プラッツ

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

2016-06千円
2017-06千円
2018-06千円
2019-06千円
2020-06千円
2021-06千円
2022-06千円
2023-06千円
2024-06千円
2025-06千円
資産の部
流動資産
現金及び預金1,030,957822,254829,7231,103,4951,509,4101,544,2771,455,7591,998,3842,055,9321,725,840
受取手形---------466
電子記録債権---------114,574
売掛金---------1,091,732
商品及び製品632,049923,549507,322564,150406,157398,606616,192506,340537,008665,794
仕掛品--------35,93523,598
原材料及び貯蔵品28,91055,21758,552281,30575---13,5039,411
未着品46,52059,99243,65410,325310,214314,130344,433237,118334,241319,326
その他203,789237,990203,81658,23451,612631,493632,144261,680190,455171,874
受取手形及び売掛金592,268946,0471,090,2751,214,635861,8651,044,197949,2091,074,2491,173,368-
為替予約5,827---20,75947,575----
繰延税金資産44,70419,1669,425-------
流動資産合計2,585,0283,064,2172,742,7713,232,1473,160,0953,980,2813,997,7394,077,7724,340,4454,122,619
固定資産
有形固定資産
建物及び構築物(純額)381,694356,225333,605334,337297,377286,396308,615289,187303,386337,542
機械、運搬具及び工具器具備品(純額)173,176220,943234,658226,74216,20319,68316,25210,69051,26191,610
土地--------37219,526
リース資産(純額)22-10,61416,23718,70755,655106,314114,84386,804112,079
建設仮勘定--2,5442,282--1527325,9041,063
有形固定資産合計554,893577,168581,421579,600332,288361,735431,335415,454447,729561,823
無形固定資産
のれん--------135,850108,680
顧客関連資産--------182,685159,849
その他--------6,5574,687
無形固定資産合計--------325,093273,217
投資その他の資産
投資有価証券359,004568,401782,889748,526769,832846,8661,003,245935,9291,057,9461,165,989
繰延税金資産----34,623187,402204,481111,86911,51135,734
その他69,23877,13277,95785,43380,184103,95259,55161,75292,09090,030
長期貸付金----727,245713,241758,574413,221--
繰延税金資産20,86523,82826,04833,011------
投資その他の資産合計449,108669,361886,895866,9711,611,8851,851,4632,025,8521,522,7731,161,5481,291,753
無形固定資産40,04948,37541,04225,97728,93619,98213,5049,683--
固定資産合計1,044,0521,294,9051,509,3591,472,5491,973,1102,233,1812,470,6911,947,9111,934,3712,126,794
繰延資産4,0503,3042,2251,128156-----
資産合計3,633,1314,362,4274,254,3574,705,8255,133,3626,213,4626,468,4316,025,6846,274,8166,249,413
負債の部
流動負債
買掛金185,945431,408271,483205,36494,05780,37552,72278,139169,733154,864
短期借入金750,000850,000950,0001,450,000950,000950,0001,250,000800,000800,000800,000
1年内返済予定の長期借入金206,520206,520206,52098,810126,084284,244314,244434,328429,178435,868
リース債務1,3589736,3409,2216,41315,30033,82039,74933,51542,143
未払法人税等1,26865,55753,61170,892161,436143,7035,9343,52951,14051,649
為替予約---1,696-----21,286
その他84,405164,979162,647164,433187,614252,099182,140142,078222,380270,840
流動負債合計1,229,4981,719,4391,650,6022,000,4191,525,6051,725,7211,838,8601,497,8241,705,9471,776,652
固定負債
長期借入金503,450296,93098,810-477,175867,891686,147896,863776,416771,808
リース債務3,3882,4147,6099,84014,36346,79481,55883,02059,64578,066
役員退職慰労引当金139,206133,999145,519160,481176,131191,781207,897222,016309,473284,330
繰延税金負債--------26,03523,460
退職給付に係る負債59,87867,39579,51684,82389,05997,352106,696117,750140,078143,911
資産除去債務16,24216,31916,39720,57218,13319,31434,23034,34534,78834,909
株式給付引当金-----14,67613,80225,94724,46637,380
その他500500500----2,9883,0693,171
訴訟損失引当金-----506,142525,203---
固定負債合計722,665517,559348,352275,718774,8621,743,9531,655,5361,382,9321,373,9721,377,036
負債合計1,952,1632,236,9981,998,9542,276,1372,300,4673,469,6753,494,3972,880,7563,079,9193,153,689
純資産の部
株主資本
資本金582,052582,052582,052582,052582,052582,052582,052582,052582,052582,052
資本剰余金308,447308,447308,447308,447308,447306,053302,730308,447308,447308,447
利益剰余金934,8811,239,3451,390,9351,608,4682,026,8792,184,4232,329,6932,480,0572,486,6432,620,561
自己株式--313-497-531-723-299,677-288,098-276,223-264,644-377,815
株主資本合計1,825,3802,129,5312,280,9382,498,4362,916,6562,772,8512,926,3763,094,3333,112,4983,133,245
その他の包括利益累計額
その他有価証券評価差額金892,0542,4547637581,431-1,617-7593,147-343
繰延ヘッジ損益----1,18014,43533,084----14,802
為替換算調整勘定-144,502-6,156-27,990-68,331-98,955-63,57949,27451,35479,250-22,373
その他の包括利益累計額合計-144,413-4,101-25,535-68,747-83,761-29,06347,65750,59582,398-37,520
純資産合計1,680,9672,125,4292,255,4022,429,6882,832,8952,743,7872,974,0333,144,9283,194,8963,095,724
負債純資産合計3,633,1314,362,4274,254,3574,705,8255,133,3626,213,4626,468,4316,025,6846,274,8166,249,413