負債純資産合計5,749,9116,251,1316,281,5846,384,5006,447,2906,352,2276,739,3367,290,7107,911,5887,617,423