レイズネクスト
売上高
損益
EPS
利益率
コスト

損益計算書

2016-03千円
2017-03千円
2018-03千円
2019-03千円
2020-03千円
2021-03千円
2022-03百万円
2023-03百万円
2024-03百万円
2025-03百万円
2026-03百万円
完成工事高89,491,193101,923,50289,611,52597,331,686140,578,849145,914,680129,832140,061140,366157,371174,531
完成工事原価79,058,02790,160,68979,303,38085,347,609123,738,513129,499,235112,084122,006123,164138,445150,042
完成工事総利益10,433,16611,762,81310,308,14411,984,07616,840,33616,415,44517,74818,05517,20118,92624,488
販売費及び一般管理費---------8,0679,775
営業利益6,792,9397,904,4806,375,6887,683,50110,040,05910,386,22710,98210,9189,96810,85814,713
営業外収益
受取利息7,8225,56713,2833,6925,1355,224629711
受取配当金93,448109,166110,967130,631141,926139,189142160167203220
受取賃貸料143,186116,711115,40791,19893,64894,4688887883628
為替差益-----41,120412535326
その他31,17339,58166,87142,238154,796109,97412080394445
貸倒引当金戻入額-----------
受取割引料-36,23035,25041,3915,833------
営業外収益合計275,630307,257341,780309,152401,339389,977399357340294332
営業外費用
支払利息27,72229,16117,6064,42144,74278,2872351029114
貸倒引当金繰入額-83,205-------1-
その他28,93331,95449,75929,79469,63125,9886217222610
賃貸費用17,32013,89411,70010,67611,38814,661121010--
支払補償費------13-4--
為替差損299,22572,954-8,39176,271------
売上割引103,39846,2743,785--------
営業外費用合計476,599277,44482,85153,284202,034118,936112324858124
経常利益6,591,9717,934,2946,634,6177,939,36910,239,36510,657,26811,27011,24310,26111,09414,920
特別利益
固定資産売却益3912,0561,1081,2994,6561,90309262652
投資有価証券売却益-15,280--555,144--6481428149
その他----------1
受取和解金-------100---
事業譲渡益------200----
役員退職慰労引当金戻入額-----9,180-----
負ののれん発生益----5,103,373------
特別利益合計39117,3361,1081,2995,663,17411,083200173344494153
特別損失
固定資産売却損1417701,1432284181,94400192
固定資産除却損2,6465,92230,6341,95314,84811,30266369372
その他--------0-2
減損損失135,503415,607------90--
投資有価証券売却損------32-0--
災害による損失-------1---
関係会社株式売却損------115----
投資有価証券評価損25,181--89,25014,1545,600-----
ゴルフ会員権売却損----4,000------
ゴルフ会員権評価損1,0508,040---------
特別損失合計164,522430,34031,77891,43133,42018,846153812810378
税金等調整前当期純利益6,427,8407,521,2906,603,9467,849,23615,869,11810,649,50511,31611,40810,47711,48514,995
法人税、住民税及び事業税2,464,3182,827,1701,939,3442,658,4263,775,6991,474,2663,7163,5323,2953,9084,226
法人税等調整額-6,669-153,42590,800-130,851-311,9871,759,918-21282-127-57924
法人税等合計2,457,6482,673,7452,030,1452,527,5743,463,7123,234,1843,5033,6143,1673,3284,250
当期純利益3,970,1914,847,5444,573,8015,321,66112,405,4067,415,3207,8137,7937,3098,15610,744
非支配株主に帰属する当期純利益72,761100,830121,62796,384147,29971,22364526055284
親会社株主に帰属する当期純利益3,897,4294,746,7134,452,1735,225,27712,258,1067,344,0977,7487,7417,2498,10010,459
販売費及び一般管理費
役員報酬407,005411,690441,297441,559459,075528,257464343379--
従業員給料手当817,196748,545735,385692,0651,143,9611,345,3641,5201,4501,437--
従業員賞与253,303288,331277,197285,347360,831212,419488465438--
賞与引当金繰入額137,522185,895193,692201,209456,675281,053360392353--
役員賞与83,400103,975120,475135,477180,374130,33513914585--
役員賞与引当金繰入額3,6004,5002,0003,7803,7606,967211526--
退職給付費用111,768127,448127,316151,195141,466141,8241076447--
役員退職慰労引当金繰入額35,96517,62723,39818,07922,58017,280510--
法定福利費252,984264,367256,981272,800375,670381,586486465445--
福利厚生費121,108131,877124,003159,992234,290239,808302284290--
修繕維持費181,200197,578167,931184,558411,362293,535276255270--
事務用品費66,85482,73676,53078,825350,25296,8587772122--
通信交通費153,981141,857154,885155,869243,524157,787256294430--
動力用水光熱費24,56318,54821,85122,74838,15526,086313431--
広告宣伝費20,20817,21222,13321,14086,25743,30387109141--
交際費74,61368,95376,03186,047116,42743,0543391149--
寄付金49510,1744532922792030010--
地代家賃19,97020,60614,03118,80175,29278,9949916296--
減価償却費205,991199,294193,761228,012412,498398,804400473556--
租税公課160,882250,859213,040247,822409,817352,173421433406--
保険料21,74720,76615,43016,58855,14085,181988635--
支払報酬154,202204,709250,468492,083512,086315,381385444462--
のれん償却額---8,45829,17736,083362727--
研究開発費83,88974,49895,654115,762126,383132,296856077--
雑費247,533265,983328,503262,053551,324684,575578959906--
販売費及び一般管理費合計3,640,2263,858,3323,932,4564,300,5756,800,2766,029,2176,7657,1367,232--
役員退職慰労金----3,160------
貸倒引当金繰入額236295--450------