三井E&S

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139,374119,81193,698100,857118,405137,64751,76245,80335,57035,35357,055
受取手形、売掛金及び契約資産------78,56381,85096,283102,95590,925
電子記録債権---------4,9874,329
商品及び製品4,1074,0904,0854,9674,7145,9255,7626,0959,68210,62510,311
仕掛品33,83035,58535,66142,29446,16555,28736,56146,79949,60152,47360,337
原材料及び貯蔵品5,0105,9765,1588,4395,5054,2314,1826,1368,4376,8297,207
その他61,01146,24843,39146,05050,25941,77225,18426,29524,46227,42716,580
貸倒引当金-2,466-3,300-1,956-1,452-1,185-1,498-213-353-801-1,006-506
受取手形及び売掛金282,419261,673243,767225,765282,368233,955-----
短期貸付金-56,49547,22741,0389,5931,74517----
繰延税金資産14,53510,7919,491--------
流動資産合計537,822537,372480,525467,959515,827479,067201,822212,628223,237239,646246,241
固定資産
有形固定資産
建物及び構築物199,667201,236197,752198,162134,796135,035130,454115,910114,620110,11895,822
減価償却累計額-141,327-139,833-140,660-144,062-107,778-108,178-103,742-91,461-90,807-86,974-73,088
建物及び構築物(純額)58,33961,40357,09254,10027,01726,85726,71224,44923,81323,14322,734
機械装置及び運搬具175,478181,690167,651166,269131,102117,77974,40469,92170,51273,01673,180
減価償却累計額-130,074-136,900-133,629-138,410-107,242-98,709-63,790-59,817-59,214-58,154-56,834
機械装置及び運搬具(純額)45,40444,78934,02127,85823,86019,06910,61310,10411,29714,86116,346
土地257,694249,265245,293245,73690,26170,95970,07768,54467,69965,72858,561
リース資産17,64818,19516,15514,19819,26517,23512,06012,74613,72613,17012,915
減価償却累計額-9,693-9,680-7,856-7,188-8,348-7,990-4,977-5,035-6,185-6,731-7,676
リース資産(純額)7,9558,5158,2987,00910,9169,2447,0837,7117,5416,4395,238
建設仮勘定6,6452,0334,3324,1854,6152,3372,1593,1653,6263,3442,440
その他19,99420,71519,93320,26917,97117,22412,70612,54013,05013,49613,472
減価償却累計額-16,981-17,464-16,905-17,119-15,084-14,545-11,014-10,748-11,042-10,865-10,545
その他(純額)3,0123,2503,0273,1502,8872,6791,6911,7922,0082,6312,926
有形固定資産合計379,051369,257352,066342,040159,559131,146118,338115,767115,987116,149108,247
無形固定資産
のれん17,87714,34814,26011,61610,0619,6317,9957,6267,5326,4776,196
その他14,48215,41315,97317,87418,18017,7698,0467,8768,0747,6617,597
無形固定資産合計32,36029,76130,23329,49028,24227,40016,04215,50215,60714,13813,793
投資その他の資産
投資有価証券81,64688,17091,47283,21257,94451,58743,28068,80276,13629,67455,005
長期貸付金28,31331,48841,38046,16941,03739,9632,1292,1262,1201,7031,698
退職給付に係る資産2496,6975,5767326,4998,32610,9169,95717,10921,95727,690
繰延税金資産----14,21911,6342,6702,9845,59613,03710,885
その他16,57217,28520,07119,31917,47817,66614,24812,47611,47313,03132,107
貸倒引当金-2,736-749-733-658-427-342-299-285-126-126-1,116
繰延税金資産20,76217,4508,63010,833-------
投資その他の資産合計144,807160,342166,396159,609136,751128,83572,94696,061112,30979,278126,272
固定資産合計556,220559,362548,697531,140324,552287,382207,327227,330243,903209,566248,313
資産合計1,094,0421,096,7351,029,222999,100840,380766,449409,150439,959467,140449,212494,554
負債の部
流動負債
支払手形及び買掛金245,635195,849180,786190,955238,241215,20848,70554,93964,73345,61045,557
電子記録債務---------13,5265,963
短期借入金27,86014,12411,7033,53534,67070,85294,615115,245149,78547,85449,040
1年内返済予定の長期借入金41,12547,63262,92439,06240,24520,7138,1019,3751,4106,1666,232
リース債務2,1452,4331,9901,7455,3933,0001,8081,8632,0762,0502,050
未払法人税等6,89413,7369,00911,8467,8036,4901,3817962,1955,1205,248
契約負債------30,90125,30030,80944,18742,911
賞与引当金------4,4784,0595,1986,1718,490
保証工事引当金9,88110,54211,43910,78111,38910,8232,7792,4032,9342,6512,627
受注工事損失引当金10,12315,85710,32760,97298,50577,04359,60714,0254,3254,8373,729
解体撤去引当金--------8091,1421,315
資産除去債務1982104---106-
その他43,86040,85738,21743,23445,93942,02920,80214,65916,08621,36624,157
1年内償還予定の社債-15,000-10,0005,00015,00015,0005,000---
未払費用-------39,312---
前受金84,38872,90456,94392,60383,98394,345328----
修繕引当金----10,5733,731-----
繰延税金負債591536293--------
流動負債合計472,508429,483383,645464,740581,756559,244288,510286,980280,364200,792197,324
固定負債
長期借入金130,886148,419130,649112,02059,01937,96419,65711,92710,81743,82937,449
リース債務7,3057,3127,1166,5207,7897,4056,4967,0616,5715,3433,780
繰延税金負債----1,5692,4213,1761,846909182189
再評価に係る繰延税金負債15,08618,61618,00817,07617,03012,24412,24212,24112,01111,74610,079
事業構造改革引当金----3,3741,8791,3578537581,1101,026
契約損失引当金---------3,8453,376
退職給付に係る負債12,31812,77712,27313,10411,6858,0525,8655,0484,6174,5654,083
資産除去債務1,2861,2841,2831,8781,7942,3682,2181,7282,0971,4811,059
その他18,57720,49019,11113,72515,98118,9471,6741,5852,4832,1602,365
社債40,00040,00050,00040,00035,00020,0005,000----
役員退職慰労引当金5224253454632320-----
繰延税金負債51,69650,31649,95049,332-------
固定負債合計277,681299,642288,739254,121153,267111,30357,69042,29340,26674,26563,410
負債合計750,189729,126672,385718,861735,024670,548346,200329,273320,630275,058260,734
純資産の部
株主資本
資本金44,38444,38444,38444,38444,38444,38444,3843,8298,8468,8468,846
資本剰余金18,81118,80818,79918,74718,48618,39618,13210,55211,8042,7922,793
利益剰余金148,723146,961135,35467,812-18,676-8,596-33,27842,29267,056104,494143,060
自己株式-4,778-4,778-4,759-4,759-4,726-4,696-4,663-4,632-4,624-4,590-4,566
株主資本合計207,140205,376193,779126,18539,46949,48824,57552,04283,083111,543150,132
その他の包括利益累計額
その他有価証券評価差額金6,1859,9577,4773,365-29193614481,2696,89026,329
繰延ヘッジ損益-7,653-6,611-6,786-6,065-10,275-9,174-5,9598,3095,6422,7233,193
土地再評価差額金30,54041,26339,91237,80737,70727,60927,60327,60127,09825,43821,793
為替換算調整勘定11,5315,5956,093740-1,814-5,9302,12010,69112,9249,08510,341
退職給付に係る調整累計額-12,969-5,211-1,316-2,488-6805,3218,1377,71011,99214,11117,283
その他の包括利益累計額合計27,63444,99345,38033,35924,90718,01932,51654,36258,92758,24978,941
新株予約権231236216205175151123132875830
非支配株主持分108,845117,002117,460120,48840,80228,2415,7334,1484,4114,3034,714
純資産合計343,853367,608356,837280,239105,35595,90162,949110,686146,510174,154233,819
負債純資産合計1,094,0421,096,7351,029,222999,100840,380766,449409,150439,959467,140449,212494,554