アオイ電子

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21,927,94222,053,81125,302,55425,922,96722,992,29424,044,10124,114,44122,561,94320,056,67817,701,23116,346,710
受取手形及び売掛金9,093,24311,099,73710,447,2438,424,9869,145,1099,078,4899,438,5086,247,1756,520,5866,864,4297,589,605
電子記録債権--910,769517,1021,797,6092,027,3122,221,0232,113,7811,683,4212,055,1382,511,915
有価証券---2,000,0003,000,0003,000,0003,000,0003,000,0003,000,0003,000,0001,000,000
商品及び製品153,734117,83775,740130,221126,87235,060154,26983,75563,17665,28395,492
仕掛品565,044716,401775,390731,807920,228984,880950,5711,118,635905,0651,061,5751,299,899
原材料及び貯蔵品864,258982,9101,093,7991,112,4551,180,6581,305,9761,887,5342,225,6371,954,6101,832,2903,522,946
前払費用59,54975,92363,64032,53852,16758,22277,29178,96786,392103,43096,574
その他148,351132,875393,579446,962225,537227,860874,083785,646678,473745,8631,174,130
貸倒引当金--318,107-13,962-10,726-------
繰延税金資産719,604434,331400,245--------
流動資産合計33,531,72935,295,72039,449,00139,308,31539,440,47740,761,90242,717,72338,215,54134,948,40533,429,24233,637,275
固定資産
有形固定資産
建物及び構築物15,870,96216,505,04116,354,57719,443,31320,364,55520,712,16421,301,68121,166,34222,578,39223,711,62825,211,430
減価償却累計額及び減損損失累計額-11,154,444-11,854,651-12,141,998-13,303,788-14,285,623-14,964,935-15,508,630-15,690,299-17,007,723-17,782,736-18,580,733
建物及び構築物(純額)4,716,5174,650,3904,212,5786,139,5246,078,9315,747,2295,793,0515,476,0425,570,6695,928,8926,630,696
機械装置及び運搬具40,124,31740,282,56642,030,37942,843,60444,316,08645,997,23646,354,91846,225,61345,463,64146,277,00946,560,730
減価償却累計額及び減損損失累計額-38,086,724-37,355,172-38,663,006-39,992,735-41,527,113-43,301,839-43,519,030-43,367,398-44,714,908-44,288,442-44,651,724
機械装置及び運搬具(純額)2,037,5932,927,3943,367,3722,850,8682,788,9732,695,3962,835,8872,858,214748,7321,988,5661,909,006
工具、器具及び備品7,323,7437,275,0847,414,4277,569,5397,894,5218,270,6758,684,1708,865,1078,778,4338,738,5028,735,412
減価償却累計額及び減損損失累計額-7,063,605-6,996,901-7,060,473-7,155,707-7,497,887-7,783,542-8,056,393-8,349,649-8,686,858-8,538,010-8,480,605
工具、器具及び備品(純額)260,138278,182353,954413,831396,633487,132627,776515,45791,575200,492254,806
土地3,207,8043,341,4043,384,2113,384,2113,384,2113,441,2383,463,2893,464,2883,453,1023,453,1024,355,075
リース資産302,836256,861279,514305,947369,850323,268337,161348,453311,308266,050248,910
減価償却累計額及び減損損失累計額-140,718-102,024-125,936-151,815-215,055-168,502-187,874-196,798-208,047-161,509-155,129
リース資産(純額)162,118154,837153,577154,131154,794154,766149,287151,654103,260104,54193,781
建設仮勘定377,024590,1022,122,433657,275882,811315,160700,9101,577,451541,6841,352,2458,978,261
有形固定資産合計10,761,19711,942,31113,594,12813,599,84413,686,35512,840,92413,570,20114,043,10910,509,02513,027,84122,221,628
無形固定資産---------124,387335,905
投資その他の資産
投資有価証券2,502,3732,474,0032,461,1832,425,1312,389,2282,556,9652,694,4872,755,3492,948,9812,951,0463,121,346
退職給付に係る資産-110,77834,863215,61297,026528,665377,488778,1301,320,3181,793,2853,021,812
繰延税金資産----1,313,5531,031,2181,084,140937,95747,42890,666118,202
その他490,5321,569,788441,678449,052483,270463,031407,117360,432242,908176,189250,066
繰延税金資産349,554288,851510,414936,753-------
投資その他の資産合計3,342,4604,443,4223,448,1404,026,5494,283,0794,579,8814,563,2334,831,8704,559,6375,011,1886,511,428
無形固定資産
のれん231,238199,770187,086174,402161,718149,034136,350123,667---
その他220,184266,004271,151249,052186,391160,337165,254154,630117,174--
無形固定資産合計451,422465,774458,237423,454348,110309,371301,605278,297117,174--
固定資産合計14,555,08016,851,50717,500,50618,049,84818,317,54517,730,17718,435,04119,153,27815,185,83718,163,41729,068,962
資産合計48,086,80952,147,22856,949,50857,358,16457,758,02358,492,07961,152,76457,368,82050,134,24351,592,65962,706,238
負債の部
流動負債
支払手形及び買掛金3,493,7203,375,2833,073,3242,374,9332,351,9362,276,8172,471,0901,630,0251,719,6171,924,2541,577,933
電子記録債務-1,009,5761,726,0751,857,9001,610,3252,058,9261,504,218851,717916,022802,971632,963
短期借入金190,000190,000190,000190,000190,000190,000190,000190,000190,0001,180,000200,000
1年内返済予定の長期借入金459,188459,188322,248264,612230,429305,988306,028160,496233,496167,6851,992,666
リース債務50,31159,78756,59060,42572,28364,02563,54263,87052,29240,35337,862
未払金1,418,9621,834,7841,981,3561,797,5002,196,1181,700,5322,441,0212,074,1161,694,4442,056,8962,570,993
未払法人税等472,362674,3601,021,089725,006451,085112,0421,128,14751,53362,15192,728106,108
賞与引当金664,088781,922832,657790,564782,699788,561721,662712,970681,035674,471672,845
その他476,583827,565947,491726,536695,0361,032,696660,977594,581535,235711,911755,634
役員退職慰労引当金1,464,986----------
1年内償還予定の社債-----------
流動負債合計8,690,2019,212,46810,150,8338,787,4788,579,9138,529,5899,486,6886,329,3126,084,2967,651,2748,547,008
固定負債
長期借入金884,501425,313403,065702,953472,524608,205302,177141,681474,185306,5007,478,833
リース債務112,289101,233108,075104,851132,229129,008109,39995,40860,85570,05774,540
繰延税金負債----28,8017,9311,3772,121230,681556,3471,113,786
退職給付に係る負債464,582470,637405,891375,200400,691246,774216,791175,49637,43031,37124,829
資産除去債務-26,87427,01627,16027,30427,44927,59527,74227,89028,03928,189
圧縮未決算特別勘定----------2,166,666
その他105,377295,902256,29880,64372,68967,26262,59259,12157,47633,51027,191
繰延税金負債---52,454-------
役員退職慰労引当金21,83421,83421,834--------
固定負債合計1,588,5841,341,7951,222,1821,343,2621,134,2401,086,631719,934501,571888,5181,025,82610,914,036
負債合計10,278,78610,554,26411,373,01510,130,7409,714,1549,616,22110,206,6236,830,8846,972,8158,677,10019,461,045
純資産の部
株主資本
資本金4,545,5004,545,5004,545,5004,545,5004,545,5004,545,5004,545,5004,545,5004,545,5004,545,5004,545,500
資本剰余金5,790,9505,790,9505,790,9505,790,9505,790,9505,790,9505,790,9505,790,9505,790,9505,790,9505,790,950
利益剰余金27,773,83631,364,37335,283,08536,888,25837,895,08238,277,90940,402,68639,745,69133,836,81433,410,11332,875,499
自己株式-1,214-1,419-1,419-1,419-1,551-1,881-1,881-2,028-1,961,228-1,961,370-1,961,429
株主資本合計38,109,07241,699,40445,618,11647,223,28848,229,98048,612,47750,737,25550,080,11242,212,03641,785,19341,250,520
その他の包括利益累計額
その他有価証券評価差額金121,469164,003148,35784,52042,667143,067243,992232,553310,676305,972431,652
退職給付に係る調整累計額-422,518-270,443-189,980-80,385-228,779120,313-35,106225,270638,714824,3941,563,019
その他の包括利益累計額合計-301,049-106,439-41,6234,134-186,111263,380208,886457,823949,3911,130,3661,994,672
純資産合計37,808,02341,592,96445,576,49247,227,42348,043,86848,875,85850,946,14150,537,93643,161,42742,915,55943,245,192
負債純資産合計48,086,80952,147,22856,949,50857,358,16457,758,02358,492,07961,152,76457,368,82050,134,24351,592,65962,706,238