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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1,933,3642,279,5112,855,1992,538,4082,704,1835,616,7393,632,5696,345,1195,469,8505,173,2968,106,992
営業貸付金----------112,014,265
その他266,631270,934598,516409,631371,490382,4701,126,8801,503,343714,166705,3351,569,741
貸倒引当金-73,500-73,200-75,500-74,000-79,800-79,700-86,300-98,000-105,500-113,400-124,100
営業貸付金66,666,28966,365,29568,201,08967,837,04272,267,41972,205,08378,224,47388,641,88395,378,759102,583,893-
販売用不動産27,1975,36733,7208,13840,862-24,58638,31646,18970,043-
前払費用39,29827,11222,35222,69422,56933,72844,37046,95873,27181,297-
繰延税金資産97,88889,83675,058--------
流動資産合計68,957,16968,964,85871,710,43670,741,91375,326,72478,158,32082,966,58196,477,622101,576,738108,500,466121,566,899
固定資産
有形固定資産
建物及び構築物(純額)----------50,041
車両運搬具(純額)13,5748,2765,3398,7524,89313,8978,9004,81421,71831,64823,932
工具、器具及び備品(純額)17,20423,42518,27219,13421,14719,24518,06826,44416,53416,7089,732
賃貸不動産(純額)-------3,852,0433,870,0003,820,9546,614,242
建物(純額)71,45165,28360,54868,81972,16565,95566,70758,77053,89365,190-
構築物(純額)66595246413733292623-
土地22,38513,0901,4401,4401,4401,4401,4401,4401,4401,440-
有形固定資産合計124,682110,13485,65398,19399,688100,57695,1493,943,5433,963,6143,935,9656,697,947
無形固定資産
借地権5,0005,0005,0005,0005,0005,0005,0005,0005,0005,0005,000
ソフトウエア10,93555,66043,90330,11717,1885,45711,57614,62424,78517,58385,485
その他7,8767,8767,8767,8767,8767,8767,8767,8767,8767,8767,876
ソフトウエア仮勘定---------102,795-
無形固定資産合計23,81268,53756,78042,99330,06518,33424,45327,50137,662133,25598,362
投資その他の資産
繰延税金資産----425,566448,445447,270474,399452,910524,918521,798
その他209,649185,214145,537135,570118,66791,084174,282259,6391,504,0071,366,0051,295,775
関係会社株式10,00010,00010,00010,00010,00010,00010,00010,0002,011,8773,811,397-
破産更生債権等-12,88912,85436,787-------
貸倒引当金--12,800-12,800-14,800-------
繰延税金資産336,599342,896344,029425,202-------
投資その他の資産合計556,248538,200499,621592,760554,234549,529631,552744,0393,968,7955,702,3211,817,574
固定資産合計704,744716,872642,056733,948683,987668,440751,1554,715,0847,970,0729,771,5428,613,884
資産合計69,661,91369,681,73072,352,49271,475,86276,010,71278,826,76183,717,737101,192,706109,546,811118,272,009130,180,783
負債の部
流動負債
1年内返済予定の長期借入金14,935,80012,903,75912,375,28612,322,79413,151,85612,783,29912,774,92814,416,36417,163,46420,358,23023,747,167
未払法人税等917,221770,712782,500804,133712,062868,527630,748903,8181,037,6531,066,7731,228,833
賞与引当金26,90928,24828,65227,03327,90723,90823,72727,46527,43126,61026,500
その他1,13833166231,1064204491,5927,0272,205228,227
未払金43,61733,39550,37665,91360,19657,48474,84985,946114,690102,685-
未払費用47,46045,56747,71345,52438,06737,85635,61540,93551,06157,897-
預り金20,59522,68322,43516,87612,22412,95915,84717,45623,65546,271-
前受収益18,67912,3828,9319,8139,6946,6925,39621,20822,68623,546-
短期借入金----1,000,000------
利息返還損失引当金5,400----------
流動負債合計16,016,82113,816,78313,316,06213,292,11115,013,11413,791,14913,561,56115,514,78618,447,66821,684,21925,230,727
固定負債
長期借入金24,209,24524,167,50025,070,58621,927,50222,603,14924,399,08227,530,05640,664,19243,384,06946,027,22550,694,364
退職給付に係る負債----------128,800
役員退職慰労引当金970,150973,750978,938984,188989,4381,032,2001,052,8381,071,1001,092,2061,116,7131,132,363
債務保証損失引当金----------56,800
その他9,99412,01415,88920,98921,48926,08943,300203,946176,983270,136148,721
退職給付引当金60,20070,20074,30085,40090,70098,300104,600107,100118,700119,700-
固定負債合計25,249,58925,223,46426,139,71323,018,07923,704,77625,555,67128,730,79442,046,33844,771,95847,533,77452,161,048
負債合計41,266,41139,040,24739,455,77636,310,19138,717,89139,346,82042,292,35557,561,12463,219,62669,217,99477,391,775
純資産の部
株主資本
資本金2,307,8482,307,8482,307,8482,307,8482,307,8482,307,8482,307,8482,307,8482,307,8482,307,8482,307,848
利益剰余金----------50,050,715
自己株式-1,250-1,250-1,250-1,250-1,250-1,250-1,250-1,250-1,250-1,250-1,250
利益剰余金
利益準備金319,502368,966418,430467,894517,358566,822576,962576,962576,962576,962-
その他利益剰余金
別途積立金23,000,00025,000,00027,000,00029,500,00031,700,00033,800,00035,800,00037,800,00040,000,00042,700,000-
繰越利益剰余金2,769,4012,965,9183,171,6862,891,1772,768,8642,806,5202,741,8212,948,0223,443,6243,470,455-
利益剰余金合計26,088,90428,334,88430,590,11732,859,07234,986,22237,173,34339,118,78341,324,98444,020,58646,747,417-
株主資本合計28,395,50230,641,48232,896,71535,165,67037,292,82039,479,94141,425,38143,631,58246,327,18449,054,01552,357,313
その他の包括利益累計額
為替換算調整勘定----------431,694
その他の包括利益累計額合計----------431,694
純資産合計28,395,50230,641,48232,896,71535,165,67037,292,82039,479,94141,425,38143,631,58246,327,18449,054,01552,789,007
負債純資産合計69,661,91369,681,73072,352,49271,475,86276,010,71278,826,76183,717,737101,192,706109,546,811118,272,009130,180,783