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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744,952950,5671,112,626951,565819,706953,814973,455864,462884,911559,165402,946
受取手形及び売掛金246,092472,903363,371368,058251,621406,015351,036336,912256,322215,773181,735
電子記録債権261,197358,639458,935414,931369,702452,129557,585425,347481,453459,847159,318
商品及び製品250,963151,968135,136168,805164,369179,143172,915212,869261,837443,933435,881
仕掛品377,595400,354446,598483,844423,114403,651344,074428,507450,067433,020514,025
原材料及び貯蔵品170,584143,941169,634194,720190,168181,126259,115288,528365,644256,855262,020
その他58,05945,11423,00146,09436,42833,16334,62952,13128,80925,91922,854
未収還付法人税等----22,000--26,000---
流動資産合計2,109,4452,523,4892,709,3032,628,0192,277,1102,609,0442,692,8122,634,7592,729,0472,394,5141,978,782
固定資産
有形固定資産
建物及び構築物1,778,6631,753,8211,843,3171,846,1601,858,6081,861,9581,866,8861,878,7172,064,5992,064,5992,065,259
減価償却累計額-1,147,686-1,168,634-1,204,683-1,244,408-1,281,671-1,322,233-1,356,957-1,394,070-1,432,719-1,484,949-1,541,903
建物及び構築物(純額)630,977585,187638,634601,751576,936539,724509,929484,647631,880579,649523,356
機械装置及び運搬具1,024,2251,100,2711,200,0451,227,7401,323,1501,334,3381,517,7541,784,7761,744,6901,743,7711,734,282
減価償却累計額-925,735-929,914-936,083-928,280-1,165,623-1,166,662-1,152,622-1,221,187-1,254,859-1,319,451-1,542,087
機械装置及び運搬具(純額)98,489170,356263,961299,459157,527167,675365,131563,588489,831424,320192,195
工具、器具及び備品231,372244,636268,913299,109318,359363,074371,233409,732412,705413,766395,060
減価償却累計額-206,802-228,021-235,404-245,782-294,557-330,947-334,978-355,627-371,828-383,847-388,188
工具、器具及び備品(純額)24,56916,61533,50853,32623,80132,12736,25554,10440,87629,9186,872
土地1,063,5041,063,5041,063,5041,063,504908,966908,966908,966908,966908,966908,966908,966
リース資産107,820122,473125,869153,869158,765223,073103,699139,344349,849465,372578,613
減価償却累計額-46,355-64,861-84,220-112,135-138,424-166,897-58,037-56,227-84,940-127,083-411,755
リース資産(純額)61,46457,61241,64941,73420,34056,17645,66283,117264,909338,288166,858
建設仮勘定1,3589257,6233,41210,7692,0191,22970,4433,0052,910-
有形固定資産合計1,880,3641,894,2012,048,8812,063,1891,698,3411,706,6901,867,1742,164,8682,339,4692,284,0531,798,247
無形固定資産11,44611,25720,42317,85224,62817,78013,2208,36310,8017,1756,100
投資その他の資産
保険積立金65,72979,14799,827120,922148,872175,796202,545222,187248,790276,538294,010
繰延税金資産----99,37973,909112,683110,92950,32640,38041,755
その他26,83327,7188,3148,4385,4226,2538,5465,4925,0114,90619,888
繰延税金資産--49,12155,197-------
投資その他の資産合計92,562106,865157,264184,559253,674255,960323,775338,610304,128321,825355,654
固定資産合計1,984,3732,012,3232,226,5692,265,6001,976,6451,980,4312,204,1692,511,8422,654,3982,613,0552,160,002
資産合計4,093,8184,535,8134,935,8724,893,6194,253,7564,589,4754,896,9825,146,6015,383,4455,007,5694,138,785
負債の部
流動負債
支払手形及び買掛金207,996426,869500,176545,502197,485282,477223,820162,606155,38888,03333,793
電子記録債務42,68984,285164,664164,835179,005217,769315,274276,709393,396147,79414,414
短期借入金50,00010,00030,00030,00030,000120,00010,00050,000--250,000
1年内償還予定の社債----23,00023,00023,00023,00023,0007,0008,000
1年内返済予定の長期借入金123,508125,857147,516147,749137,782124,75387,292192,764302,686334,878316,404
リース債務16,35619,10119,98521,63713,20727,17817,68014,93734,98350,99863,344
未払法人税等25,00026,00058,00043,82479920,81075,9219709,01712,1067,141
賞与引当金19,59121,59325,40124,99431,97126,97529,71830,00421,92521,24314,555
株主優待引当金---------60,6334,687
その他57,31053,27648,073148,00780,40388,544169,38487,589122,700136,81864,821
営業外電子記録債務----38,0691,01264,223116,0226,981--
営業外支払手形16,3833,84959,74210,7872,496------
役員賞与引当金-10,00013,000--------
未払金30,10468,42496,385--------
流動負債合計588,939849,2571,162,9431,137,338734,221932,5201,016,315954,6051,070,079859,505777,162
固定負債
社債----107,00084,00061,00038,00015,0008,000-
長期借入金281,215378,126318,110170,361225,020299,075301,787579,017745,128686,571559,351
リース債務46,66340,06922,91722,56313,35935,67628,60869,009239,233328,263379,737
役員退職慰労引当金82,92792,872103,688115,040126,577138,747151,406164,449177,589183,537195,297
退職給付に係る負債63,90568,99063,60672,04682,63589,64892,250102,008106,010108,655109,259
その他---1,5983,0394,8007,2009,60012,00014,40016,800
固定負債合計474,711580,059508,322381,609557,631651,947642,251962,0841,294,9621,329,4271,260,445
負債合計1,063,6501,429,3161,671,2661,518,9481,291,8521,584,4681,658,5671,916,6892,365,0422,188,9332,037,608
純資産の部
株主資本
資本金717,495717,495717,495732,552732,552732,552732,552732,552732,552732,552732,552
資本剰余金664,455664,455664,455679,512679,512679,512679,512691,468701,432701,432701,432
利益剰余金1,638,7781,716,7691,870,6891,957,7011,589,4941,631,4141,824,3431,796,8101,568,7221,359,023634,273
自己株式-467-687-715-716-43,916-43,916-15,416-15,416-15,416-15,416-15,426
株主資本合計3,020,2613,098,0313,251,9243,369,0492,957,6422,999,5623,220,9913,205,4142,987,2912,777,5912,052,831
その他の包括利益累計額
その他有価証券評価差額金-1601,2142,551-955562331990199-98629
為替換算調整勘定10,0677,25010,1305,7173,7045,21117,40324,40730,91241,14247,716
その他の包括利益累計額合計9,9068,46412,6825,6224,2605,44517,42224,49731,11241,04448,346
純資産合計3,030,1673,106,4963,264,6063,374,6712,961,9033,005,0073,238,4143,229,9123,018,4032,818,6362,101,177
負債純資産合計4,093,8184,535,8134,935,8724,893,6194,253,7564,589,4754,896,9825,146,6015,383,4455,007,5694,138,785