宇野澤組鐵工所

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1,533,9731,356,6992,019,0871,917,2862,100,7302,285,1602,555,2922,405,9692,545,8002,883,0432,711,293
受取手形913,6791,329,1281,019,401765,332564,792543,097430,619109,357120,60320,6841,239
電子記録債権--287,303351,492276,776295,553501,092750,525874,654667,689497,100
売掛金736,885809,836765,020927,513860,743646,629577,283832,9881,092,292741,7791,102,880
製品------71,80370,76378,44668,51662,617
仕掛品561,501472,682444,977332,186341,495377,062278,341347,488402,427461,034333,433
原材料及び貯蔵品282,610296,343269,984572,179534,139397,155453,197577,574601,169614,241379,397
前渡金6,1761937,7331,12414,5471,0929,9833921532,403-
前払費用13,72012,94212,06111,40512,81515,70915,82616,92216,17618,17819,350
未収入金3,3803,2393,93673,4392,2812,1153,36412,9152,5863,3331,934
その他1,8792,3254895921,0501,0947811,7311,3731,8321,475
貸倒引当金--3,538-3,010-2,257-2,213-2,847-605-686-1,057-716-801
契約資産-------18,76925,350--
繰延税金資産-41,61439,611--------
流動資産合計4,053,8064,321,4674,866,5954,950,2954,707,1604,561,8244,896,9815,144,3585,760,0395,512,0205,109,919
固定資産
有形固定資産
建物3,732,3253,793,4603,813,7633,823,0793,870,3483,951,5563,990,8304,103,0454,255,7344,267,6224,096,566
減価償却累計額-2,273,398-2,362,470-2,445,784-2,509,229-2,588,764-2,667,059-2,747,280-2,825,493-2,895,406-2,978,663-2,855,381
建物(純額)1,458,9271,430,9891,367,9791,313,8491,281,5841,284,4961,243,5501,277,5521,360,3271,288,9591,241,184
構築物15,62117,39218,41518,41519,66931,38938,95347,73748,91049,18847,124
減価償却累計額-2,978-4,734-6,305-7,815-9,234-11,533-14,278-17,351-20,879-24,406-26,724
構築物(純額)12,64212,65712,10910,59910,43419,85624,67430,38528,03124,78220,399
機械及び装置874,533858,488896,468954,441966,125980,665977,2641,216,4051,243,5471,231,5521,279,316
減価償却累計額-820,929-804,404-813,834-831,904-866,564-885,480-891,419-913,988-961,486-960,232-1,001,684
機械及び装置(純額)53,60454,08482,633122,53799,56095,18585,844302,416282,061271,319277,632
車両運搬具19,00018,72020,24016,29016,29017,80517,80517,80517,57020,00020,000
減価償却累計額-18,953-16,803-18,327-15,331-16,047-16,492-17,148-17,476-17,569-18,076-19,038
車両運搬具(純額)461,9161,9129582421,31265632801,923961
工具、器具及び備品722,825767,823809,985885,717939,662963,252979,105991,9341,030,3141,063,7651,057,037
減価償却累計額-671,952-729,812-768,204-822,329-878,585-904,700-921,976-939,753-984,395-1,016,027-998,953
工具、器具及び備品(純額)50,87238,01141,78063,38761,07658,55257,12952,18145,91947,73758,083
土地631,643631,643631,643631,643631,643631,643631,643675,830675,830675,830660,232
建設仮勘定-----31411,020--39,795373,211
有形固定資産合計2,207,7362,169,3022,138,0592,142,9752,084,5412,091,3602,054,5202,338,6942,392,1702,350,3492,631,705
無形固定資産
ソフトウエア6,2486,66610,70688,86092,63375,29349,37529,34918,92023,63222,213
ソフトウエア仮勘定-33,56697,569------1,119-
電話加入権1,0701,0701,0701,0701,0701,0701,0701,0701,0701,0701,070
無形固定資産合計7,31941,303109,34689,93193,70476,36350,44530,42019,99125,82223,283
投資その他の資産
投資有価証券374,108339,837423,910341,922254,292308,777300,773310,078558,995478,689565,730
出資金1,1671,1671,1671,1671,1671,1671,1671,1671,1671,1671,167
従業員に対する長期貸付金29,84228,43225,27224,01222,75210,9925,2174,1072,0951,8601,710
破産更生債権等9,0709,037----2,4892,7163,0793,0413,251
長期前払費用7899372,2165163,13512,8159,0177,7024,3583,3759,606
差入保証金5,9776,0065,9645,9235,9165,8725,8295,7865,7425,6995,656
生命保険積立金43,01843,02243,02543,02643,02644,12944,12944,13044,13045,23245,233
貸倒引当金-9,070-9,037----4-2,491-2,717-3,080-3,041-3,252
繰延税金資産-------1,284---
投資その他の資産合計454,904419,404501,557416,568330,291383,751366,132374,256616,488536,024629,104
固定資産合計2,669,9602,630,0102,748,9632,649,4752,508,5362,551,4762,471,0982,743,3713,028,6502,912,1963,284,093
資産合計6,723,7676,951,4787,615,5587,599,7717,215,6977,113,3007,368,0807,887,7308,788,6908,424,2168,394,013
負債の部
流動負債
支払手形714,406839,021770,388476,197288,958144,121155,24468,66554,03615,445-
電子記録債務--208,231625,544462,870369,455530,510767,312969,689653,147235,132
買掛金250,966217,683188,989196,273154,506124,093190,059252,897164,672177,861140,484
1年内返済予定の長期借入金916,416896,752980,9451,012,127947,793918,513916,565845,192891,838794,248749,642
未払金88,121112,605133,06898,156115,187117,90796,98364,549266,096121,275165,059
未払費用53,80855,44357,06357,35554,50052,47853,71961,53063,57665,99765,484
未払法人税等24,07929,211132,846-38,30367,18879,137106,858168,669109,235125,778
前受金65,23357,66568,04970,88781,391102,66360,200138,145125,547100,68764,960
預り金7,8128,1648,6558,6048,7568,2668,0378,1737,8026,9686,841
前受収益---2,9225,8452,9225,8452,9225,8452,9225,845
賞与引当金64,69764,34280,77370,18661,67764,56663,89075,05491,23398,02096,050
製品保証引当金-----6,6047,50615,75316,87430,31429,964
設備関係支払手形42,75549,27641,98537,31918,3469,77913,6403,8392,8183,828-
設備関係電子記録債務-------17,53336,55024,3705,408
その他8,7683,6858,826172-19978691512336524
設備関係電子記録債務--20,02820,00025,12217,90725,624----
短期借入金32,00032,00032,00032,000-------
流動負債合計2,269,0652,365,8522,731,8512,707,7472,263,2582,006,6652,207,7502,429,3442,865,3772,204,6881,690,676
固定負債
長期借入金1,894,2361,874,0531,764,0261,705,7571,799,3151,734,2701,654,9591,677,7671,510,1061,497,0451,431,203
繰延税金負債----2,52231,99930,974-63,29348,77186,405
退職給付引当金471,013517,899519,584539,661544,846539,693553,976577,499610,436626,942681,289
役員退職慰労引当金129,640131,020140,020146,140140,680130,487139,217141,197146,365151,345159,527
資産除去債務----16,30116,30116,30116,30116,30116,30116,301
長期預り保証金353,383396,375452,908504,999524,190570,382554,034511,814498,554521,890526,760
長期前受収益----2,922-2,922-2,922-2,922
繰延税金負債85,20256,11688,68133,069-------
固定負債合計2,933,4752,975,4642,965,2202,929,6263,030,7773,023,1342,952,3852,924,5782,847,9782,862,2942,904,409
負債合計5,202,5405,341,3165,697,0715,637,3735,294,0365,029,8005,160,1355,353,9235,713,3555,066,9824,595,086
純資産の部
株主資本
資本金785,000785,000785,000785,000785,000785,000785,000785,000785,000785,000785,000
資本剰余金
資本準備金303,930303,930303,930303,930303,930303,930303,930303,930303,930303,930303,930
その他資本剰余金--000000000
資本剰余金合計303,930303,930303,931303,931303,931303,931303,931303,931303,931303,931303,931
利益剰余金
その他利益剰余金
繰越利益剰余金267,843380,703631,173731,983735,429859,669989,3221,308,7251,677,6862,019,3282,397,744
利益剰余金合計267,843380,703631,173731,983735,429859,669989,3221,308,7251,677,6862,019,3282,397,744
自己株式-28,785-28,926-29,418-29,418-29,779-29,992-29,992-29,992-30,174-30,366-30,366
株主資本合計1,327,9891,440,7071,690,6861,791,4961,794,5811,918,6072,048,2612,367,6642,736,4443,077,8943,456,309
評価・換算差額等
その他有価証券評価差額金193,237169,454227,800170,900127,079164,892159,683166,142338,889279,281342,625
繰延ヘッジ損益---------58-8
評価・換算差額等合計193,237169,454227,800170,900127,079164,892159,683166,142338,889279,339342,617
純資産合計1,521,2271,610,1611,918,4871,962,3971,921,6612,083,5002,207,9452,533,8063,075,3343,357,2343,798,926
負債純資産合計6,723,7676,951,4787,615,5587,599,7717,215,6977,113,3007,368,0807,887,7308,788,6908,424,2168,394,013