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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

2016-01千円
2017-01千円
2018-01千円
2019-01千円
2020-01千円
2021-01千円
2022-01千円
2023-01千円
2024-01千円
2025-01千円
2026-01千円
資産の部
流動資産
現金及び預金1,494,0831,548,7361,524,8371,551,0591,395,4751,418,0971,304,9251,313,2191,823,4981,441,1101,154,565
売掛金538,391487,271----438,937370,913371,379212,187180,266
商品408,904428,720285,877283,231408,162401,460397,436664,341277,461263,024321,109
原材料1,4036271006451,6691,2986,0735287691,66119,267
前渡金8316,779-41,33114526,854160,355265,1323,253277-
前払費用4,9624,4296,1245,6296,2418,6966,2466,76210,4009,4425,781
未収消費税等---3,168--1,12234,342-17,45515,405
その他2,0356901,5921,9491,0488,86869,6516,6892,48227,073793
貸倒引当金-1,064-956-857-684-635-1,693-1,373-1,356-1,375-3,429-328
受取手形21,72116,230----38,55725,401---
受取手形及び売掛金--425,047360,899336,478477,329-----
繰延税金資産43,63933,82217,87720,036-------
為替予約-----------
流動資産合計2,514,9042,526,3482,260,5972,267,2632,148,5832,340,9102,421,9302,685,9712,487,8661,968,8001,696,859
固定資産
有形固定資産
建物39,19832,9702,2902,2902,2902,2902,2902,2902,2902,2902,215
減価償却累計額-24,965-25,916-1,545-1,731-1,871-1,976-2,054-2,113-2,157-2,191-2,215
建物(純額)14,2337,054745559419314236177133990
工具、器具及び備品603,406658,683693,409739,582747,059754,779774,813835,836788,132575,646577,794
減価償却累計額-553,065-619,058-669,729-708,682-711,785-739,969-737,208-782,974-773,548-562,574-577,794
工具、器具及び備品(純額)50,34139,62523,67930,90035,27414,81137,60552,86214,58413,0720
建設仮勘定22,02016,67814,34213,65432,81433,53067,2279,2608,66439,8520
車両運搬具2,2722,2722,2722,2722,2722,272-----
減価償却累計額-2,272-2,272-2,272-2,272-2,272-2,272-----
車両運搬具(純額)000000-----
土地6,9841,441---------
有形固定資産合計93,57864,79838,76645,11368,50748,655105,06862,29923,38053,0230
無形固定資産
電話加入権6986986986986986986986986986980
ソフトウエア1,2721,16472428588736,60532,11625,04216,8897,8070
ソフトウエア仮勘定----18,732----27,5000
無形固定資産合計1,9701,8621,42298320,31737,30432,81525,74117,58736,0050
投資その他の資産
投資有価証券2828282828282828282833,148
関係会社株式38,82892,31957,79874,646100,948145,766125,705129,776140,143161,881-
敷金及び保証金26,28226,06225,93525,80925,90627,20927,03927,72027,59327,24427,117
保険積立金52,61552,61552,61552,61552,61552,61552,61552,61552,61552,61552,615
繰延税金資産-----21,34619,94829,39318,368--
繰延税金資産----23,859------
投資その他の資産合計117,753171,023136,376153,098203,356246,964225,335239,532238,747241,768112,880
固定資産合計213,301237,683176,565199,194292,180332,923363,218327,572279,714330,796112,881
資産合計2,728,2042,764,0312,437,1622,466,4572,440,7622,673,8332,785,1473,013,5432,767,5802,299,5961,809,739
負債の部
流動負債
買掛金150,67077,787----100,09470,60136,87422,59413,465
未払金27,01585,74516,73919,30118,70919,96232,21231,22232,08852,70047,041
未払費用71,02577,40459,57058,37181,30581,90986,572126,61893,54835,76131,342
未払法人税等163,321123,175114,984120,50279,221125,210154,316103,519120,0083,2377,212
前受金3,322131,19448,91625,08119,20013,41696,172330,44116,5505,76710,765
その他3-3,8584,4714,6373,8734,43622,58017,60012,76310,907
未払消費税等15,62229,5053,654-4,92640,913--55,978--
支払手形81,839109,377---------
支払手形及び買掛金--115,057145,847186,579144,310-----
預り金2,8243,129---------
為替予約51,970----------
繰延税金負債-----------
流動負債合計567,612637,316362,777373,574394,576429,594473,802684,981372,647132,822120,732
固定負債
繰延税金負債---------38,7199,220
繰延税金負債4,4293,4109,93515,055-------
長期未払金50,000----------
固定負債合計54,4293,4109,93515,055-----38,7199,220
負債合計622,041640,726372,712388,629394,576429,594473,802684,981372,647171,542129,953
純資産の部
株主資本
資本金238,800238,800238,800238,800238,800238,800238,800238,800238,800238,800238,800
資本剰余金
資本準備金162,700162,700----162,700162,700162,700162,700162,700
その他資本剰余金55----55555
資本剰余金合計162,705162,705----162,705162,705162,705162,705162,705
利益剰余金
利益準備金59,70059,700----59,70059,70059,70059,70059,700
その他利益剰余金
圧縮積立金---------16,14412,781
別途積立金1,000,0001,000,000----1,000,0001,000,0001,000,0001,000,0001,000,000
繰越利益剰余金694,170669,455----804,430818,917878,095579,991522,276
利益剰余金合計1,753,8701,729,155----1,864,1301,878,6171,937,7951,655,8341,594,757
自己株式-33,860-34,158-34,231-34,233-34,267-34,267-34,267-34,362-34,362-34,362-337,954
資本剰余金--162,705162,705162,705162,705-----
利益剰余金--1,663,3521,664,2711,615,4521,780,856-----
株主資本合計2,121,5152,096,5032,030,6252,031,5431,982,6902,148,0942,231,3692,245,7602,304,9392,022,9781,658,308
評価・換算差額等
その他有価証券評価差額金19,43726,80232,86344,55362,80193,89679,97782,80289,994105,07621,478
為替換算調整勘定--9611,7326952,249-----
繰延ヘッジ損益-34,789----------
評価・換算差額等合計-15,35226,80233,82446,28563,49696,14479,97782,80289,994105,07621,478
純資産合計2,106,1632,123,3052,064,4492,077,8282,046,1862,244,2392,311,3462,328,5622,394,9332,128,0541,679,787
負債純資産合計2,728,2042,764,0312,437,1622,466,4572,440,7622,673,8332,785,1473,013,5432,767,5802,299,5961,809,739