ヨロズ

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22,33625,19720,88224,97019,01929,25928,86623,61722,28727,92929,767
受取手形及び売掛金21,77119,81022,28719,84217,61717,86419,18524,11028,69327,38327,770
電子記録債権1,5642,1122,0602,1222,0772,0881,5842,1822,1542,3642,609
有償支給未収入金551771754867651868348350347588456
製品4,9644,2964,8935,3405,2073,6965,0206,2945,2233,4303,543
原材料及び貯蔵品1,2987871,1789341,1878931,0691,1241,2111,2901,669
部分品3,0303,0063,1622,8042,7342,1943,0823,7834,3704,4584,284
仕掛品4,8267,6639,0536,8784,9893,6943,9586,9005,7428,0006,903
未収入金1,3671,2621,4591,6342,3281,5431,4241,7192,1142,1761,312
その他2,9714,2903,8672,1582,7972,0222,3773,0373,8084,2924,747
貸倒引当金-12-9-10-130-223-405-442-538-580-753-1,414
繰延税金資産2,4442,8272,596--------
流動資産合計67,11772,01872,18667,42258,38663,72166,47572,58275,37381,15981,649
固定資産
有形固定資産
建物及び構築物(純額)14,28012,87220,56319,50515,96413,81014,01414,33219,32817,11116,113
機械装置及び運搬具(純額)43,29838,11746,85553,42641,87033,61333,88532,24522,26018,40819,426
工具、器具及び備品(純額)3,3812,9572,0562,7603,0352,3752,6132,8612,0351,3541,822
土地3,6433,5673,5723,5582,8972,5542,5832,6454,5914,6124,648
建設仮勘定6,59224,08717,0746,6567,4367,4664,4597,1856,5334,1063,860
その他(純額)-------18254527
有形固定資産合計71,19681,60190,12185,90771,20359,82057,55759,28854,77345,63845,898
無形固定資産821693541418270202149184206141209
投資その他の資産
投資有価証券6,8498,2188,8977,1504,2216,4625,7095,7268,0117,3728,314
繰延税金資産----4,1532,7722,7542,4762,4309551,092
その他2,2611,7211,6791,6781,4641,7421,3451,2521,4611,3331,093
繰延税金資産3,1052,9173,2345,520-------
投資その他の資産合計12,21512,85713,81114,3499,83910,9789,8099,45511,9039,66110,500
固定資産合計84,23395,152104,474100,67581,31371,00167,51668,92866,88455,44156,608
資産合計151,351167,171176,661168,097139,700134,723133,992141,511142,257136,601138,258
負債の部
流動負債
支払手形及び買掛金16,67816,42918,98214,11712,60913,98215,05514,19114,83815,03313,374
電子記録債務3,4527,6603,7353,4011,7769231,1272,7703,1741,9491,078
短期借入金4,45513,42812,94510,6946,1373,2003,4505,36512,98611,84211,158
1年内返済予定の長期借入金9,5638,0004561,2187,86613,05112,8718,9406,0659,5042,895
未払金1,4681,7071,6461,4541,0358291,0341,5901,5451,8422,104
未払法人税等9281,4492911,278449916471213803278402
未払費用3,2952,9193,6113,6303,7242,6002,6723,7063,4263,6903,198
契約負債---------1,242234
リース債務---------242285
賞与引当金1,1331,2571,3321,3471,3201,2851,3531,4031,3621,3461,360
役員賞与引当金5974778165646689928280
その他2,0572,7412,5523,0482,5662,4776,4896,1225,5184,2375,856
流動負債合計43,09255,66745,63240,27337,55039,33144,59244,39349,81551,29242,029
固定負債
長期借入金8,00014,29430,18731,33323,87326,61416,52517,80914,21017,39025,052
退職給付に係る負債1,6041,5341,5131,2761,5621,4281,2569388851,1021,094
リース債務---------3,7833,956
その他2,6261,9162,3122,9032,1621,6101,2399291,8521,8282,072
固定負債合計12,23017,74434,01335,51327,59829,65319,02119,67716,94924,10532,175
負債合計55,32373,41279,64575,78765,14968,98463,61364,07166,76475,39774,205
純資産の部
株主資本
資本金6,2006,2006,2006,2006,2006,2006,2006,2006,2006,2006,200
資本剰余金10,26410,23110,33310,3299,8749,7629,4949,4299,3729,1369,094
利益剰余金63,90866,97568,14767,19553,42946,92547,54848,63443,95729,72931,052
自己株式-249-1,836-1,836-1,836-1,827-1,593-1,482-1,303-1,136-1,031-4,698
株主資本合計80,12381,57082,84581,88867,67761,29561,76162,96158,39444,03641,648
その他の包括利益累計額
その他有価証券評価差額金2,8013,7584,2353,0221,3012,6902,1862,4554,1133,5974,257
為替換算調整勘定-2,727-6,361-6,723-8,879-8,818-9,998-6,370-1,4303,7314,8678,699
退職給付に係る調整累計額-573-521-504-378-551-604-537-356-169-491-450
その他の包括利益累計額合計-499-3,124-2,992-6,235-8,068-7,912-4,7216687,6767,97312,506
新株予約権330448553649737617617599599517492
非支配株主持分16,07314,86316,60916,00814,20411,73812,72113,2108,8228,6769,406
純資産合計96,02793,75997,01592,31074,55065,73870,37877,43975,49361,20464,053
負債純資産合計151,351167,171176,661168,097139,700134,723133,992141,511142,257136,601138,258