森尾電機

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1,347,133965,2101,114,5171,650,3391,155,2041,145,206830,357905,748979,277933,734900,986
受取手形------41,47626,6375,26324,307489
売掛金------1,267,2671,541,8781,294,6282,101,6321,521,681
電子記録債権314,298225,818326,049469,814610,899504,655453,804299,575279,381276,085368,422
商品及び製品160,839181,73142,06070,160170,11896,899275,33084,081289,347112,095163,077
仕掛品755,328902,2741,416,5781,435,1341,394,4721,303,9161,553,7301,419,2801,403,7941,359,8411,837,559
原材料及び貯蔵品519,117535,523457,541447,114452,226483,327675,064742,241784,523905,1051,071,781
その他18,21846,74448,54030,66423,52819,63666,72918,06170,59122,43185,287
受取手形及び売掛金1,345,8631,854,4932,301,4131,897,5932,926,4332,275,548-----
繰延税金資産61,88255,95455,439--------
流動資産合計4,522,6824,767,7495,762,1416,000,8216,732,8845,829,1905,163,7595,037,5055,106,8085,735,2345,949,286
固定資産
有形固定資産
建物及び構築物2,860,3932,871,0462,875,2632,887,7222,906,0422,921,5572,972,8533,004,8433,176,1613,222,6923,253,061
減価償却累計額-1,164,181-1,258,725-1,353,647-1,439,911-1,503,099-1,585,889-1,679,705-1,752,426-1,835,429-1,912,139-1,996,971
建物及び構築物(純額)1,696,2111,612,3211,521,6151,447,8111,402,9421,335,6671,293,1471,252,4161,340,7311,310,5521,256,090
機械装置及び運搬具176,240166,337229,177231,915234,577274,120306,616308,692334,521377,036403,863
減価償却累計額-167,537-162,559-168,814-177,433-184,717-194,620-198,839-217,126-235,902-257,283-263,070
機械装置及び運搬具(純額)8,7023,77760,36254,48249,85979,499107,77791,56598,618119,752140,793
土地55,16755,29763,66563,72063,72063,72063,72063,72063,72063,72063,720
リース資産148,381193,081200,954198,553199,553155,154153,954123,751132,608126,274112,290
減価償却累計額-80,895-104,040-104,106-81,482-103,956-71,042-93,834-77,652-65,029-78,590-83,309
リース資産(純額)67,48689,04196,848117,07195,59784,11260,11946,09967,57947,68328,981
その他230,547204,993199,931210,331232,510233,105236,356254,351278,320304,811334,147
減価償却累計額-153,851-140,135-152,777-167,769-186,734-200,486-205,299-200,900-224,077-247,004-274,160
その他(純額)76,69664,85747,15442,56245,77632,61831,05653,45054,24357,80759,986
建設仮勘定-23123923,3756999,7595,8449,9545,837--
有形固定資産合計1,904,2641,825,5261,789,8851,749,0231,658,5961,605,3781,561,6661,517,2071,630,7311,599,5171,549,572
無形固定資産
ソフトウエア--109,016127,080140,133100,54949,81923,15644,94845,56076,009
リース資産--243,576209,979182,825132,415135,929114,74378,55944,70817,261
その他--24,15821,12736,442101,2257,8025,9645,49911,4641,014
無形固定資産合計--376,751358,188359,401334,191193,551143,865129,006101,73394,286
投資その他の資産
投資有価証券1,201,8561,138,1231,252,0261,488,3541,074,0181,052,461964,2761,028,7241,299,3571,279,7841,789,974
繰延税金資産---------62,20046,365
その他72,25057,93263,64891,88775,13162,56261,95346,70954,223126,550118,946
投資その他の資産合計1,274,1061,196,0561,315,6741,580,2421,149,1491,115,0231,026,2291,075,4341,353,5801,468,5341,955,286
無形固定資産315,030370,267---------
固定資産合計3,493,4013,391,8503,482,3123,687,4553,167,1473,054,5932,781,4482,736,5063,113,3183,169,7863,599,145
資産合計8,016,0848,159,6009,244,4539,688,2769,900,0318,883,7837,945,2077,774,0128,220,1278,905,0219,548,432
負債の部
流動負債
支払手形及び買掛金807,452896,9031,441,7541,236,0261,244,181876,685887,337645,226702,553565,878558,311
電子記録債務406,595506,268684,744703,379690,9581,071,719948,570838,711979,999813,567253,726
短期借入金1,207,0601,280,4751,209,3601,500,0001,800,0001,140,000300,000550,295527,115934,0881,311,916
1年内返済予定の長期借入金180,948173,279164,964218,372214,228166,968167,868142,43373,56239,99639,996
リース債務50,33735,10176,27984,24489,25894,832113,13076,73773,15960,99731,446
未払法人税等108,40683,49472,12536,579225,90991,325154,88080,31076,877205,320210,951
賞与引当金148,000149,000151,000146,000150,900162,000157,960154,050151,090175,320201,480
役員賞与引当金10,00018,00022,00010,00030,00010,00030,00021,00026,00048,00048,000
廃棄物処理費用引当金---------25,630-
その他312,745160,732221,438211,064225,350150,29299,752183,503163,118274,245149,208
流動負債合計3,231,5453,303,2554,043,6664,145,6674,670,7863,763,8242,859,4992,692,2672,773,4753,143,0432,805,037
固定負債
長期借入金962,479982,540817,576877,169761,275594,307576,039433,606360,044320,048280,052
リース債務65,21079,688290,759282,274239,438183,804155,151138,078114,88654,49123,245
繰延税金負債----128,526123,91382,55699,202177,855160,220315,162
その他31,77124,91251,02765,85764,79956,47661,50358,83861,05668,51865,049
繰延税金負債225,632200,552240,462258,903-------
固定負債合計1,285,0931,287,6931,399,8241,484,2041,194,039958,501875,250729,725713,841603,277683,509
負債合計4,516,6384,590,9485,443,4905,629,8715,864,8254,722,3253,734,7493,421,9923,487,3173,746,3203,488,546
純資産の部
株主資本
資本金1,048,5001,048,5001,048,5001,048,5001,048,5001,048,5001,048,5001,048,5001,048,5001,048,5001,048,500
資本剰余金897,272897,272897,272897,272897,272897,272897,272897,272897,272897,272897,272
利益剰余金1,083,9091,194,4321,363,0881,452,7141,692,5231,828,2691,921,9582,002,1152,172,6932,672,6353,240,488
自己株式-70,142-70,284-70,467-70,495-70,620-70,655-70,732-70,750-70,800-122,099-163,720
株主資本合計2,959,5393,069,9213,238,3943,327,9913,567,6753,703,3863,796,9983,877,1374,047,6664,496,3085,022,540
その他の包括利益累計額
その他有価証券評価差額金529,853489,601564,116722,508463,038451,610392,110441,351641,214623,178972,210
為替換算調整勘定10,0529,128-1,5477,9044,4926,46021,34933,53043,92939,21365,133
その他の包括利益累計額合計539,905498,729562,568730,412467,531458,071413,459474,882685,143662,3911,037,344
純資産合計3,499,4453,568,6513,800,9624,058,4044,035,2064,161,4584,210,4584,352,0194,732,8105,158,7006,059,885
負債純資産合計8,016,0848,159,6009,244,4539,688,2769,900,0318,883,7837,945,2077,774,0128,220,1278,905,0219,548,432