プレス工業

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18,89820,45624,62618,55622,29117,15121,56922,34428,72226,26922,213
受取手形------2,8212,9914,6464720
売掛金------41,43041,09738,61236,02745,027
電子記録債権---------3,1802,311
商品及び製品1,3761,3511,5471,3631,4081,3811,3841,6621,9991,5941,844
仕掛品9,7759,60110,31610,3958,61812,64411,22811,9939,34111,49110,246
原材料及び貯蔵品1,0551,0951,2941,2661,3691,7481,6642,0112,7913,0583,072
未収還付法人税等16192419344610312084814
その他2,3002,1992,5542,5281,8281,6534,2404,9585,6706,0785,536
貸倒引当金-16-10--1---12-14-16-6-7
受取手形及び売掛金34,33634,53338,26338,77834,63334,360-----
繰延税金資産9971,0511,087--------
流動資産合計68,74170,29779,71573,08070,59768,95084,35987,06591,77787,78990,279
固定資産
有形固定資産
建物及び構築物37,39137,26637,44337,80038,42538,75340,87841,66244,71549,14654,047
減価償却累計額-23,688-24,340-24,869-25,585-26,700-27,254-28,867-30,489-32,479-34,685-35,245
建物及び構築物(純額)13,70212,92612,57412,21411,72411,49912,01111,17212,23514,46118,801
機械装置及び運搬具95,12595,95798,37798,384101,833101,906102,800109,725122,519132,718145,500
減価償却累計額-71,113-73,385-74,658-77,364-82,185-84,778-86,985-92,193-99,811-107,318-115,522
機械装置及び運搬具(純額)24,01122,57123,71821,02019,64817,12715,81517,53122,70725,40029,978
工具、器具及び備品29,83231,22332,92130,20734,25735,87536,15639,93644,92650,52254,584
減価償却累計額-22,806-24,614-26,807-25,049-27,875-29,476-31,344-33,257-37,001-42,605-46,745
工具、器具及び備品(純額)7,0266,6096,1145,1576,3826,3984,8116,6787,9257,9167,838
土地31,96631,91531,95731,92832,30632,22332,26332,44132,58232,78132,870
建設仮勘定2,5323,9312,4253,9134,3904,5509,4579,9709,16712,9898,961
有形固定資産合計79,23977,95476,79174,23474,45271,80074,35977,79484,61893,54998,450
無形固定資産1,044810579516532637588538498590557
投資その他の資産
投資有価証券5,8877,5198,4697,0924,0286,0476,9776,9708,8518,0018,216
繰延税金資産----6816361,2941,3881,5471,5581,535
退職給付に係る資産7271,2801,8712,4452,8533,5713,7453,5613,3965,2867,199
その他1,1931,3941,4761,2291,1001,0421,3731,1591,0871,024981
貸倒引当金-74-74-74-150-76-76-79-76-35-35-35
繰延税金資産7581,110542625-------
投資その他の資産合計8,49211,23012,28511,2418,58811,22113,31113,00314,84715,83517,898
固定資産合計88,77589,99589,65685,99283,57383,65888,25891,33699,965109,974116,906
資産合計157,517160,293169,371159,073154,170152,609172,617178,402191,742197,764207,185
負債の部
流動負債
支払手形及び買掛金21,26522,83424,77924,43822,86620,70724,82025,54127,49424,06126,856
電子記録債務5,1585,0765,9283,5573,3693,4684,1385,9456,1305,4746,378
短期借入金13,44314,36011,4309,1627,6897,21311,8656,4415,7708,1026,031
リース債務26114514456262233117833743
未払法人税等5859091,2481,2641543662,1849561,3218091,243
契約負債------182304317871,478
賞与引当金2,9023,0173,3593,5923,2892,6373,2853,4863,3683,5613,498
役員賞与引当金1301451351479877163130170119182
その他8,5116,5967,6938,1197,5557,2168,2268,79710,94210,6639,593
1年内償還予定の新株予約権付社債--10,000--------
流動負債合計52,25853,08564,71950,33845,05041,70954,73651,64655,71353,61755,306
固定負債
長期借入金7,7014,9413,9592,9052,7672,5711,8042,5111,6321,664928
リース債務3702156529235241237299262267281
長期未払法人税等---------70-
繰延税金負債----1,0811,8702,0752,1982,8373,1954,256
再評価に係る繰延税金負債7,6217,6017,6017,6017,6017,6017,6017,6017,6017,8227,822
退職給付に係る負債5461,1631,4991,5872,0322,1152,1472,2762,4702,8373,143
環境対策引当金595214810183205171140139155153
資産除去債務408409410410404404405405404404398
その他367331331301290284218234235246242
繰延税金負債1,1351,8282,5131,581-------
転換社債型新株予約権付社債10,00010,000---------
固定負債合計28,21126,54316,52914,52014,49615,29514,66115,66815,58416,66417,227
負債合計80,46979,62881,24864,85859,54657,00569,39867,31571,29870,28272,534
純資産の部
株主資本
資本金8,0708,0708,0708,0708,0708,0708,0708,0708,0708,0708,070
資本剰余金2,0752,0752,0752,0742,0742,0742,0742,0742,0742,0742,074
利益剰余金42,43346,50151,04056,95759,15659,94164,22467,98072,95774,54678,179
自己株式-1,197-1,198-1,199-916-1,619-1,619-1,838-1,936-2,183-353-366
株主資本合計51,38055,44859,98666,18667,68268,46672,53076,18980,91884,33887,958
その他の包括利益累計額
その他有価証券評価差額金1,5282,7803,3042,3191611,5612,1922,2193,5513,2733,615
土地再評価差額金17,23617,25517,25517,25517,25517,25517,25517,25517,25517,03417,034
為替換算調整勘定2,4671,6281,9201,1801,2396291,7603,8585,6477,7668,939
退職給付に係る調整累計額-452-382-442144961,0311,0557454471,5792,647
その他の包括利益累計額合計20,77921,28222,43620,97019,15320,47722,26324,07826,90229,65432,237
非支配株主持分4,8873,9335,7007,0577,7886,6608,42510,81912,62313,48914,455
純資産合計77,04780,66488,12394,21494,62495,604103,219111,087120,444127,481134,651
負債純資産合計157,517160,293169,371159,073154,170152,609172,617178,402191,742197,764207,185