昭和真空

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4,117,2943,679,4372,718,2752,890,5713,686,6855,345,7155,065,7204,805,2495,355,7784,978,4406,450,300
受取手形------633,171716,225571,9469,813541
電子記録債権---------475,143237,688
売掛金------3,780,5112,617,8472,438,8743,464,2232,731,559
商品及び製品4,2953,6973,0003,3694,0392,3963692,0091,5507452,051
仕掛品1,752,9231,993,9772,383,6723,426,4743,526,3733,086,8363,426,3282,742,1001,576,0222,143,2341,594,326
原材料及び貯蔵品139,269140,414116,334168,639227,580200,086235,761505,374517,186364,266263,644
その他72,92541,559111,195204,588433,606183,666155,613189,67097,697290,85662,581
貸倒引当金-46,043-52,495-18,230-12,288-8,426-9,158-2,349-1,562-1,814-1,422-947
契約資産------94,508----
受取手形及び売掛金2,358,3532,678,3804,922,7643,224,6243,732,3082,455,747-----
繰延税金資産227,608176,115145,267--------
流動資産合計8,626,6268,661,08610,382,2819,905,97811,602,16711,265,29013,389,63511,576,91410,557,24011,725,30211,341,745
固定資産
有形固定資産
建物及び構築物1,977,5211,954,6051,774,9711,787,5962,401,8982,414,1982,475,8002,542,2872,555,3642,608,0722,618,953
減価償却累計額-1,302,653-1,336,693-1,200,558-1,226,711-1,267,332-1,341,876-1,437,076-1,523,769-1,614,340-1,709,920-1,790,516
建物及び構築物(純額)674,867617,911574,412560,8841,134,5651,072,3211,038,7231,018,517941,024898,152828,437
機械装置及び運搬具772,809597,251639,272602,247529,890876,154878,0391,031,7421,013,0901,021,871912,723
減価償却累計額-636,206-528,011-535,811-550,623-490,518-532,781-700,239-830,547-944,612-882,459-738,847
機械装置及び運搬具(純額)136,60369,240103,46151,62439,372343,372177,800201,19468,478139,412173,875
土地2,066,2492,066,2491,970,5621,970,5621,970,5621,970,5621,970,5621,970,5621,970,5621,970,5621,970,562
リース資産89,944100,618110,824110,82472,23761,12054,74553,17051,86251,86235,988
減価償却累計額-48,365-60,951-76,555-90,716-40,796-31,808-35,612-41,002-28,405-36,695-19,229
リース資産(純額)41,57939,66734,26920,10831,44029,31219,13212,16823,45615,16716,759
建設仮勘定41,278-91,370107,726106,5521,49760,29410,7043,94552,74190,971
その他287,186316,513333,826343,558356,004391,235446,943519,305502,150516,668548,039
減価償却累計額-263,733-274,141-291,606-306,157-306,845-326,165-331,474-387,209-411,776-443,149-466,522
その他(純額)23,45342,37142,21937,40149,15965,069115,469132,09590,37373,51981,517
有形固定資産合計2,984,0322,835,4412,816,2962,748,3073,331,6523,482,1363,381,9823,345,2423,097,8413,149,5553,162,123
無形固定資産
リース資産16,91611,37712,4368,2704,9482,4316,6424,3083,0151,723430
その他28,52076,312106,615102,73687,34565,91747,53337,94168,05768,26862,685
ソフトウエア仮勘定45,618----------
無形固定資産合計91,05587,689119,051111,00792,29368,34854,17642,24971,07369,99163,116
投資その他の資産
投資有価証券146,897192,810215,422144,706129,229189,408242,259225,864361,043173,248260,708
繰延税金資産----254,153212,381244,885202,503168,591241,440214,438
退職給付に係る資産----40,30158,83657,63949,91956,31469,899101,435
その他11,50110,6689,4377,71721,67236,19827,91225,56223,07822,94430,815
貸倒引当金-211-211-284-279-279-279-279-279-279-981-981
繰延税金資産--87,489204,488-------
投資その他の資産合計158,186203,267312,065356,633445,076496,544572,418503,571608,747506,550606,416
固定資産合計3,233,2743,126,3993,247,4133,215,9483,869,0224,047,0294,008,5763,891,0633,777,6623,726,0963,831,656
資産合計11,859,90111,787,48513,629,69513,121,92615,471,19015,312,32017,398,21215,467,97714,334,90215,451,39915,173,402
負債の部
流動負債
支払手形及び買掛金2,058,5231,312,9891,182,803856,9061,577,1611,243,2431,483,420846,705384,648565,494719,078
電子記録債務-1,255,7711,276,4611,547,3542,036,6871,996,3851,797,7581,226,567663,191703,547101,770
1年内償還予定の社債800,000----450,000----450,000
1年内返済予定の長期借入金200,000----50,000----100,000
リース債務19,13821,23719,70414,91412,70312,57610,1508,17910,5297,2466,523
未払費用186,100171,914235,067274,474240,536165,452215,717273,039203,638210,636192,998
未払法人税等150,303105,874390,12249,314302,746241,616321,95943,42411,707303,101188,853
前受金--201,77156,456684,312294,5241,003,682113,123213,328675,519292,219
賞与引当金249,569194,758282,831203,614246,939235,531265,040156,005148,280243,501272,110
役員賞与引当金86,00070,000141,00066,00085,00096,000113,00079,00016,00056,00085,300
製品保証引当金102,00053,00051,00046,00058,00065,40056,40050,00058,00069,00052,000
工事損失引当金29,83028,3203,8404,29012,200-22,60022,900-32,7009,200
その他350,68167,78237,86240,33728,72129,44736,38065,152175,00844,113119,295
短期借入金197,572111,732111,97249,90849,90849,90849,90849,908---
流動負債合計4,429,7213,393,3823,934,4383,209,5695,334,9174,930,0865,376,0172,934,0051,884,3332,910,8602,589,348
固定負債
社債-450,000450,000450,000450,000-450,000450,000450,000450,000-
長期借入金-50,00050,00048,37052,064-92,833100,000100,000100,000-
リース債務43,46533,56330,64915,73526,78622,06018,0709,89118,57911,33312,385
退職給付に係る負債411,583443,166458,412471,195243,603265,322293,097328,724358,935258,317256,016
株式給付引当金-----11,96236,40250,95349,79355,40766,293
長期未払金75,60775,57175,53275,35875,36275,22574,73875,17075,28275,23575,192
繰延税金負債35,49349,0386,974--------
その他4,250----------
固定負債合計570,4001,101,3391,071,5671,060,659847,816374,571965,1441,014,7401,052,591950,293409,887
負債合計5,000,1214,494,7225,006,0064,270,2296,182,7345,304,6576,341,1613,948,7452,936,9243,861,1542,999,236
純資産の部
株主資本
資本金2,177,1052,177,1052,177,1052,177,1052,177,1052,177,1052,177,1052,177,1052,177,1052,177,1052,177,105
資本剰余金2,753,9752,753,9752,753,9752,753,9752,753,9752,793,8052,793,8052,793,8052,793,8052,793,8052,798,018
利益剰余金1,999,9182,463,5773,756,2984,089,6464,577,1135,224,4396,090,7726,496,8266,225,1286,351,0756,782,420
自己株式-278,137-278,137-278,181-278,509-278,560-318,562-318,284-316,897-313,430-309,269-297,452
株主資本合計6,652,8617,116,5208,409,1978,742,2189,229,6329,876,78710,743,39711,150,83810,882,60811,012,71611,460,092
その他の包括利益累計額
その他有価証券評価差額金73,084103,815119,51364,97750,10294,255129,283116,521203,42098,325157,264
為替換算調整勘定124,27372,32793,19647,15421,06235,941180,832251,703301,172431,329470,445
退職給付に係る調整累計額9,560991,781-2,652-12,3426783,53616810,77647,87386,363
その他の包括利益累計額合計206,918176,242214,491109,47858,823130,874313,653368,392515,370577,528714,073
純資産合計6,859,7797,292,7638,623,6898,851,6979,288,45510,007,66211,057,05011,519,23111,397,97811,590,24512,174,165
負債純資産合計11,859,90111,787,48513,629,69513,121,92615,471,19015,312,32017,398,21215,467,97714,334,90215,451,39915,173,402