和井田製作所

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2,019,9562,539,5673,058,9443,836,6594,897,6835,032,1555,943,0783,974,0134,337,6824,812,2704,880,238
受取手形------293,09989,21610,08949,2145,536
電子記録債権-------396,726106,12058,652247,115
売掛金------1,074,0151,568,3791,383,0201,348,277953,599
契約資産------29,95837,170272,2348,27245,336
商品及び製品54,82613,12873,86716,698-173,86292,08626,47978,43979,288116,336
仕掛品1,343,8461,189,3241,423,7381,266,9541,400,3331,146,1801,062,0211,527,6991,401,2061,391,4421,317,454
原材料及び貯蔵品473,346456,894509,262518,059658,815560,399566,119713,553776,991763,898788,062
その他38,487104,21786,16751,52829,498119,294161,321187,892246,088283,196202,823
受取手形及び売掛金1,969,0111,499,9951,704,8622,128,4501,168,5741,058,883-----
未収還付法人税等-----175,250-----
貸倒引当金-253-73-15-20-1------
繰延税金資産67,49626,54169,539--------
流動資産合計5,966,7165,829,5966,926,3657,818,3308,154,9038,266,0279,221,7008,521,1318,611,8738,794,5138,556,502
固定資産
有形固定資産
建物及び構築物2,910,1972,932,5482,943,8072,966,0632,973,4763,001,4443,011,1073,047,9423,074,2083,106,3923,194,400
減価償却累計額-2,140,484-2,199,106-2,273,149-2,339,272-2,388,863-2,441,775-2,476,094-2,522,431-2,577,126-2,627,733-2,674,589
建物及び構築物(純額)769,712733,442670,658626,790584,612559,669535,013525,511497,082478,659519,811
機械装置及び運搬具1,706,7351,554,3041,441,9641,565,0131,589,5141,688,4561,671,9762,252,7762,072,3712,349,6072,489,898
減価償却累計額-1,314,207-1,300,140-1,262,820-1,189,358-1,179,515-1,240,233-1,105,492-1,243,956-1,168,984-1,457,500-1,523,914
機械装置及び運搬具(純額)392,528254,164179,143375,654409,999448,222566,4831,008,820903,386892,106965,983
土地853,226853,226853,090853,090853,090853,090853,090853,090853,090853,090853,090
リース資産545,093544,790544,790509,589347,848268,446247,970-103,200103,200103,200
減価償却累計額-230,829-324,871-412,326-341,214-239,042-211,462-234,867--1,075-13,975-26,875
リース資産(純額)314,263219,919132,464168,374108,80656,98413,102-102,12589,22576,325
その他673,661641,240625,389614,467605,928612,025660,821724,356826,628853,655836,671
減価償却累計額-643,918-619,786-601,157-562,558-535,308-551,394-581,447-621,485-669,719-733,287-733,659
その他(純額)29,74221,45424,23151,90870,61960,63079,374102,871156,908120,368103,012
建設仮勘定----136-198,730163,500179,131248,511160,000
有形固定資産合計2,359,4732,082,2061,859,5892,075,8182,027,2641,978,5972,245,7952,653,7932,691,7252,681,9612,678,222
無形固定資産29,17126,28815,58514,09914,85636,50044,46971,023285,635535,649505,177
投資その他の資産
投資有価証券271,277329,419294,677235,943177,104241,872240,262266,620410,017410,023704,170
繰延税金資産----144,18385,513142,053144,232108,568139,67345,747
その他146,93041,31233,40427,91026,41525,90827,23041,88940,36340,93245,778
繰延税金資産42,15327,06846,971159,525-------
貸倒引当金-1,345-1,296---------
投資その他の資産合計459,016396,504375,053423,379347,703353,294409,546452,742558,949590,629795,695
固定資産合計2,847,6612,504,9992,250,2282,513,2982,389,8242,368,3922,699,8123,177,5593,536,3093,808,2413,979,095
資産合計8,814,3788,334,5959,176,59410,331,62810,544,72810,634,41911,921,51211,698,69112,148,18312,602,75512,535,598
負債の部
流動負債
支払手形及び買掛金545,878366,689797,580797,531515,858309,511673,598551,855416,987389,689382,968
短期借入金274,700157,852124,74776,41545,84044,704250,000--50,00060,000
1年内返済予定の長期借入金579,897627,623252,399158,018126,727509,831470,771253,391266,737229,666153,344
リース債務97,48090,81742,54562,89955,62848,08214,713-13,31913,59713,881
未払法人税等294,305182297,797407,286275,606-387,179154,283113,948144,26314,309
役員賞与引当金78,40025,48070,500165,000121,35012,73069,420104,95068,79042,84021,170
製品保証引当金------16,14119,55210,06017,95016,139
その他283,665253,968384,593371,425434,009228,432283,993410,734563,569590,551595,425
流動負債合計2,154,3281,522,6131,970,1632,038,5781,575,0201,153,2912,165,8181,494,7671,453,4121,478,5581,257,239
固定負債
長期借入金687,971820,155767,395607,377511,474947,456665,845396,427129,690364,469211,125
資産除去債務---------6,4147,388
長期リース債務231,084140,26797,722118,42462,79514,713--100,09586,49872,616
長期未払金49,03049,03049,03049,03049,03049,03049,03049,03049,03043,39043,390
繰延税金負債--------1,3092,756-
退職給付に係る負債163,926180,233189,190195,923215,240230,036233,916241,919237,302258,482266,535
製品保証引当金------12,0924,23320,1096,48330,415
固定負債合計1,132,0121,189,6861,103,338970,756838,5411,241,236960,884691,609537,536768,493631,470
負債合計3,286,3412,712,2993,073,5023,009,3342,413,5622,394,5283,126,7032,186,3771,990,9492,247,0521,888,709
純資産の部
株主資本
資本金843,300843,300843,300843,300843,300843,300843,300843,300843,300843,300843,300
資本剰余金881,244881,244881,244881,244881,244884,270888,049893,615899,319904,652908,123
利益剰余金4,098,9804,179,4984,668,7085,914,3016,749,5606,778,9407,301,5637,962,8928,431,2038,632,4678,673,747
自己株式-406,664-406,664-406,732-406,732-406,732-397,414-390,319-378,669-367,155-354,852-343,206
株主資本合計5,416,8605,497,3785,986,5197,232,1128,067,3728,109,0978,642,5949,321,1379,806,66610,025,56610,081,964
その他の包括利益累計額
その他有価証券評価差額金62,156108,98878,43629,059-7,16346,49147,90574,290204,148203,789420,511
為替換算調整勘定7,91211,10910,95010,55310,55316,50527,51331,73347,49937,74165,399
その他の包括利益累計額合計70,069120,09889,38739,6123,39062,99675,419106,023251,647241,530485,910
非支配株主持分41,1074,81827,18450,56860,40467,79676,79585,15298,91988,60679,013
純資産合計5,528,0375,622,2956,103,0927,322,2948,131,1668,239,8908,794,8099,512,31410,157,23410,355,70310,646,888
負債純資産合計8,814,3788,334,5959,176,59410,331,62810,544,72810,634,41911,921,51211,698,69112,148,18312,602,75512,535,598