堀場製作所

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

2015-12百万円
2016-12百万円
2017-12百万円
2018-12百万円
2019-12百万円
2020-12百万円
2021-12百万円
2022-12百万円
2023-12百万円
2024-12百万円
資産の部
流動資産
現金及び預金43,92252,27258,99563,63295,646114,537135,023139,855132,775144,272
受取手形、売掛金及び契約資産-------69,81871,54182,582
有価証券6,9271,1781,9022,3993,0791,9652,0121,4992,0002,062
商品及び製品15,69615,11816,51220,01819,99518,57817,86426,44735,14533,575
仕掛品9,23414,54316,39619,84317,69016,78616,51321,41524,69624,646
原材料及び貯蔵品10,78610,62612,66515,27613,92713,88618,73627,40939,63239,456
その他6,4636,0297,3218,2907,8898,3649,24911,42214,10213,013
貸倒引当金-789-842-788-682-796-1,032-1,232-1,320-1,317-2,808
受取手形及び売掛金54,77253,72460,15259,11159,12150,87359,877---
繰延税金資産4,0014,1604,3314,312------
流動資産合計151,015156,812177,487192,203216,553223,959258,044296,547318,577336,801
固定資産
有形固定資産
建物及び構築物(純額)31,28832,96636,90037,20739,78040,87445,64854,22655,45455,958
機械装置及び運搬具(純額)6,4688,83710,77610,24412,05311,38612,98613,89417,65218,446
土地10,64713,06513,73613,69215,17715,31515,99416,86520,31121,340
建設仮勘定4,7393,4533,4683,0183,6049,6309,2316,3792,53012,315
その他(純額)3,8343,6543,8184,5765,3134,8634,4414,3374,8534,912
有形固定資産合計56,97861,97768,70168,73975,92982,07188,30295,702100,801112,972
無形固定資産
のれん5763871949011,2549449666101,3431,061
ソフトウエア4,8514,0823,2982,9072,7342,3751,9681,5591,258978
借地権-----5636076166291,475
その他4,8703,4539041,0921,5467438818061,7331,968
無形固定資産合計10,2987,9234,3974,9015,5354,6254,4233,5934,9655,483
投資その他の資産
投資有価証券8,3358,51911,0008,35910,61210,60512,48710,47515,66616,014
退職給付に係る資産----133213876901,2121,749
繰延税金資産-----3,8445,0026,7156,2447,100
その他2,7832,7642,8612,9172,9332,6862,9793,0632,7781,538
貸倒引当金-50-66-77-76-51-46-43-46-1,214-45
繰延税金資産1,6711,7261,5491,0923,605-----
投資その他の資産合計12,73912,94315,33412,29217,11417,41120,81420,89824,68626,358
固定資産合計80,01782,84488,43285,93398,579104,108113,540120,195130,453144,814
資産合計231,032239,657265,920278,136315,133328,068371,585416,742449,030481,616
負債の部
流動負債
支払手形及び買掛金17,63820,01323,27221,93319,86120,26429,54636,94530,51820,321
短期借入金12,87912,4638,35212,0448,4959,54825,10712,3515,6959,013
未払金14,78714,04114,88815,92016,16415,09216,40719,44322,18423,345
未払法人税等3,7961,8386,2773,5142,0044,0427,6329,1335,7837,997
契約負債-------24,63224,71325,387
賞与引当金9489141,4641,2651,1889191,1372,0032,3122,747
製品保証引当金1,6051,6721,9322,0122,3692,3312,6302,7993,5703,832
その他10,6174,6074,4963,8304,2185,1245,3684,9206,2727,638
前受金-10,16213,51917,47519,16915,47314,308---
1年内償還予定の社債----15,000-----
繰延税金負債9176611------
役員賞与引当金635863-------
災害損失引当金-22749-------
流動負債合計62,42966,07674,37877,99988,47272,797102,139112,229101,051100,283
固定負債
社債15,00015,00015,00015,00030,00030,00030,00030,00030,00030,000
長期借入金16,82619,25518,70417,02816,87837,51825,07724,85424,69925,391
繰延税金負債-----8361,7311,270645739
退職給付に係る負債1,9472,1912,1451,9462,0172,2372,1071,5471,8732,074
その他2,3291,7632,1492,5525,5346,0096,0365,9907,0278,421
繰延税金負債1,1819312,036950613-----
厚生年金基金解散損失引当金1,2671,247640640------
固定負債合計38,55240,38940,67538,11855,04476,60164,95363,66364,24666,627
負債合計100,982106,466115,054116,117143,517149,399167,092175,892165,298166,911
純資産の部
株主資本
資本金12,01112,01112,01112,01112,01112,01112,01112,01112,01112,011
資本剰余金18,71718,71718,71718,71718,59918,59918,62418,68418,76618,624
利益剰余金96,055103,104115,345132,329141,689150,222166,892194,000223,320241,826
自己株式-1,730-1,588-1,488-1,428-1,405-1,323-1,323-1,193-1,037-2,841
株主資本合計125,053132,244144,585161,630170,894179,509196,204223,502253,060269,621
その他の包括利益累計額
その他有価証券評価差額金2,6242,9284,6362,7884,3444,3635,6644,2576,8506,901
為替換算調整勘定1,836-2,2971,151-2,829-4,042-5,8391,88912,15622,78537,112
退職給付に係る調整累計額66-221-90-224-244-75-69148312382
繰延ヘッジ損益0---206----
その他の包括利益累計額合計4,5274095,697-26758-1,5457,48416,56229,94744,395
新株予約権469466492549651697791769706673
非支配株主持分-719010610612151714
少数株主持分0---------
純資産合計130,050133,191150,866162,018171,615178,669204,493240,850283,732314,704
負債純資産合計231,032239,657265,920278,136315,133328,068371,585416,742449,030481,616