NECキャピタルソリューション

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30,25443,95035,03621,04143,33939,03237,71135,48253,844110,29868,886
割賦債権17,09015,89118,70620,23429,54531,12835,34138,82836,63931,60228,512
リース債権及びリース投資資産413,200404,535422,720431,727483,505529,971529,610517,945489,455512,090590,066
賃貸料等未収入金17,63319,31520,01020,20122,60724,67120,68022,03423,81425,56030,800
営業貸付金189,265212,962250,715243,682245,934234,141217,254231,611230,267220,537241,758
買取債権17,13520,72518,47112,87310,6407,6138,01012,4199,14010,70933,134
営業投資有価証券6,39911,24013,33218,39214,09723,46521,18322,87525,85126,55631,438
販売用不動産39,69828,2066,4533,74016,49623,23025,22223,82733,96951,00547,097
仕掛販売用不動産----500---3,2854,2115,640
有価証券--1,710------546546
前払費用6185826471,0861,6861,9512,5762,6593,2762,2793,372
未収還付法人税等17415313158054217637075325327310
その他12,44212,01112,24412,01916,81516,98711,1819,69328,17314,86820,155
貸倒引当金-7,601-7,394-5,182-4,950-6,067-8,008-10,159-9,839-8,384-8,235-9,666
繰延税金資産4,1404,0913,587--------
受取手形-----------
流動資産合計740,452766,272798,585780,629879,642924,361898,983908,292929,5871,002,3031,091,753
固定資産
有形固定資産
賃貸資産------55,25355,81984,67199,461104,196
その他の営業資産------5,5027,1997,96910,6469,625
社用資産
建物(純額)313295280248255296240203172160152
器具備品(純額)-------104100192285
建設仮勘定---48310142--6426
その他(純額)-----9770553916182
器具備品(純額)266202137151139190148----
機械及び装置(純額)3,1173,6444,1093,9594,7935,148-----
社用資産合計3,6974,1414,5284,8425,1995,747460363312433647
賃貸資産
賃貸資産46,09945,59350,28254,70355,67360,951-----
賃貸資産合計46,09945,59350,28254,70355,67360,951-----
有形固定資産合計49,79749,73554,81059,54660,87366,69961,21663,38192,953110,542114,469
無形固定資産
賃貸資産------1,3021,4371,084768647
その他の無形固定資産
ソフトウエア3,3412,2291,5911,6171,8641,6171,3971,0078851,3351,211
ソフトウエア仮勘定2301811134461172541,1584,0936,0177,4647,766
のれん5,4544,3773,4502,3641,2781,7261,6251,5591,5211,3044,634
その他23222255931983841,0751,6402,0932,312
その他の無形固定資産合計9,0496,8115,1774,4843,3533,7964,5657,73610,06412,19715,925
賃貸資産
賃貸資産9391,0781,0921,4261,3111,216-----
賃貸資産合計9391,0781,0921,4261,3111,216-----
無形固定資産合計9,9887,8906,2695,9104,6645,0135,8689,17311,14912,96616,573
投資その他の資産
投資有価証券19,43527,12538,05439,24742,48046,80648,92161,73771,11385,09095,083
破産更生債権等6,8796,5284,9793,3382,8783,8251,8562,0145,1544,6864,596
長期前払費用6078807621,1431,5411,7801,6631,8262,3022,6392,744
退職給付に係る資産-207252258231332365339449374628
繰延税金資産----5,9619,91211,4809,0456,9235,61710,426
その他2,4682,5343,5351,7401,7621,8872,0712,0752,6635,0699,850
貸倒引当金-2,384-2,086-2,121-2,220-2,526-2,964-1,809-2,011-4,934-4,491-4,374
繰延税金資産1,6981,3921,3656,088-------
投資その他の資産合計28,70436,58446,82849,59652,33061,57964,54975,02783,67298,985118,956
固定資産合計88,49094,209107,909115,054117,868133,292131,633147,583187,775222,494249,998
資産合計828,943860,482906,495895,683997,5101,057,6531,030,6171,055,8751,117,3631,224,7971,341,752
負債の部
流動負債
支払手形1,1234173691,43968256385514079166-
買掛金12,77014,27317,21018,91215,90721,00812,12115,65412,00913,11322,054
短期借入金24,87349,34341,67640,49237,06941,46024,58127,09040,36688,52060,577
1年内返済予定の長期借入金154,180111,602117,714143,667105,376101,896171,662149,486110,145151,367150,147
1年内償還予定の社債10,000-30,00020,000-20,00030,00020,00015,00020,00030,600
コマーシャル・ペーパー107,000152,000183,000168,000256,000250,000216,000243,000272,000266,000270,000
債権流動化に伴う支払債務9,2196,3995,9204,0793,3532,6942,3841,286483420199
未払金1,4437838829601,0136391,2381,4531,2812,0151,038
未払費用4,0264,3694,6454,9305,1055,6705,8346,8387,3207,7078,784
未払法人税等2,8651971,3708129554,7242672381,0471,4439,420
賃貸料等前受金9,5469,5269,2489,0009,78011,72226,31023,48620,21513,87230,329
預り金3,7383,6131,9431,4121,8103,9712,2032,0432,4413,5384,506
前受収益3765302842291,282197203169278356738
賞与引当金6176717768326976189488479339261,482
役員賞与引当金-------33144455
債務保証損失引当金----------61
その他5725911,3641,1194,5293,0263,3154,6242,4832,2573,371
流動負債合計342,353354,321416,407415,890443,565468,192497,925496,394486,101571,751593,369
固定負債
社債50,00070,00060,00070,00090,00080,00080,15080,15085,75093,600102,500
長期借入金316,739305,672296,683286,421344,143380,085313,665335,636392,982402,613477,045
債権流動化に伴う長期支払債務7,18410,72912,7588,6795,3254,2083,9852,6992,2151,7941,594
退職給付に係る負債1,9752,2752,0902,1392,0942,0492,0762,0341,9141,8851,618
その他9,6628,6627,5656,5537,1349,23211,07310,14511,60910,76712,018
固定負債合計385,562397,339379,097373,793448,697475,576410,951430,665494,471510,661594,777
負債合計727,916751,661795,505789,684892,262943,768908,876927,060980,5731,082,4121,188,147
純資産の部
株主資本
資本金3,7763,7763,7763,7763,7763,7763,7763,7763,7833,7943,803
資本剰余金4,6484,6484,6484,6454,6454,6454,6454,6464,6554,6654,675
利益剰余金67,27769,84774,90680,15683,98186,81192,41497,131101,192104,788110,704
自己株式000000-9-9-9-10-10
株主資本合計75,70178,27183,33088,57792,40395,232100,827105,545109,620113,237119,172
その他の包括利益累計額
その他有価証券評価差額金8059179125374655171,3831,6271,6001,6852,352
繰延ヘッジ損益-597-219-11-298-143-263101914132,1793,927
為替換算調整勘定19719915715454-519152,2624,0443,9814,562
退職給付に係る調整累計額-103-17175-4-54133-13-3662-80302
その他の包括利益累計額合計3028801,2343883213372,3863,9446,1227,76411,144
非支配株主持分25,02329,66926,42517,03212,52318,31518,52619,32521,04721,38223,287
純資産合計101,026108,821110,989105,999105,248113,885121,740128,815136,790142,385153,604
負債純資産合計828,943860,482906,495895,683997,5101,057,6531,030,6171,055,8751,117,3631,224,7971,341,752