コンドーテック

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

2016-03千円
2017-03千円
2018-03千円
2019-03千円
2020-03千円
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7,594,6718,660,3669,893,13610,133,6938,305,63911,31710,16410,73311,83615,47615,654
受取手形------4,3203,9323,2541,578569
売掛金------8,80910,16110,2069,89211,144
契約資産------7088180107239
電子記録債権628,572838,0761,218,4001,759,9681,695,7921,9842,8613,6954,9934,8285,976
商品及び製品2,856,5212,811,3933,121,2463,589,0634,031,4243,9595,8286,4466,0516,3126,776
仕掛品158,315207,541233,822348,629567,692589687770789853920
原材料及び貯蔵品325,603338,616393,946410,515426,9453836669159181,0621,031
その他389,884399,482431,697694,050680,9559681,232670545639693
貸倒引当金-8,274-7,697-10,707-9,676-8,004-5-6-12-11-10-12
受取手形及び売掛金12,336,20512,671,71913,313,56614,306,04813,207,64412,372-----
繰延税金資産258,195272,081256,147--------
流動資産合計24,539,69626,191,58028,851,25631,232,29228,908,08931,56934,63637,40238,76640,74042,995
固定資産
有形固定資産
建物及び構築物(純額)2,410,0832,562,9622,608,2073,044,9563,043,7883,1313,3143,6644,2144,0977,317
機械装置及び運搬具(純額)679,857795,914693,553865,5121,023,5991,2121,6251,4531,4611,3781,542
土地6,101,0986,103,4666,138,1006,140,9386,520,1816,6209,1649,3809,7379,81310,384
リース資産(純額)---------741754
建設仮勘定---------2,22055
その他(純額)130,27887,56582,678491,352724,4748839079051,378739748
有形固定資産合計9,321,3179,549,9089,522,53910,542,76011,312,04411,84815,01115,40316,79218,99120,802
無形固定資産
のれん---452,3703,142,3463,4953,8762,8832,5502,4902,222
顧客関連資産--------1,2031,1191,036
その他59,86857,00350,263596,451124,74794121116249251266
顧客関連資産----1,818,5341,4531,3701,286---
無形固定資産合計59,86857,00350,2631,048,8215,085,6295,0445,3684,2864,0033,8613,525
投資その他の資産
投資有価証券265,242336,639575,021419,147342,007335326331352280361
繰延税金資産----431,692276287366342219238
退職給付に係る資産-----59141110410801936
その他199,092176,955157,074239,911266,606300244283347415409
貸倒引当金-33,707-14,509-16,884-8,887-10,288-8-6-21-38-62-34
繰延税金資産294,012227,311173,937346,176-------
投資その他の資産合計724,639726,397889,149996,3471,030,0169639931,0701,4131,6541,911
固定資産合計10,105,82510,333,30910,461,95212,587,93017,427,69017,85621,37320,76122,20824,50726,240
資産合計34,645,52136,524,89039,313,20843,820,22346,335,78049,42656,00958,16360,97565,24769,235
負債の部
流動負債
支払手形及び買掛金3,071,3763,355,0333,285,2873,596,6943,333,9663,9784,3465,0154,7694,6855,503
電子記録債務6,246,0786,438,3567,246,0068,233,9368,400,0848,0299,1149,7389,6189,6487,863
短期借入金505,000500,000500,000430,000610,0003,1104,6103,6103,6103,6054,560
1年内返済予定の長期借入金---156,627129,144275214224240417749
未払法人税等692,211583,349642,092764,930678,7205968149461,0797631,003
賞与引当金534,120577,250524,038716,886768,9247488208789839461,016
株式給付引当金--------20-35
その他873,659875,445920,7111,646,9982,037,5902,0992,0622,2162,1883,3353,801
流動負債合計11,922,44512,329,43613,118,13615,546,07315,958,43018,83821,98322,63022,50923,40124,534
固定負債
長期借入金---242,363248,5462793475124641,1371,793
繰延税金負債----529,098466917927903914900
再評価に係る繰延税金負債178,749178,749178,749178,749178,749178178178178184184
退職給付に係る負債1,333,8391,242,6911,198,511978,562817,011288283316336365392
その他108,23254,21054,21973,570123,380272214311662209864
リース債務---------683-
株式給付引当金----63,0887817----
役員退職慰労引当金---4,05030,015------
株式給付引当金--17,75840,156-------
固定負債合計1,620,8211,475,6511,449,2391,517,4531,989,8891,5641,9592,2472,5453,4944,134
負債合計13,543,26613,805,08814,567,37617,063,52617,948,32020,40323,94224,87825,05426,89628,668
純資産の部
株主資本
資本金2,666,4852,666,4852,666,4852,666,4852,666,4852,6662,6662,6662,6662,6662,666
資本剰余金2,442,2722,452,5722,485,4132,434,5552,434,5552,4342,4342,4342,4402,4602,486
利益剰余金17,978,86119,868,12221,760,38823,348,00825,477,14826,24326,90328,47230,79432,96835,016
自己株式-500,756-894,279-970,535-410,910-758,247-1,134-661-893-837-778-732
株主資本合計22,586,86224,092,90125,941,75128,038,13729,819,94130,21031,34232,67935,06337,31639,437
その他の包括利益累計額
その他有価証券評価差額金149,857199,478309,554199,454145,678140121124141145195
繰延ヘッジ損益-8,618-16,622-16,555-2,0617772953-1110-1213
土地再評価差額金-1,510,852-1,510,852-1,510,852-1,510,852-1,510,852-1,510-1,510-1,510-1,510-1,516-1,516
為替換算調整勘定-4,2102,63116,93325,85810,70431456995122173
退職給付に係る調整累計額-147,895-98,623-47,495-41,363-109,9729235-6697272231
その他の包括利益累計額合計-1,521,719-1,423,988-1,248,414-1,328,964-1,463,663-1,216-1,255-1,395-1,166-988-902
非支配株主持分0000001,9792,0002,0222,0222,031
新株予約権37,11250,88852,49447,52331,18128-----
純資産合計21,102,25522,719,80224,745,83126,756,69628,387,46029,02232,06633,28535,92038,35040,566
負債純資産合計34,645,52136,524,89039,313,20843,820,22346,335,78049,42656,00958,16360,97565,24769,235