富士電機

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31,00042,04533,37229,30464,07376,54692,96684,70066,18663,54270,931
受取手形------75,52176,01377,13474,61310,181
電子記録債権----------55,642
売掛金------217,731236,462257,372249,353273,200
契約資産------64,08876,02395,62293,830105,640
商品及び製品56,29056,87357,82162,18566,86666,31955,05164,50077,53984,47298,282
仕掛品52,41048,39550,37263,91467,87565,02351,82754,64251,77255,15659,797
原材料及び貯蔵品36,43737,14341,56450,87153,37151,84763,41579,54896,82399,02198,994
その他43,49041,58649,53860,07251,59953,72366,49949,23550,95857,08368,092
貸倒引当金-1,167-1,226-1,280-2,084-2,597-3,897-5,121-7,573-10,337-10,401-8,920
受取手形及び売掛金258,378269,676287,084308,831294,504319,644-----
繰延税金資産17,09117,97517,763--------
流動資産合計493,932512,470536,234573,096595,692629,207681,981713,553763,072766,672831,844
固定資産
有形固定資産
建物及び構築物(純額)83,20084,94882,80980,89485,10886,79796,94699,434103,829113,893117,300
機械装置及び運搬具(純額)18,95918,71419,38420,86822,45223,55031,57337,91373,555105,853101,530
工具、器具及び備品(純額)5,8165,9386,0775,8995,6896,3767,4947,46711,69613,42015,521
土地34,91834,96334,94735,03235,50435,53735,69535,60435,87036,01936,313
リース資産(純額)29,29126,19028,98230,22047,04552,37851,77960,08641,55225,36713,917
建設仮勘定4,2902,7612,3999,2105,0453,9308,63240,85142,50449,08959,969
その他----1,0471,1881,5532,5552,4463,4304,312
有形固定資産合計176,476173,517174,600182,124201,892209,758233,675283,912311,456347,074348,865
無形固定資産20,36920,52819,33017,84324,60623,42622,50424,03225,46230,31837,718
投資その他の資産
投資有価証券125,265127,585135,914133,348128,289136,282126,316108,460118,427108,713120,733
長期貸付金8121,2557317106726558178114,5213,9483,681
繰延税金資産----17,75614,68213,28616,63611,47818,27510,634
退職給付に係る資産17,62338,45240,10916,38215,08321,04322,51619,91825,40126,05238,136
その他9,0749,99410,02212,65913,13717,26716,41014,66313,74514,67919,161
貸倒引当金-911-884-486-484-422-461-468-488-2,429-3,627-4,154
繰延税金資産2,6173,6112,26316,825-------
投資その他の資産合計154,481180,014188,556179,442174,517189,468178,878160,001171,145168,042188,194
固定資産合計351,327374,060382,487379,410401,016422,652435,058467,946508,064545,435574,778
繰延資産117132137152118927151376747
資産合計845,378886,663918,859952,659996,8271,051,9521,117,1121,181,5521,271,1741,312,1751,406,669
負債の部
流動負債
支払手形及び買掛金160,416165,306183,976196,669179,914167,260171,749201,593207,408192,834190,893
短期借入金53,79562,00833,86548,29621,34221,74444,98446,87540,25910,71621,827
リース債務11,97011,27612,15311,99115,66818,37619,58423,26120,28314,29210,159
未払費用39,28536,48240,10640,09939,83148,05853,19252,75755,85958,80960,207
未払法人税等6,39031,0518,29310,8926,62518,18314,87918,71019,67628,12130,553
契約負債------39,44349,44955,00767,12978,689
製品保証引当金-----15,6987,2803,7752,7243,7063,276
その他63,21356,18658,27064,44646,07431,85435,85635,40338,12255,85738,440
コマーシャル・ペーパー22,000--8,00051,500---36,000--
1年内償還予定の社債20,5005,00020,000-15,000--15,000---
前受金40,24745,09248,56945,49647,20335,239-----
流動負債合計417,819412,404405,236425,894423,160356,416386,969446,826475,342431,466434,047
固定負債
社債40,00050,00040,00050,00035,00035,00035,00020,00020,00030,00030,000
長期借入金48,44934,20834,43510,54838,60496,68666,27628,60015,10030,07315,057
リース債務23,49820,97223,05325,14839,19743,22640,97846,89528,71116,2127,502
繰延税金負債----1,1721,6781,5801,0858409161,137
役員退職慰労引当金19518918521519315094657995126
退職給付に係る負債50,72940,88342,51945,79450,01153,32257,59060,34563,80366,79760,775
その他2,9082,9232,5062,5213,4844,2184,8915,6655,8245,95515,084
繰延税金負債7971,2184,376475-------
固定負債合計166,578150,396147,076134,704167,664234,281206,413162,657134,359150,050129,685
負債合計584,397562,800552,312560,598590,825590,698593,382609,483609,701581,517563,732
純資産の部
株主資本
資本金47,58647,58647,58647,58647,58647,58647,58647,58647,58647,58647,586
資本剰余金46,73645,98545,98646,06745,94946,00345,95545,95345,95464,57363,784
利益剰余金132,111166,289195,517223,940241,305271,772319,285364,922423,135493,885565,936
自己株式-7,212-7,241-7,284-7,316-7,327-7,340-7,359-7,370-7,397-4,273-3,700
株主資本合計219,221252,619281,805310,276327,513358,021405,467451,091509,278601,771673,606
その他の包括利益累計額
その他有価証券評価差額金30,25442,75147,66543,97444,60655,76151,64945,55054,71749,31857,031
繰延ヘッジ損益-1,132-1,60088-280-231322507241-35-2789
為替換算調整勘定3,3771751,572368-3,5451,53914,16922,22237,77240,04654,737
退職給付に係る調整累計額-21,321-2,730-496-1,417-2,7241,3511,107-2,01378263313,997
その他の包括利益累計額合計11,17738,59648,83042,64538,10558,97567,43366,00093,23789,995126,555
非支配株主持分30,58132,64735,91039,13940,38244,25750,82954,97658,95638,89142,775
純資産合計260,980323,863366,546392,061406,002461,254523,729572,068661,472730,658842,936
負債純資産合計845,378886,663918,859952,659996,8271,051,9521,117,1121,181,5521,271,1741,312,1751,406,669