極東開発工業

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8,5316,68410,65710,5837,8049,70325,81419,33115,74020,29122,498
受取手形------6,6464,4755,4863,2272,623
売掛金------23,07822,10728,27528,17229,514
契約資産------4951,7152,2862,7614,347
電子記録債権----6,8147,8858,2998,4169,65110,93311,977
商品及び製品5968838901,1981,3681,7722,4621,3712,1922,4713,517
仕掛品4,6534,3054,7625,5605,7976,5876,9458,4528,98915,33916,679
原材料及び貯蔵品7,3237,3637,9639,1779,4838,6139,81511,45912,57411,05211,892
前払費用399453532510399379361416385612794
その他8119521,1831,0452,3522,1169111,4822,1852,1813,088
貸倒引当金-49-57-59-67-61-63-55-53-62-110-372
有価証券4,08110,90011,2009,13312,88912,20011,50014,3003,700--
受取手形及び売掛金39,78938,75940,74043,61635,90535,128-----
繰延税金資産1,4521,3821,360--------
流動資産合計67,59171,62779,23080,75782,75384,32396,27693,47491,40596,933106,560
固定資産
有形固定資産
建物及び構築物(純額)11,14711,62111,92211,47911,35211,43910,40512,34317,54417,29320,984
機械装置及び運搬具(純額)4,1295,1745,6365,5675,2176,1915,5055,0525,8739,0529,398
土地20,10620,64220,59120,56420,36021,01722,00027,55229,14828,24933,267
建設仮勘定4811762751661,0112909332,2242,9884,8363,989
その他(純額)1,0101,3581,4671,3951,1049959271,0601,2442,1582,096
有形固定資産合計36,87538,97339,89439,17439,04639,93439,77248,23356,79961,59069,736
無形固定資産
のれん-----8037706846617,6297,654
顧客関連資産-------4224361,189968
その他5416476397067008161,2221,1901,0922,1661,927
顧客関連資産-----449450----
無形固定資産合計5416476397067002,0682,4442,2962,19010,98410,550
投資その他の資産
投資有価証券13,69115,51816,90815,99011,68414,38814,02212,54617,14915,37911,990
長期貸付金-----1,963456420221188130
長期前払費用444379302259189472430341297239723
退職給付に係る資産--------1,1871,0942,156
繰延税金資産----259264280342343371849
その他3,9292,0712,4822,4272,6531,5071,5631,3951,5211,6701,313
貸倒引当金-2,587-729-709-710-708-2,182-896-895-718-704-713
繰延税金資産5353111271-------
投資その他の資産合計15,53117,29219,09418,23914,07916,41315,85614,15120,00218,23916,449
固定資産合計52,94856,91459,62858,12053,82658,41758,07364,68178,99290,81496,736
資産合計120,539128,542138,859138,878136,579142,740154,350158,156170,398187,748203,297
負債の部
流動負債
支払手形及び買掛金22,95016,01616,84517,37315,99316,54714,7569,6189,14113,65313,363
電子記録債務-7,46111,00310,22510,6299,1508,4579,29113,3733,5484,077
短期借入金2,9602,6382,9712,9381,4637399659021,68419,11311,295
1年内返済予定の長期借入金1,7911,5301,344600636232725888
未払法人税等2,2741,9061,7412,0581,5702,0961,1291,4837332,6654,307
未払消費税等8701,1249301,1001,4351,3761,0965968131,8291,431
未払費用3,7113,9154,0954,3194,5684,8134,5934,6495,0985,2916,173
製品保証引当金708623654995979877817721868906812
工事損失引当金5873881546398387898374465466
役員賞与引当金36--------4766
その他7499821,0921,0671,2741,0191,4541,6512,3374,4948,966
修繕引当金37123315338-------
流動負債合計36,48336,50840,92040,87138,61536,74233,68629,83834,43352,02350,968
固定負債
社債----50--2,8002,8002,8002,800
長期借入金4,1412,6101,203600552812417,3407,3367,62527,320
退職給付に係る負債1,15473268878096733918698405368
役員退職慰労引当金1962051601401681521431077985107
繰延税金負債----1,6002,2955,8614,8146,7756,1805,475
その他6877728277956947111,2191,1931,2801,7081,654
長期預り保証金2,7452,5232,3102,0901,8611,631-----
繰延税金負債3,4004,3164,8412,742-------
固定負債合計12,32511,16010,0317,1495,3975,4117,65216,35318,31318,45337,425
負債合計48,80947,66950,95248,02044,01342,15341,33846,19252,74670,47688,393
純資産の部
株主資本
資本金11,89911,89911,89911,89911,89911,89911,89911,89911,89911,89911,899
資本剰余金11,71811,71811,71811,71811,67911,82011,83911,67911,75011,88012,027
利益剰余金46,94653,72359,46464,27968,73273,99786,43585,36286,71987,48185,293
自己株式-2,149-2,150-2,151-2,152-2,153-2,249-2,081-1,801-1,836-1,749-1,660
株主資本合計68,41575,19280,93285,74590,15895,468108,092107,139108,533109,511107,560
その他の包括利益累計額
その他有価証券評価差額金3,6835,1666,4154,8782,5534,9304,5984,4027,4196,2285,013
為替換算調整勘定-59-1121-312753599636626-197
退職給付に係る調整累計額-373-239-338-462-657-170-63-100680339953
その他の包括利益累計額合計3,2504,9156,0984,4122,0234,8144,5934,3978,4666,5945,769
非支配株主持分647658766993843043244266521,1651,573
純資産合計71,72980,87287,90790,85792,566100,587113,011111,964117,652117,271114,903
負債純資産合計120,539128,542138,859138,878136,579142,740154,350158,156170,398187,748203,297