星医療酸器

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
2021-03千円
2022-03千円
2023-03千円
2024-03千円
2025-03千円
2026-03千円
資産の部
流動資産
現金及び預金7,018,1527,379,1467,796,5038,436,3837,437,8348,412,7148,760,2589,031,4809,755,74510,625,81811,210,930
受取手形、売掛金及び契約資産------2,538,2612,732,1022,810,7832,871,4912,892,507
商品及び製品59,14556,57544,20255,38146,06758,718107,33591,249105,470101,233105,409
未成工事支出金76,53893,66416,66811,89622,47735,43167,58867,67556,67029,91867,961
原材料及び貯蔵品20,54617,83316,37928,96941,73838,08662,70864,26053,75747,36945,734
その他81,94373,13570,24378,98892,36390,33979,56893,90595,445109,926107,682
貸倒引当金-3,680-3,174-3,531-4,762-4,985-2,227-869-13,781-2,566-2,343-4,303
受取手形及び売掛金2,141,6952,169,9492,508,2252,233,2992,302,5682,488,846-----
繰延税金資産58,10257,21553,366--------
流動資産合計9,452,4459,844,34410,502,05910,840,1569,938,06311,121,90811,614,85012,066,89312,875,30513,783,41214,425,923
固定資産
有形固定資産
建物及び構築物1,392,3491,270,8261,584,2941,590,4682,008,5082,204,6872,245,7322,410,4532,737,7202,912,1542,899,414
減価償却累計額-816,282-848,542-878,711-917,976-931,783-1,092,213-1,155,594-1,066,009-1,314,249-1,399,184-1,466,289
建物及び構築物(純額)576,067422,283705,583672,4911,076,7251,112,4731,090,1381,344,4441,423,4701,512,9701,433,125
機械装置及び運搬具417,434430,389449,211459,573446,768473,994487,483611,435626,765690,011703,685
減価償却累計額-357,946-373,100-372,070-386,056-394,832-404,684-414,400-453,170-490,023-518,231-550,951
機械装置及び運搬具(純額)59,48757,28977,14073,51751,93569,31073,083158,264136,742171,780152,734
工具、器具及び備品2,299,4552,386,3672,431,6022,484,4112,517,0822,546,6272,569,7652,663,3172,736,1922,977,9213,048,676
減価償却累計額-1,879,874-1,971,751-2,047,769-2,111,959-2,193,690-2,240,379-2,293,582-2,367,141-2,439,533-2,617,463-2,687,727
工具、器具及び備品(純額)419,580414,615383,832372,451323,391306,247276,182296,175296,658360,457360,949
土地2,045,3692,115,7492,115,7492,370,6543,323,9043,261,0373,462,6633,462,6633,513,2153,634,6073,645,607
リース資産1,243,1611,506,3931,528,8961,699,7381,599,0311,924,2292,116,3131,959,2721,683,7291,644,9612,039,286
減価償却累計額-557,376-775,862-865,577-923,013-745,715-873,856-943,496-1,053,533-928,253-653,079-880,037
リース資産(純額)685,784730,531663,319776,725853,3161,050,3731,172,816905,739755,476991,8811,159,249
その他(純額)--------12060-
建設仮勘定6,9803282,7712,4946,54412,260255,79296,0898,7998,157143,188
有形固定資産合計3,793,2703,740,7973,948,3974,268,3345,635,8165,811,7036,330,6776,263,3776,134,4826,679,9156,894,853
無形固定資産
ソフトウエア5,0177,3014,5667,8247,3677,0559,628227,191179,867137,521121,980
電話加入権8,9418,9419,0919,0919,0911,3871,3141,3141,3141,3141,314
ソフトウエア仮勘定----------22,561
その他3716--32230081,965256234212189
のれん--------4,138--
リース資産3,2621,455---------
無形固定資産合計17,25817,71413,65716,91516,7818,74392,909228,762185,554139,048146,046
投資その他の資産
投資有価証券714,789831,826926,106886,100862,421947,067982,9811,466,1392,765,2282,966,9924,164,434
長期貸付金18,46015,82011,2005,92064015,83014,99014,15015,1621,852-
長期前払費用2,7352,0261,1481,5461,19370,351129,487123,367111,57099,478120,575
退職給付に係る資産154,087166,848165,489199,190243,312323,116350,613318,861396,251349,514404,587
保険積立金--------373,078386,841400,603
繰延税金資産----224,002170,681204,967200,311-2,4384,324
その他427,404428,403428,584457,987488,366520,624531,409565,387181,907185,222188,241
貸倒引当金-1,689-1,986-1,785-6,786-1,781-1,766-605-67-1,324-4,696-5,736
繰延税金資産95,687102,92881,758144,871-------
投資その他の資産合計1,411,4731,545,8671,612,5011,688,8291,818,1552,045,9052,213,8452,688,1483,841,8733,987,6445,277,031
固定資産合計5,222,0025,304,3795,574,5565,974,0807,470,7547,866,3528,637,4329,180,28810,161,91110,806,60812,317,931
資産合計14,674,44715,148,72316,076,61516,814,23617,408,81718,988,26120,252,28221,247,18123,037,21624,590,02126,743,855
負債の部
流動負債
支払手形及び買掛金2,153,7741,942,0621,956,7061,907,4441,822,4122,385,3942,488,6422,559,6412,692,8692,748,6212,662,803
リース債務353,181422,075407,788439,603493,932605,583689,112599,552465,755544,444668,537
未払費用--------371,100305,882338,990
未払法人税等191,431206,434225,236221,763200,213324,494295,350311,887363,584328,699355,621
賞与引当金116,900122,900107,000111,400115,836154,700176,600178,200224,700214,948202,948
その他524,629386,961567,862541,602521,696657,686578,108730,021305,561208,610317,495
設備関係支払手形7,4089,892---------
流動負債合計3,347,3253,090,3253,264,5943,221,8133,154,0904,127,8594,227,8134,379,3024,423,5724,351,2064,546,395
固定負債
リース債務372,072361,299314,155405,279439,768550,367605,863401,360368,686548,661614,421
役員退職慰労引当金456,060470,460475,170461,610737,580757,770802,500846,000759,450824,010914,040
長期預り保証金----5,2035,1455,1455,1455,1455,1455,145
繰延税金負債----11,5387,82935,9936,02177,602109,390309,375
その他19,26019,50146,36275,12227,49677,97065,14817,88929,82835,66828,540
繰延税金負債10,04514,56119,9496,673-------
固定負債合計857,438865,823855,637948,6861,221,5861,399,0811,514,6501,276,4161,240,7121,522,8741,871,523
負債合計4,204,7633,956,1494,120,2314,170,4994,375,6775,526,9405,742,4645,655,7185,664,2845,874,0816,417,919
純資産の部
株主資本
資本金436,180436,180436,180436,180436,180436,180436,180436,180436,180436,180436,180
資本剰余金513,708513,708513,708513,708513,708528,801553,518559,412563,587569,866576,088
利益剰余金9,717,04310,382,60911,100,54911,494,21512,048,41812,879,26013,831,98014,899,00616,094,99317,339,83318,462,749
自己株式-511,197-511,990-513,025-201,450-359,474-933,142-873,024-859,505-850,111-838,246-830,573
株主資本合計10,155,73310,820,50711,537,41212,242,65312,638,83112,911,09913,948,65515,035,09416,244,64917,507,63318,644,444
その他の包括利益累計額
その他有価証券評価差額金109,699173,417221,684181,268148,755263,226272,069308,173798,391899,8461,310,520
退職給付に係る調整累計額24,88314,2705,61024,74946,50678,89772,76822,82454,90122,11350,500
その他の包括利益累計額合計134,583187,687227,294206,017195,261342,124344,837330,997853,293921,9591,361,021
非支配株主持分179,366184,379191,677195,066199,047208,097216,326225,370274,989286,346320,469
純資産合計10,469,68411,192,57411,956,38312,643,73713,033,14013,461,32014,509,81815,591,46217,372,93218,715,93920,325,936
負債純資産合計14,674,44715,148,72316,076,61516,814,23617,408,81718,988,26120,252,28221,247,18123,037,21624,590,02126,743,855