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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

2016-03百万円
2017-03百万円
2018-03百万円
2019-03百万円
2020-03百万円
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84,07349,52781,47691,10397,466112,241138,790162,351187,611174,712144,845
割賦売掛金1,191,8151,387,0131,650,4532,012,0532,377,2202,562,2042,776,8983,138,4583,296,4083,341,9233,278,004
リース投資資産52,41772,700103,425122,795131,636139,990144,332132,915121,899110,269107,095
前払費用1,5781,8012,7764,3063,2364,0423,6704,4575,4956,6647,141
立替金40,20033,21724,71628,16435,16029,01949,86829,20728,95226,46656,832
未収入金10,9706,15113,62323,93724,81524,40413,29413,98230,87931,95434,553
その他3,3185,07210,26115,51717,95325,52428,21232,34537,39341,73540,091
貸倒引当金-11,366-17,038-23,539-32,426-24,987-29,116-29,024-28,410-29,882-32,347-31,522
信用保証割賦売掛金1,986,4592,091,1512,253,8082,470,3501,488,0081,527,3001,614,323----
繰延税金資産2,7054,5165,480--------
流動資産合計3,362,1723,634,1144,122,4824,735,8014,150,5124,395,6134,740,3663,485,3063,678,7583,701,3793,637,041
固定資産
有形固定資産
建物及び構築物8,4878,5169,0889,1188,6638,8819,1629,4979,7489,95310,157
減価償却累計額-5,166-5,364-5,737-5,921-5,660-5,815-6,004-6,335-6,667-6,983-7,232
建物及び構築物(純額)3,3213,1523,3503,1973,0023,0663,1583,1613,0812,9692,924
土地14,98614,98614,98614,98614,98614,98614,98614,82814,82814,82814,828
その他4,6335,0708,16810,34110,58811,59011,38911,78612,48713,04313,803
減価償却累計額-3,273-3,591-4,616-5,309-5,207-5,568-6,283-6,955-7,380-7,886-8,425
その他(純額)1,3591,4783,5525,0315,3816,0215,1064,8305,1075,1575,378
有形固定資産合計19,66619,61721,88823,21523,37024,07323,25022,82123,01722,95523,132
無形固定資産
ソフトウエア25,42525,38023,54222,69325,58326,52325,87226,61925,59824,96325,683
その他1615151515141414141817
のれん--1,1047631,551785563340114--
無形固定資産合計25,44125,39624,66323,47227,15027,32326,45026,97425,72624,98125,701
投資その他の資産
投資有価証券21,85722,77917,37916,48413,71518,21819,77120,61729,61433,54240,804
固定化営業債権1,8371,6161,5171,5911,3391,254833877230184374
長期前払費用2702993424593,1803,6464,0134,2414,2104,1104,641
繰延税金資産----4,7634,4593,1892,3981,7412,2211,547
差入保証金1,8261,9461,7371,7221,5461,4961,4751,4201,3911,3151,338
退職給付に係る資産4,0533,9974,6714,9634,0627,0087,5077,1259,54412,46114,106
その他1,7531,8582,3143,5342,8282,6552,6904,5963,4883,7543,857
貸倒引当金-1,242-1,119-1,058-1,043-879-795-668-647-130-120-125
繰延税金資産3741533,079-------
投資その他の資産合計30,35931,45327,05730,79430,55737,94438,81340,62950,09257,46966,544
固定資産合計75,46876,46873,60977,48281,07889,34188,51490,42598,836105,406115,378
資産合計3,437,6413,710,5824,196,0924,813,2844,231,5904,484,9544,828,8813,575,7323,777,5953,806,7863,752,420
負債の部
流動負債
支払手形及び買掛金45,92361,63993,569128,632152,225171,981200,092254,341268,581221,268197,380
短期借入金215,951246,916286,958295,796320,451322,802312,515322,984338,064341,508337,990
1年内償還予定の社債-20,00015,00012,30830,00020,00047,37061,07146,71874,18742,144
1年内返済予定の長期借入金143,42673,515106,972224,076110,293164,904177,952169,274221,089219,745250,202
1年内返済予定の債権流動化借入金----104,278138,650183,078238,106272,105314,782307,275
コマーシャル・ペーパー267,000321,000364,000416,000422,000424,500423,500450,300413,500402,500372,800
未払金3,0573,8723,7293,5714,0883,8573,7976,9714,7733,9413,605
未払費用1,0091,0981,6691,9322,0551,8952,1672,6083,1123,1724,303
未払法人税等2,0814,4522,3252,5114,0165,0854,5125,6816,3045,4624,545
預り金55,42660,37166,40470,32270,90971,09173,88073,88377,55879,43979,821
前受収益2152083945545124691,2801,3031,4051,3591,474
賞与引当金2,5672,5712,5442,7572,6752,8972,8182,8172,9263,0213,144
ポイント引当金4,1024,1393,7533,4433,2602,7942,6552,7642,7312,7192,732
債務保証損失引当金----7068337951,0911,0891,1101,209
割賦利益繰延104,253111,767134,296162,097182,760194,175204,448229,876243,464249,785249,594
その他7,80510,53614,97718,75422,14227,10329,37829,05827,42925,54123,178
信用保証買掛金1,986,4592,091,1512,253,8082,470,3501,488,0081,527,3001,614,323----
流動負債合計2,839,2803,013,2413,350,4043,813,1102,920,3853,080,3423,284,5681,852,1351,930,8551,949,5451,881,402
固定負債
社債105,000104,696127,267164,789202,318216,892230,314226,885213,404164,592146,259
長期借入金353,909445,826558,320674,831746,921718,327708,064766,936812,574807,835775,409
債権流動化借入金----194,284289,601409,036515,679575,574621,107640,001
繰延税金負債-------12,9433,9253,856
利息返還損失引当金1,2551,2461,031875633613642695683616483
退職給付に係る負債--588757202119289263
長期預り保証金2,8172,6302,1502,0862,2032,2861,9611,6591,3211,4441,524
その他1742726987611,8922,7142,0491,1131,7711,8171,043
役員退職慰労引当金111232344----
繰延税金負債1,9092,3693,033--------
固定負債合計465,077557,053692,563843,4351,148,3141,230,4591,352,0951,512,9901,608,2991,601,4311,568,641
負債合計3,304,3583,570,2954,042,9684,656,5454,068,7004,310,8024,636,6643,365,1263,539,1553,550,9763,450,043
純資産の部
株主資本
資本金16,13816,13816,13816,13816,13816,13816,13816,13816,13816,13835,680
資本剰余金30,50630,51530,53330,54330,53330,51530,51330,53430,64130,64250,201
利益剰余金84,45190,67695,858102,047109,843118,531131,649147,062164,068175,396182,759
自己株式-1,407-1,214-1,014-1,643-1,307-1,096-982-911-828-727-648
株主資本合計129,687136,115141,515147,086155,207164,088177,319192,823210,019221,450267,993
その他の包括利益累計額
その他有価証券評価差額金4,3025,3905,9735,2953,8987,3478,8809,98216,97819,80022,225
繰延ヘッジ損益-25-3095046-285-984-420-188-15230-1
為替換算調整勘定159-7-92-1,115-853-1,794-2381,1471,9544,0663,577
退職給付に係る調整累計額-1,013-1,118-553-477-1,1621,2421,0742751,6232,9252,854
その他の包括利益累計額合計3,4223,9555,3783,7481,5965,8119,29611,21720,40326,82328,656
新株予約権17221626627526324422621117912693
非支配株主持分--5,9635,6275,8224,0075,3756,3537,8377,4095,633
純資産合計133,282140,287153,123156,738162,889174,152192,217210,605238,440255,809302,376
負債純資産合計3,437,6413,710,5824,196,0924,813,2844,231,5904,484,9544,828,8813,575,7323,777,5953,806,7863,752,420