木村工機

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

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1,239,7642,341,3862,249,6271,338,0851,716,0961,598,4202,257,843
受取手形1,301,250485,599575,741435,453337,044276,3065,860
電子記録債権575,206752,7921,431,3552,241,8753,351,3343,380,6912,949,270
売掛金2,342,4391,888,7282,125,1932,605,6111,961,7523,112,0013,062,698
製品726,733533,938486,035607,4891,390,0061,014,7501,398,235
仕掛品233,478169,664266,464670,776283,753249,232300,425
原材料及び貯蔵品466,124508,203620,394764,510852,030947,272880,835
前渡金---7,87612726,6171,056
前払費用61,24469,06077,11678,70188,634106,696135,897
その他97821293,6701,2025,4693,2321,216
貸倒引当金-16,036-11,887-15,743-20,114-21,553-25,728-22,869
流動資産合計6,931,1826,737,6987,909,8568,731,4689,964,69510,689,49410,970,469
固定資産
有形固定資産
建物(純額)1,082,1351,050,8851,702,7262,132,2904,288,6994,072,6396,321,302
構築物(純額)17,58216,20374,893100,656252,623325,483622,594
機械及び装置(純額)529,639497,732587,632759,306814,829704,099786,542
車両運搬具(純額)2,2803,7083,5846,0528,8256,24913,675
工具、器具及び備品(純額)137,819180,492195,897215,999241,492268,799278,774
土地1,815,1672,989,1443,168,7723,168,8013,171,5753,171,5753,145,019
建設仮勘定1,551164,830397,7121,288,31528,3881,410,237555,011
リース資産(純額)44,76223,2557,582153---
有形固定資産合計3,630,9384,926,2526,138,8017,671,5758,806,4349,959,08311,722,919
無形固定資産
ソフトウエア58,95142,68133,152109,36686,909154,333142,789
ソフトウエア仮勘定--12,78025,66575,315-19,035
その他2622628908488052,2152,173
リース資産24,0677,0921,412282---
無形固定資産合計83,28150,03648,235136,161163,030156,548163,997
投資その他の資産
投資有価証券22,97831,38034,87138,30656,14367,40088,314
長期前払費用4,5533,28514,86310,3566,35156,859254,508
繰延税金資産698,772703,232752,628825,868891,899953,7291,052,681
その他543,829500,472284,663282,835298,207332,983359,498
貸倒引当金-26,539-26,539-26,539-26,539-26,539-26,539-26,539
投資その他の資産合計1,243,5941,211,8301,060,4871,130,8271,226,0621,384,4331,728,463
固定資産合計4,957,8156,188,1197,247,5258,938,56410,195,52711,500,06613,615,380
繰延資産
社債発行費-------
繰延資産合計-------
資産合計11,888,99712,925,81715,157,38117,670,03220,160,22222,189,56024,585,850
負債の部
流動負債
電子記録債務923,636720,685995,5431,404,2421,154,813776,816-
買掛金472,450353,055463,756584,404461,391501,575644,642
短期借入金685,000755,0001,175,0001,805,0001,550,000315,000600,000
1年内返済予定の長期借入金71,58260,332133,882148,066167,200517,188387,100
未払金566,052205,577293,228246,594438,954301,781338,298
未払費用47,99646,48750,78550,86751,10657,51760,128
未払法人税等307,810226,543271,401259,234520,129847,613827,422
未払消費税等-58,698-20,452294,641250,813139,778
契約負債--6,49715,80634,28830,60913,467
預り金73,77037,23338,15239,45298,48444,060104,515
賞与引当金234,180133,639175,450228,773282,053290,287436,543
役員賞与引当金39,90321,65319,36423,30940,28836,02550,580
製品保証引当金12,1217,3676,1208,1929,69611,22914,337
資産除去債務-----22,5137,154
その他182,711-----43,983
リース債務41,34423,0729,273480---
支払手形66,1926,210-----
前受金17,47211,971-----
1年内償還予定の社債-------
流動負債合計3,742,2232,667,5273,638,4554,834,8755,103,0474,003,0303,667,951
固定負債
長期借入金210,3801,444,0482,060,1662,448,3502,753,0253,723,3464,030,420
退職給付引当金1,830,8081,984,1052,083,2592,223,9452,243,0922,333,1992,437,413
役員退職慰労引当金285,345295,122295,900305,112307,872320,044336,365
資産除去債務106,126106,126102,315103,161103,16146,03646,644
リース債務33,0419,754480----
その他76,78533,5473,409----
固定負債合計2,542,4873,872,7044,545,5305,080,5685,407,1516,422,6266,850,843
負債合計6,284,7116,540,2318,183,9869,915,44410,510,19810,425,65710,518,794
純資産の部
株主資本
資本金744,896744,896744,896744,896744,896744,896744,896
資本剰余金
資本準備金637,896637,896637,896637,896637,896637,896637,896
その他資本剰余金59,75459,75459,75459,75471,526106,871244,767
資本剰余金合計697,650697,650697,650697,650709,422744,767882,663
利益剰余金
利益準備金117,500117,500117,500117,500117,500117,500117,500
その他利益剰余金
別途積立金2,650,0002,650,0002,650,0002,650,0002,650,0002,650,0002,650,000
繰越利益剰余金1,399,5182,264,0253,046,7963,991,3285,913,3458,087,66410,938,622
利益剰余金合計4,167,0185,031,5255,814,2966,758,8288,680,84510,855,16413,706,122
自己株式-4,984-94,938-292,226-458,297-509,457-612,691-1,313,859
株主資本合計5,604,5806,379,1336,964,6177,743,0789,625,70611,732,13514,019,822
評価・換算差額等
その他有価証券評価差額金-2946,4518,77711,51024,31731,76747,233
評価・換算差額等合計-2946,4518,77711,51024,31731,76747,233
純資産合計5,604,2866,385,5856,973,3957,754,5889,650,02311,763,90314,067,055
負債純資産合計11,888,99712,925,81715,157,38117,670,03220,160,22222,189,56024,585,850