ソラスト

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
2019-03百万円
2020-03百万円
2021-03百万円
2022-03百万円
2023-03百万円
2024-03百万円
2025-03百万円
2026-03百万円
資産の部
流動資産
現金及び預金5,831,9095,979,8427,678,1639,21112,2328,97310,34011,95715,11514,00412,212
売掛金------15,72913,85015,01714,98315,541
貯蔵品107,79694,48858,532535645278399142116
その他690,290702,213866,0191,0401,3051,3291,8632,2912,2642,0642,415
貸倒引当金-2,501-1,343-3,024-7-25-28-42-17-212-28-15
受取手形及び売掛金7,146,2057,614,1489,608,75610,29611,99513,876-----
繰延税金資産565,627571,028754,638--------
流動資産合計14,339,32814,960,37818,963,08520,59425,56524,19627,91828,16432,28431,16630,270
固定資産
有形固定資産
建物及び構築物(純額)2,716,4792,612,2565,730,0655,9816,7097,4599,2249,2289,2528,8818,450
土地929,346918,1541,267,3831,2471,1421,5122,6772,6955,6855,6725,672
リース資産(純額)611,366718,0151,172,8281,6232,2502,7862,6472,4722,2182,1071,894
その他(純額)147,991141,817250,744341319325353315347352363
有形固定資産合計4,405,1834,390,2448,421,0229,19410,42112,08314,90214,71117,50317,01316,380
無形固定資産
のれん2,085,0472,491,1867,724,0129,33213,73614,72118,28316,65615,37713,62511,399
その他259,025378,542399,8344937119901,2551,2411,2301,1901,185
無形固定資産合計2,344,0732,869,7298,123,8469,82614,44815,71119,53917,89716,60814,81612,585
投資その他の資産
投資有価証券84,15684,766164,528162489589591920418409335
敷金及び保証金769,483802,1341,009,2161,6171,8972,1792,2842,4882,2732,2552,218
繰延税金資産----2,3172,9183,1153,3393,7893,2903,340
その他64,31367,791188,4752,5952,5852,4452,4092,3472,3421,1641,104
貸倒引当金-24,390-23,108-22,712-22-21-21-16-16-21-19-26
繰延税金資産555,179650,281855,6381,831-------
長期貸付金3,910----------
投資その他の資産合計1,452,6511,581,8642,195,1466,1847,2678,1118,3849,0798,8037,1006,972
固定資産合計8,201,9088,841,83918,740,01525,20432,13835,90642,82641,68842,91538,93035,938
資産合計22,541,23723,802,21737,703,10045,79857,70360,10370,74569,85275,19970,09766,209
負債の部
流動負債
1年内返済予定の長期借入金1,250,0002,189,4402,705,2523,1923,2243,5454,2603,6824,7824,7824,782
未払金4,320,0194,686,1095,887,3356,4796,4797,5238,9239,19810,8599,9429,816
未払法人税等751,960877,1171,075,7129841,7131,2271,4131,6491,3591,6621,818
未払消費税等613,988649,7811,008,3651,0931,2991,4991,5331,3031,6751,2201,337
契約負債------1,1471,0341,2121,1591,170
賞与引当金1,309,4531,223,6291,538,7161,5771,7112,2272,2182,0262,2192,3482,625
役員賞与引当金19,75043,50061,1302620382921151628
その他317,177317,1881,451,7272,4291,6462,1631,2019651,9331,2291,026
短期借入金---5064,5002,0005,177500500--
その他の引当金--------22--
未払費用203,511197,128253,644292331354-----
流動負債合計8,785,86010,183,89513,981,88416,58220,92620,58025,90520,38224,58222,36222,605
固定負債
長期借入金3,375,0001,256,5878,626,5069,08812,95612,85415,61918,27519,94215,16010,377
リース債務632,553746,7371,250,3711,7812,5263,3463,5923,4293,2913,1342,957
繰延税金負債------8108141,120757783
損害賠償損失引当金-------505383377294
その他の引当金----------26
退職給付に係る負債1,095,5441,145,4541,193,6121,3171,3971,6271,7651,8482,0832,1502,233
資産除去債務137,094150,660506,5036458649049761,3651,4671,6481,820
その他39,30861,775272,7762,4472,2612,3181,9261,6591,8411,8201,651
役員退職慰労引当金-----------
固定負債合計5,279,5013,361,21511,849,76915,28020,00621,05024,68927,89730,13225,05020,143
負債合計14,065,36113,545,11025,831,65331,86240,93341,63150,59548,28054,71447,41242,749
純資産の部
株主資本
資本金300,000478,176548,499572583595630658686686686
資本剰余金5,203,3605,381,5365,447,7595,4715,4825,4945,5305,5575,5865,5755,563
利益剰余金3,084,9284,475,8495,845,0677,85710,66612,36513,97915,25915,62917,74519,553
自己株式---8300000-1,500-1,444-2,502
株主資本合計8,588,28810,335,56211,841,24313,90116,73318,45420,13921,47620,40222,56323,301
その他の包括利益累計額
退職給付に係る調整累計額-112,412-78,45530,0833231915974115158
その他有価証券評価差額金---1,814-2-30-28---
その他の包括利益累計額合計-112,412-78,45528,2682928918874115158
新株予約権--1,9355887885-
純資産合計8,475,87510,257,10611,871,44713,93616,77018,47220,14921,57220,48522,68423,459
負債純資産合計22,541,23723,802,21737,703,10045,79857,70360,10370,74569,85275,19970,09766,209