京写

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3,113,6353,288,9293,351,2184,6234,9783,5003,2995,2334,8855,4225,687
受取手形及び売掛金3,596,2334,403,6534,439,5284,0984,1693,4113,9043,6523,4093,7123,444
電子記録債権-----1,0479809461,079673587
製品603,339637,457692,3647996958362,0782,4072,1902,1232,062
仕掛品332,897392,562366,320396370452580560598713796
原材料及び貯蔵品790,589966,788981,1288658291,1221,7561,6661,3191,5702,034
その他393,503515,317430,2014047417261,1211,4891,5711,6211,721
貸倒引当金-16,519-16,545-10,620-2-7-2-5-6-5-3-1
繰延税金資産68,39677,73366,474--------
流動資産合計8,882,07510,265,89410,316,61611,18511,77711,09413,71515,95015,05015,83416,333
固定資産
有形固定資産
建物及び構築物3,441,0193,367,5223,380,8833,3683,4994,3754,8235,2555,5435,8385,999
減価償却累計額-2,599,710-2,624,786-2,718,597-2,752-2,793-2,923-3,242-3,526-3,841-4,179-4,398
建物及び構築物(純額)841,308742,735662,2866157051,4521,5801,7291,7021,6591,600
機械装置及び運搬具7,451,2047,273,7667,616,4837,5247,5268,8769,76011,48112,48813,50613,834
減価償却累計額-5,575,204-5,416,125-5,557,441-5,669-5,600-5,848-6,578-7,427-8,281-9,202-9,599
機械装置及び運搬具(純額)1,876,0001,857,6412,059,0421,8551,9263,0273,1814,0544,2074,3044,235
土地698,702698,702698,702723723724724724724724724
建設仮勘定27,12126,59239,523137630252198232942026
その他975,5731,003,0821,100,3241,1281,2301,2601,4901,6451,7641,6101,718
減価償却累計額-781,802-799,262-866,025-896-960-963-1,007-1,026-1,202-1,130-1,159
その他(純額)193,770203,819234,298232270296483618562480559
有形固定資産合計3,636,9033,529,4923,693,8543,5644,2575,7536,1687,1497,2257,5887,145
無形固定資産120,194104,52786,007564325312518140120
投資その他の資産
投資有価証券381,154253,036339,687425367468579348556592929
退職給付に係る資産----------75
繰延税金資産----1505484808810524
長期滞留債権-------594631703696
その他245,352272,256227,131190428487316328403496334
貸倒引当金-14,133-14,083-13,608-12000-596-634-705-696
繰延税金資産91,162115,741146,142148-------
投資その他の資産合計703,535626,950699,3537519471,0119797551,0451,1921,363
固定資産合計4,460,6344,260,9704,479,2154,3735,2476,7907,1787,9298,2908,9208,628
資産合計13,342,70914,526,86514,795,83115,55817,02517,88520,89423,87923,34024,75424,961
負債の部
流動負債
支払手形及び買掛金2,952,4223,855,0473,719,7293,4683,1732,4832,5972,9252,9093,0053,239
電子記録債務-----913900976880814633
短期借入金1,716,2131,999,8802,120,7952,2781,9412,6334,4895,0493,6573,6353,877
1年内返済予定の長期借入金376,792164,782210,5211741643154764656056731,021
リース債務15,57821,31220,0101651464646373742
未払法人税等3,90095,24537,6368088219204187241287202
賞与引当金152,523171,118171,216179186184201221229268262
その他491,116558,748591,5255886817397591,0109301,0511,059
流動負債合計5,708,5476,866,1346,871,4336,7876,2877,5369,67510,8849,4919,77410,338
固定負債
長期借入金517,053352,271201,7501,4073,5803,3363,2104,8214,4324,0983,158
リース債務81,660102,01482,0076560977173484261
退職給付に係る負債206,720374,885379,843358386399417498537336312
繰延税金負債----------489
その他226,182225,573226,044529483123155370402463
繰延税金負債99,77869,644111,784--------
固定負債合計1,131,3941,124,3891,001,4291,8844,1213,9153,8245,5485,3884,8804,485
負債合計6,839,9417,990,5247,872,8628,67110,40911,45113,49916,43214,87914,65414,823
純資産の部
株主資本
資本金1,102,4331,102,4331,102,4331,1021,1021,1021,1021,1021,1021,1021,102
資本剰余金1,153,7161,153,7161,153,7161,1531,1531,1721,1721,1861,2021,2221,241
利益剰余金3,271,1853,711,2724,062,3664,2414,1273,9154,2043,6484,2084,6784,594
自己株式-31,932-31,960-33,218-33-33-33-33-25-18-10-7
株主資本合計5,495,4025,935,4616,285,2976,4646,3506,1576,4465,9106,4946,9926,930
その他の包括利益累計額
その他有価証券評価差額金180,765102,538132,5703515958367203220520
繰延ヘッジ損益-4,770489-3,2100-26-24-51-74-204-245-406
為替換算調整勘定776,586533,600511,738340250737331,3961,7992,7702,664
退職給付に係る調整累計額-82,803-166,936-138,167-89-101-72-22-67-5792176
その他の包括利益累計額合計869,777469,691502,930287138727421,3221,7412,8372,955
非支配株主持分137,588131,188134,740135127203205213225269251
純資産合計6,502,7676,536,3416,922,9686,8876,6166,4337,3957,4468,46110,10010,137
負債純資産合計13,342,70914,526,86514,795,83115,55817,02517,88520,89423,87923,34024,75424,961