オルガノ

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

2016-03百万円
2017-03百万円
2018-03百万円
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7,20711,3408,65211,27613,77212,80420,19815,55817,64216,75131,055
受取手形------1,7031,0261,144677203
売掛金------25,63939,47042,97742,54947,786
電子記録債権----1,5901,5981,8622,8264,4524,5023,991
契約資産------25,58432,35933,65136,22333,202
リース投資資産14,41516,83515,24113,57411,7529,77311,2939,85327,81435,51253,856
商品及び製品4,1154,2374,3654,7175,7105,4485,2647,1657,7078,0108,552
仕掛品4,1521,6132,0482,7172,7286,2056,73521,8869,22111,1695,386
原材料及び貯蔵品1,2691,1851,3211,4261,3921,2231,4561,7444,9023,3454,625
その他1,8102,0332,2852,2062,4483,1723,1334,8913,9785,7193,426
貸倒引当金-195-218-85-139-98-39-6-17-23-94-82
受取手形及び売掛金36,95732,95836,46040,25636,78349,517-----
繰延税金資産676619703--------
流動資産合計70,40970,60570,99376,03776,07889,702102,862136,765153,469164,367192,002
固定資産
有形固定資産
建物及び構築物17,71117,76218,14817,85017,90917,79218,87319,18319,52619,93721,376
減価償却累計額-11,575-11,877-12,247-12,339-12,562-12,808-12,707-13,104-13,550-13,992-14,356
建物及び構築物(純額)6,1365,8845,9005,5115,3474,9836,1666,0785,9765,9447,019
機械装置及び運搬具5,3435,3975,5805,5765,6975,6715,8266,5826,7067,2987,551
減価償却累計額-4,640-4,679-4,809-4,879-4,974-4,981-5,117-5,452-5,828-6,206-6,464
機械装置及び運搬具(純額)7027187716967226907091,1298771,0911,087
土地12,56112,55812,56112,28812,28412,27912,25712,29612,30412,43712,570
建設仮勘定45200845983001,115118148690246
その他4,5014,6804,8024,9685,0885,1125,3465,9556,5577,0787,483
減価償却累計額-3,900-3,965-4,191-4,236-4,245-4,391-4,601-4,784-5,229-5,726-6,004
その他(純額)6017146117318427207451,1711,3271,3521,478
有形固定資産合計20,04820,07719,85319,27219,29618,97420,99520,79520,63421,51622,402
無形固定資産6671,0071,1751,2091,1131,1051,0829499861,1201,572
投資その他の資産
投資有価証券1,4651,5001,6951,6211,5531,9112,0582,4302,8352,3732,723
退職給付に係る資産------6248151,9552,2603,262
繰延税金資産----3,0372,9772,3692,6732,4042,3912,535
その他360500742767780743979596600505509
貸倒引当金-49-48-167-278-411-403-464-171-183-138-141
繰延税金資産1,8941,7631,7582,628-------
投資その他の資産合計3,6703,7154,0294,7394,9595,2285,5666,3437,6137,3918,889
固定資産合計24,38624,80025,05825,22025,36925,30827,64428,08829,23330,02832,864
資産合計94,79595,40596,052101,257101,448115,011130,506164,854182,703194,396224,867
負債の部
流動負債
支払手形及び買掛金18,40616,30815,69418,51614,38113,55618,79520,90419,84223,43819,953
電子記録債務-----4,5895,5754,6402,8394,6482,959
短期借入金13,61014,30914,08213,4587,64414,5109,93329,12434,06518,87728,402
未払法人税等7848429351,5461,9592,1401,4443,0143,6055,0426,512
契約負債------1,8203,0073,9202,5643,516
賞与引当金9419871,0481,1651,3391,4421,4771,5941,8902,1612,338
製品保証引当金1982532333213242412965481,6861,3491,324
工事損失引当金319339846412246512833418
役員株式給付引当金----10510912310510710390
その他2,2973,1712,5533,2424,8662,8093,5595,2844,5616,1805,823
前受金1,4441,7292,3991,4991,5431,226-----
その他の引当金----10------
役員株式給付引当金---95-------
繰延税金負債-46--------
流動負債合計38,00237,64036,96339,93032,24040,74943,07268,73872,60264,40170,939
固定負債
長期借入金3,8012,6011,4012002,0951,4955,6953,8952,4003,6806,000
繰延税金負債----9115391592590
退職給付に係る負債6,3275,9815,7896,2096,1535,3195,5125,5115,3444,9844,702
その他851351341119179168245149110172
繰延税金負債1012178-------
製品保証引当金--65--------
固定負債合計10,2258,7307,4076,5318,3496,90511,4299,7447,9538,79910,965
負債合計48,22746,37144,37146,46240,59047,65454,50178,48380,55573,20181,904
純資産の部
株主資本
資本金8,2258,2258,2258,2258,2258,2258,2258,2258,2258,2258,225
資本剰余金7,5087,5087,5087,5087,5087,5087,5087,5087,5087,5087,508
利益剰余金31,86834,02336,17039,96746,08151,90259,61969,00282,907100,982120,916
自己株式-338-343-355-629-537-495-734-613-518-746-642
株主資本合計47,26349,41351,54855,07161,27767,13974,61784,12398,122115,969136,008
その他の包括利益累計額
その他有価証券評価差額金188285312273143301434539774256324
為替換算調整勘定9-16359-193-178-2015751,1911,9233,3974,624
退職給付に係る調整累計額-986-624-381-494-525-252083171,1081,3232,005
繰延ヘッジ損益-12-600--0-2---
その他の包括利益累計額合計-801-509-10-414-560741,2182,0473,8054,9786,954
非支配株主持分106130142138140143168201219246-
純資産合計46,56749,03451,68154,79560,85767,35776,00486,371102,147121,194142,962
負債純資産合計94,79595,40596,052101,257101,448115,011130,506164,854182,703194,396224,867