エレコム

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10,428,21221,819,01224,432,47426,356,34337,36551,87342,08241,25341,48443,71858,497
受取手形及び売掛金13,154,15516,508,36316,846,91418,571,80818,36520,07618,76317,64821,73421,03327,294
有価証券3,026,2513,182,2614,094,9265,869,3077,1869,53012,38013,86010,87111,19912,387
商品及び製品7,652,2728,723,1729,201,12810,011,8348,1819,23510,37610,21412,75811,93715,339
仕掛品-193,869121,278107,410180135124239589498662
原材料及び貯蔵品660,0941,124,0721,320,5431,723,6861,3041,4212,0671,9941,5751,6032,190
返品資産------547529429380378
為替予約--------6,9412,2922,782
その他1,074,186782,137705,6231,457,2501,6572,2775,5204,9601,4121,5581,769
貸倒引当金-45,993-10,572-3,267-1,289-1-1-500--
預け金------5,240----
繰延税金資産2,254,3701,885,6542,057,761--------
流動資産合計38,203,54854,207,97158,777,38364,096,35274,24094,55197,09790,70097,79694,222121,302
固定資産
有形固定資産
建物及び構築物(純額)802,3812,083,6601,944,2771,889,9921,8562,0132,4623,5624,1584,3114,617
機械装置及び運搬具(純額)1,247,4231,174,4351,000,901988,9528406693,5403,4832,9592,5782,236
土地389,2951,130,232744,693607,4216076076071,4171,8301,8292,269
建設仮勘定168,02215,10516,725215,6433513093242862014912,945
その他(純額)687,442746,183822,333980,2691,0621,3301,1301,6222,1402,3901,996
有形固定資産合計3,294,5655,149,6184,528,9324,682,2804,7184,9298,06510,37111,29011,60214,065
無形固定資産
ソフトウエア2,732,2132,549,3021,923,1921,490,0571,0401,5311,5151,3021,5581,4541,149
ソフトウエア仮勘定59427,253158,87496,0902584573331267101122
のれん--498,340---3092312,0781,277842
その他18,32120,24120,00520,00520202020609530453
無形固定資産合計2,751,1282,596,7972,600,4121,606,1531,3191,5961,9181,8854,5133,3642,567
投資その他の資産
投資有価証券431,1991,249,3731,569,3441,330,4111,1761,5871,3911,5802,0442,6394,481
繰延税金資産----2,0811,8559451,2616981,4621,180
その他408,641899,527831,902830,0558038129841,0521,0291,4531,612
貸倒引当金-2,896-23,276-14,550-5,220-1-1-4-4-4-4-4
退職給付に係る資産---31,959-189223----
繰延税金資産444,638535,786617,6102,003,448-------
投資その他の資産合計1,281,5832,661,4113,004,3074,190,6554,0594,4423,5403,8903,7685,5517,270
固定資産合計7,327,27710,407,82710,133,65210,479,08910,09710,96913,52316,14619,57220,51823,903
資産合計45,530,82664,615,79968,911,03674,575,44184,337105,520110,621106,846117,368114,740145,205
負債の部
流動負債
支払手形及び買掛金10,697,76410,427,25810,216,48110,970,7189,32313,28713,36410,82515,15415,72618,813
電子記録債務-3,641,6843,731,3813,582,4082,9773,6163,7662,9462,2071,391804
短期借入金348,018907,721544,746500,000500500500500500500500
未払金1,724,6071,658,0051,778,4222,477,6651,9632,0511,5262,1821,7672,4352,594
未払法人税等1,803,4461,558,7792,181,3752,234,4462,4332,4541,7571,8241,8112,1733,853
返金負債------1,5651,7891,7081,5531,321
販売促進引当金151,215147,680124,749178,513132173110110141210199
賞与引当金508,736717,797900,154879,3301,3171,0829149381,1741,2511,498
その他2,356,9301,714,7882,269,9421,525,6731,9592,1581,5852,2573,3324,0214,679
設備関係未払金------2,000----
返品調整引当金705,000470,000636,354496,436418431-----
売上値引等引当金1,518,1081,531,9101,004,3141,101,8811,0651,032-----
1年内返済予定の長期借入金1,500,000300,000---------
流動負債合計21,313,82823,075,62623,387,92323,947,07422,09126,78727,09223,37427,79829,26334,263
固定負債
退職給付に係る負債949,2101,371,9931,262,5041,321,8711,5391,6421,7121,7802,0981,9642,145
役員退職慰労引当金79,520115,430120,750119,77012161922662612
その他111,014692,552262,098166,413292261396464956793599
転換社債型新株予約権付社債-10,048,9589,534,270--------
再評価に係る繰延税金負債-194,608---------
長期借入金-----------
固定負債合計1,139,74412,423,54211,179,6231,608,0541,8441,9192,1272,2673,1202,7842,758
負債合計22,453,57335,499,16834,567,54725,555,12823,93628,70729,22025,64230,91932,04837,022
純資産の部
株主資本
資本金1,975,4741,975,4742,226,6346,990,4438,90412,57712,57712,57712,57712,57712,577
資本剰余金1,936,2341,936,2342,294,3947,090,4038,95812,76912,81512,82212,90912,91114,570
利益剰余金20,082,39024,680,35230,019,31735,489,81342,70850,60157,63062,48768,88074,70991,074
自己株式-418,053-418,186-281,542-1,837,480-1,602-1,373-6,052-11,261-15,887-22,880-16,849
株主資本合計23,576,04528,173,87534,258,80447,733,17958,96874,57476,97276,62678,48077,317101,372
その他の包括利益累計額
その他有価証券評価差額金154,447198,986501,434343,4342665373865026808641,626
繰延ヘッジ損益-887,5242,597-655,855590,0807529632,6092,1724,1351,4652,066
為替換算調整勘定243,898253,104160,334224,9441933381,0041,6593,0482,8392,809
退職給付に係る調整累計額-43,876-45,41619,39033,713-341381830-2061181
その他の包括利益累計額合計-533,055409,27225,3041,192,1731,1781,9784,1824,3337,8445,2306,684
新株予約権34,26282,36259,36086,038247250228229107127125
非支配株主持分-451,120198,92179181516160
純資産合計23,077,25329,116,63034,343,48949,020,31260,40176,81381,40181,20486,44982,692108,183
負債純資産合計45,530,82664,615,79968,911,03674,575,44184,337105,520110,621106,846117,368114,740145,205