船場

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

2016-12千円
2017-12千円
2018-12千円
2019-12千円
2020-12千円
2021-12千円
2022-12千円
2023-12千円
2024-12千円
2025-12千円
資産の部
流動資産
現金及び預金7,134,8238,313,8297,184,8998,568,9248,810,0879,267,33610,179,7599,315,34012,489,8509,740,011
受取手形、売掛金及び契約資産------2,654,8465,676,3374,672,8627,279,877
電子記録債権1,598,8361,471,7371,159,025689,207550,528759,7371,278,8851,445,8402,556,3441,480,475
棚卸資産1,001,483957,556765,1131,179,261724,367855,733718,724653,531948,093848,085
その他183,368167,545114,301334,754212,864318,606862,276614,528309,049503,778
貸倒引当金-20,556-902-530-17,274-3,997-31,445-22,261-2,232-3,386-12,039
受取手形及び売掛金5,259,0194,265,6444,920,2235,648,2743,129,6853,912,847----
有価証券--1,100,000-------
繰延税金資産378,206149,166132,812-------
流動資産合計15,535,18115,324,57815,375,84616,403,14813,423,53615,082,81515,672,23017,703,34620,972,81319,840,189
固定資産
有形固定資産
建物及び構築物1,211,6551,195,2631,183,5571,155,8121,144,7971,135,0941,164,3841,097,8471,123,1761,123,904
減価償却累計額-866,923-836,882-851,349-854,313-889,603-881,626-910,040-869,635-891,243-912,816
建物及び構築物(純額)344,731358,381332,208301,499255,193253,467254,344228,211231,932211,088
機械装置及び運搬具86,90086,90086,90092,10691,15191,15194,34994,349124,337124,337
減価償却累計額-39,571-48,620-55,975-62,658-66,953-71,418-75,534-79,702-84,930-93,994
機械装置及び運搬具(純額)47,32838,28030,92529,44724,19819,73318,81414,64639,40730,342
工具、器具及び備品174,536204,015213,932290,457319,661331,094368,202346,059370,476399,262
減価償却累計額-105,132-122,600-147,980-202,106-233,313-255,274-279,761-269,589-258,653-287,814
工具、器具及び備品(純額)69,40381,41565,95288,35186,34775,81988,44076,469111,823111,448
土地407,876324,444274,301259,741259,741259,741259,741237,806237,806237,806
リース資産128,31585,54130,388-------
減価償却累計額-82,619-64,790-28,007-------
リース資産(純額)45,69620,7502,381-------
有形固定資産合計915,036823,271705,768679,039625,481608,761621,341557,134620,970590,685
無形固定資産
ソフトウエア126,42393,63293,34293,097207,035227,866226,856190,647135,61388,105
その他2,1461,8191,61037,98521,55415,89520,94917,2324362,365
無形固定資産合計128,56995,45294,952131,083228,590243,761247,806207,880136,05090,470
投資その他の資産
投資有価証券721,008748,767782,927697,231417,897341,077362,033392,705265,486197,148
繰延税金資産----300,316255,925157,10294,619170,786-
差入保証金266,504289,660281,566289,089276,297228,527225,474254,700275,179321,881
退職給付に係る資産-------175,157661,9541,041,566
その他6,8096,28663,61674,58379,51644,69962,944218,536238,20480,560
貸倒引当金-491-432-58-58-8,205---29,193-21,245-24,068
繰延税金資産342,164293,930362,353387,725------
投資その他の資産合計1,335,9941,338,2121,490,4051,448,5711,065,822870,230807,5541,106,5261,590,3661,617,087
固定資産合計2,379,6002,256,9362,291,1252,258,6941,919,8941,722,7531,676,7031,871,5412,347,3862,298,244
資産合計17,914,78217,581,51517,666,97218,661,84215,343,43016,805,56817,348,93419,574,88723,320,20022,138,433
負債の部
流動負債
支払手形及び買掛金3,467,1773,131,6182,933,0423,234,5532,056,7693,090,7862,393,4983,364,4503,977,8953,250,936
電子記録債務2,630,0102,428,3202,305,4302,427,7201,156,9601,206,2401,472,5701,750,1402,784,7201,899,770
未払金及び未払費用398,461323,845325,436331,499245,763238,112318,599302,711537,171374,102
未払法人税等312,598180,804238,443264,43064,05286,054260,107356,755556,043188,386
未払消費税等67,96988,954188,89879,425126,34949,026150,47972,793409,21483,927
契約負債------936,531858,129478,925588,313
賞与引当金319,010288,638224,668324,246184,212221,040198,290329,255632,414535,359
完成工事補償引当金25,80335,73136,14927,30117,34215,52816,72716,31029,44428,098
事業構造改善引当金---------92,054
工事損失引当金10,05213,599--899,4151383,7818,030-
その他123,88498,88881,39055,98722,12915,05961,58894,40755,55069,252
前受金420,696192,328192,277322,370155,763504,712----
リース債務28,87512,4952,086-------
繰延税金負債4,0393,889--------
1年内返済予定の長期借入金----------
流動負債合計7,808,5776,799,1146,527,8227,067,5334,029,4325,435,9755,808,5317,148,7359,469,4087,110,202
固定負債
長期未払金148,365148,365148,365142,247142,247142,247142,247142,247142,247142,247
繰延税金負債----1,692----204,552
その他2,1602,1603,28821,34331,89827,08430,01537,36784,47591,815
退職給付に係る負債1,506,5981,261,2681,290,911840,621607,937339,356142,451---
繰延税金負債4254442,1461,306------
リース債務21,89210,652682-------
長期借入金----------
固定負債合計1,679,4411,422,8911,445,3941,005,518783,776508,688314,714179,615226,722438,614
負債合計9,488,0198,222,0057,973,2168,073,0524,813,2085,944,6636,123,2457,328,3509,696,1317,548,817
純資産の部
株主資本
資本金213,025215,475216,175252,051288,903298,817327,041363,515419,939448,244
資本剰余金1,179,0091,181,4591,182,1591,218,0361,254,8871,264,8011,293,0261,329,4991,385,9231,414,228
利益剰余金7,285,9958,021,5118,509,9309,080,1118,983,8679,076,6459,271,9799,966,68010,946,26511,717,100
自己株式----36-36-36-36-36-211-249
株主資本合計8,678,0309,418,4469,908,26510,550,16210,527,62110,640,22710,892,01011,659,65812,751,91613,579,322
その他の包括利益累計額
その他有価証券評価差額金222,717247,938212,681192,16594,13860,70170,36792,53252,06227,958
為替換算調整勘定25,99748,097-4,147-8,259-34,292107,994152,648264,213359,620411,582
退職給付に係る調整累計額-499,982-354,973-423,044-145,277-57,24551,981110,662230,132460,470570,751
その他の包括利益累計額合計-251,267-58,937-214,51038,6282,600220,677333,678586,878872,1521,010,292
純資産合計8,426,7639,359,5099,693,75510,588,79010,530,22210,860,90411,225,68812,246,53713,624,06814,589,615
負債純資産合計17,914,78217,581,51517,666,97218,661,84215,343,43016,805,56817,348,93419,574,88723,320,20022,138,433