シー・エス・ランバー

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

2017-11千円
2018-11千円
2019-05千円
2020-05千円
2021-05千円
2022-05千円
2023-05千円
2024-05千円
2025-05千円
資産の部
流動資産
現金及び預金1,733,4661,456,5431,748,7542,312,5132,428,9304,921,8665,425,3845,156,6185,045,070
受取手形、売掛金及び契約資産-----4,210,4923,488,6173,063,6203,275,594
商品及び製品62,596103,90471,06394,740101,775125,145126,895127,36269,188
販売用不動産327,671244,690411,679364,416498,184797,260578,561529,125330,292
仕掛品279,435389,108347,245269,241344,733397,111351,840312,673261,513
原材料及び貯蔵品328,686294,300333,597338,629378,577619,850459,373518,848481,394
その他171,059104,262105,80976,58978,70888,660140,849103,378133,639
貸倒引当金-20,279-15,819-6,684-7,198-3,410-3,862-15,630-29,628-27,079
受取手形及び売掛金2,555,3713,051,6402,370,7392,599,9122,786,983----
繰延税金資産23,25119,907-------
流動資産合計5,461,2585,648,5375,382,2056,048,8446,614,48211,156,52510,555,8939,781,9999,569,614
固定資産
有形固定資産
建物及び構築物(純額)861,6991,014,6341,060,756981,796882,806784,122698,071618,816540,149
機械装置及び運搬具(純額)779,381727,003732,216681,257549,088321,974209,224121,890167,580
工具、器具及び備品(純額)20,83518,78212,38015,54410,8617,63014,09312,06612,033
土地1,403,7311,483,2091,459,3571,459,3571,458,5731,448,1451,448,1451,448,1451,441,033
建設仮勘定82,571107,17820,47411425,95747,21019,4874,60718,447
賃貸不動産(純額)2,051,6973,156,5194,159,4394,850,7435,888,3596,668,6588,735,60410,770,08414,248,501
有形固定資産合計5,199,9166,507,3277,444,6257,988,8158,815,6479,277,74111,124,62412,975,61016,427,744
無形固定資産
のれん-65,17061,74054,88048,02041,16034,30027,44020,580
ソフトウエア79,75169,17965,37458,28046,56532,25451,11531,077134,814
その他36,62636,46539,87939,00738,13437,26437,81542,82642,256
無形固定資産合計116,377170,815166,995152,167132,720110,680123,231101,344197,651
投資その他の資産
投資有価証券162,002154,828139,528127,242214,989197,772209,108307,329311,658
長期貸付金-8,8068,6332,7702,1301,5501,1102,2972,640
破産更生債権等11,86426,34577,65524,79217,67756,32415,04330,74214,955
繰延税金資産---141,630160,670182,407131,118143,001128,649
長期預金20,00020,00020,00020,000-20,000120,000120,000193,500
その他89,465148,346138,613143,753148,37485,00293,083100,881106,983
貸倒引当金-9,843-19,398-25,112-24,566-17,559-56,205-14,925-30,624-14,836
繰延税金資産26,70131,237101,442------
投資その他の資産合計300,191370,166460,760435,622526,281486,849554,538673,628743,549
固定資産合計5,616,4867,048,3098,072,3808,576,6059,474,6489,875,27011,802,39513,750,58317,368,945
資産合計11,077,74512,696,84713,454,58514,625,45016,089,13121,031,79622,358,28823,532,58226,938,559
負債の部
流動負債
支払手形及び買掛金1,806,5712,293,2551,934,3292,128,7422,174,0242,270,3671,695,3801,565,3651,928,908
電子記録債務763,089759,519743,767716,639874,3302,065,4661,786,0811,719,7771,717,648
短期借入金1,342,3001,311,3001,459,7781,113,0001,049,500600,850430,0002,818,2502,200,000
1年内償還予定の社債----100,000100,000200,000280,000230,000
1年内返済予定の長期借入金334,840513,701317,155701,012398,445862,210749,912471,781554,558
リース債務178,627183,801190,562206,675204,850173,758139,84873,09974,208
未払金553,967603,305365,537410,363380,866392,284394,768435,895468,432
未払費用95,065101,131229,036310,624320,267299,737280,462268,241302,871
未払法人税等110,165125,815192,010236,216346,2931,016,001360,406231,031202,869
その他204,426169,561200,565260,362246,190466,514266,369221,578257,896
災害損失引当金---18,2793,1143,114---
工事損失引当金---6,729-----
賞与引当金5,2195,4067,064------
流動負債合計5,394,2726,066,7975,639,8066,108,6486,097,8848,250,3056,303,2298,085,0217,937,394
固定負債
社債----350,000250,000500,000580,000350,000
長期借入金2,130,6152,908,1693,986,3944,178,1984,582,2394,949,0095,928,1643,983,5016,620,950
長期未払金169,314124,769102,78357,97523,5952,134--98,399
リース債務739,875624,097634,694577,593427,076266,564181,690119,164135,261
完成工事補償引当金-------53,69449,011
役員退職慰労引当金136,049143,127145,978144,568149,576156,006162,259169,877175,135
退職給付に係る負債127,654133,941135,481150,811168,247174,952173,750191,868198,615
資産除去債務--2,9014,7114,7074,7044,7014,6974,694
その他2,8002,6856,9666,96618,43917,36854,36657,11779,822
完成工事補償引当金47,26543,45351,69556,08370,54575,23459,520--
災害損失引当金---4,472-----
繰延税金負債9,7479,345-------
固定負債合計3,363,3223,989,5885,066,8965,181,3815,794,4285,895,9757,064,4525,159,9207,711,891
負債合計8,757,59510,056,38610,706,70311,290,03011,892,31214,146,28013,367,68113,244,94215,649,286
純資産の部
株主資本
資本金515,261520,640521,641522,892527,020532,650536,152536,152536,152
資本剰余金296,361306,084307,085308,336312,465318,094321,597321,597321,597
利益剰余金1,432,8741,733,2031,847,4722,445,9183,245,7585,934,3948,022,5899,310,27810,320,226
自己株式-10,667---64-113-489-645-937-937
株主資本合計2,233,8292,559,9292,676,1993,277,0824,085,1296,784,6498,879,69410,167,09011,177,038
その他の包括利益累計額
その他有価証券評価差額金86,40381,09072,96960,174117,460100,974107,080115,057111,132
為替換算調整勘定-82-557-1,287-1,837-8842,1953,8315,4911,101
繰延ヘッジ損益-----4,887-2,303---
その他の包括利益累計額合計86,32080,53271,68258,337111,688100,866110,911120,549112,234
純資産合計2,320,1502,640,4612,747,8823,335,4204,196,8186,885,5158,990,60610,287,63911,289,272
負債純資産合計11,077,74512,696,84713,454,58514,625,45016,089,13121,031,79622,358,28823,532,58226,938,559