能美防災

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28,19236,97733,37437,68942,70752,04948,66348,80546,55043,40835,442
受取手形、売掛金及び契約資産------48,99146,39549,13455,31962,360
有価証券2,000--------4,0004,100
商品及び製品2,8393,2203,1452,9902,7422,8052,9434,5285,6844,9725,010
仕掛品6841,0941,0401,0948291,1541,0111,3091,4191,3131,409
原材料及び貯蔵品3,6933,4773,6034,1504,5524,4675,2896,6418,1437,5538,081
その他1,0757549578287887798651,4151,0171,1731,363
貸倒引当金-373-359-359-397-363-370-540-440-632-589-596
受取手形及び売掛金33,83130,28538,59539,95344,11637,533-----
未成工事支出金5,9825,5947,5367,0205,9353,523-----
繰延税金資産2,0812,1572,398--------
流動資産合計80,00783,20290,29293,329101,308101,944107,225108,655111,318117,150117,172
固定資産
有形固定資産
建物及び構築物(純額)6,0016,3079,9739,7329,3278,9349,96313,23912,64112,13912,475
機械装置及び運搬具(純額)592422672666872794628692627413824
土地6,9876,9517,0177,0667,0667,0667,0817,0827,0917,1779,323
建設仮勘定1,3363,51466543382,7923,0501291314562,779
その他(純額)1,3291,4301,9291,9392,0982,0582,1752,5643,3753,1903,752
有形固定資産合計16,24718,62719,65919,45919,70321,64622,90023,70923,86823,37829,155
無形固定資産
ソフトウエア9231,1231,3411,3331,4071,8722,9192,9383,2554,0515,684
のれん--54433120874587923,828
その他6869696969696869676875
無形固定資産合計9921,1921,4651,4461,5081,9612,9963,0823,3824,9129,587
投資その他の資産
投資有価証券4,8325,6455,7286,0335,9546,5837,3147,55010,0749,75513,592
長期貸付金733912525211075
退職給付に係る資産--59-3347491,4674,1605,270
繰延税金資産----5,4545,1715,3855,4454,3874,3153,548
その他2,4832,6302,8022,9492,8082,6002,7893,1713,0493,2583,554
貸倒引当金-55-63-55-53-96-69-61-63-63-60-77
繰延税金資産2,5632,8182,7075,448-------
投資その他の資産合計9,89711,07011,20014,39314,14614,32215,47616,15418,91721,43625,895
固定資産合計27,13730,89132,32535,29935,35837,93041,37442,94646,16749,72664,638
資産合計107,145114,093122,617128,628136,666139,875148,599151,602157,485166,877181,811
負債の部
流動負債
支払手形及び買掛金4,6504,7434,7455,2474,5434,7994,3594,3054,4304,8306,259
短期借入金1818301918144--150-
未払金6,6307,0946,6416,8467,3717,2207,2447,4078,0049,66410,921
未払法人税等3,1753,0982,8411,9042,8661,5712,6131,2732,4804,2093,481
契約負債------1,0817671,3652,2264,091
賞与引当金3,0232,9063,0953,1543,5043,3583,6103,5073,6483,8874,933
製品保証引当金189165253143910859259
完成工事補償引当金54504542568482856483180
工事損失引当金4546398599198791,0821,2861,4461,4751,0061,003
その他2,1701,5721,8042,0622,3792,2162,4691,6093,2483,9143,851
電子記録債務4,2034,4184,5755,0324,3134,5755,0165,231---
資産除去債務------20----
未成工事受入金3,5784,7054,7704,3283,5171,985-----
建物解体費用引当金2171---------
流動負債合計27,99929,32829,42629,56229,47726,91227,80425,67224,82630,03234,982
固定負債
役員退職慰労引当金468486602165170190204147165188257
製品保証引当金350276243164172233132114107141198
工事履行保証損失引当金---231203203167182189188183
退職給付に係る負債8,1358,0557,8148,0817,9077,4857,4317,6835,5754,9415,844
資産除去債務869295107111116118118128132136
その他4044054227928715868401,0471,3271,2221,222
社債--24512261209----
長期借入金--8337194-----
建物解体費用引当金71----------
固定負債合計9,5179,3169,5079,7039,5178,8408,9039,2937,4926,8147,841
負債合計37,51738,64538,93339,26538,99535,75236,70834,96632,31836,84642,824
純資産の部
株主資本
資本金13,30213,30213,30213,30213,30213,30213,30213,30213,30213,30213,302
資本剰余金12,87912,86912,86912,87112,86812,90512,92012,93712,94512,94312,880
利益剰余金42,47848,10955,82561,69670,27975,87683,09487,82093,796101,312109,301
自己株式-278-279-279-279-280-280-272-263-259-3,931-3,914
株主資本合計68,38174,00281,71787,59096,170101,803109,045113,797119,784123,627131,569
その他の包括利益累計額
その他有価証券評価差額金6628068308496691,0761,0329172,1461,6583,122
為替換算調整勘定6064275083543033346828239831,2021,376
退職給付に係る調整累計額-1,618-1,274-918-918-995-654-509-5957242,3472,485
その他の包括利益累計額合計-350-40419284-227571,2051,1453,8545,2086,984
非支配株主持分1,5961,4861,5461,4871,5231,5611,6401,6931,5271,195432
純資産合計69,62775,44883,68489,36297,671104,122111,891116,635125,166130,030138,986
負債純資産合計107,145114,093122,617128,628136,666139,875148,599151,602157,485166,877181,811