山九

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21,80626,19528,81235,78234,76336,61942,74351,11850,71747,54246,141
受取手形、売掛金及び契約資産------182,029185,423197,922218,581209,427
有価証券1,5082,1262,1271,6631,3121,0658761,5481,4141,057995
未成作業支出金------1,4331,2731,1621,869795
その他の棚卸資産1,4421,5231,7681,7481,8962,0082,2522,2202,4752,5722,926
その他7,7307,3226,8367,3298,0888,0139,3879,2668,3008,9189,309
貸倒引当金-73-88-187-201-220-212-178-221-226-284-340
受取手形及び売掛金127,364135,506150,559155,204174,525187,890-----
未成作業支出金3,6013,6174,3333,2672,7151,018-----
繰延税金資産2,3993,2803,543--------
流動資産合計165,780179,484197,794204,793223,082236,403238,542250,629261,766280,256269,255
固定資産
有形固定資産
建物及び構築物(純額)60,95959,15459,55358,86557,63860,03264,42166,68067,91770,57974,022
機械装置及び運搬具(純額)15,24315,48014,81614,16814,14013,16112,62012,22312,17614,30114,046
土地59,35559,38059,80360,06460,83460,23158,86458,33757,85957,91658,386
リース資産(純額)7,3717,1126,8716,7476,9087,6267,1676,3126,5427,5278,329
建設仮勘定2,9045991,0598462,6054,4162,9604,7204,11811,83114,771
その他(純額)2,3922,9182,8933,03115,44314,58216,39818,62619,61922,19420,843
有形固定資産合計148,227144,645144,998143,723157,570160,050162,433166,901168,234184,350190,400
無形固定資産
のれん7,7756,1453,6462,4821,8451,294755204461,5927,635
その他6,0575,0464,5865,4836,5528,0707,4327,0756,8167,9497,760
無形固定資産合計13,83311,1928,2337,9668,3979,3658,1877,2806,8639,54115,395
投資その他の資産
投資有価証券19,19124,15927,26223,80418,38624,24525,01927,01436,57932,54143,676
退職給付に係る資産4,2955,1336,4296,7045,4509,17611,13110,56515,86821,41726,498
繰延税金資産----12,9779,4238,21710,3516,1816,6964,521
その他12,31612,65313,11412,2389,0558,9269,4219,3749,97510,77911,423
貸倒引当金-1,579-1,470-1,654-1,240-868-760-487-454-424-395-1,425
繰延税金資産9,1777,6505,85011,521-------
投資その他の資産合計43,40148,12551,00153,02945,00151,01153,30356,85068,18071,04084,695
固定資産合計205,463203,963204,233204,719210,969220,427223,924231,032243,279264,933290,490
資産合計371,243383,448402,028409,513434,052456,830462,467481,661505,045545,189559,746
負債の部
流動負債
支払手形及び買掛金70,98072,74276,79278,88977,31972,38574,55848,86446,49852,10549,752
短期借入金21,53114,45212,51611,0067,85711,79713,1938,55113,60018,82723,591
コマーシャル・ペーパー----------30,000
1年内償還予定の社債--12,000-10,000-10,000--10,000-
リース債務4,0233,7453,3473,0672,9033,0453,0042,7582,7243,0973,455
未払法人税等1,7287,7365,1099,2216,0956,6984,3719,5733,96910,3876,471
契約負債------1,3601,4531,6473,1702,798
賞与引当金4,6186,3336,6919,00210,2108,2807,55110,95110,32812,6658,196
役員賞与引当金220362374468500491388484505542365
工事損失引当金41310325834655911,637468260
完成工事補償引当金657363655895104684964135
その他18,67621,26121,04125,22227,35729,42226,19933,56226,37727,74125,736
未成作業受入金1,6887882,0311,4312,3631,764-----
繰延税金負債650--------
流動負債合計123,580127,504140,073138,634144,668133,986140,797116,861107,337139,070150,764
固定負債
社債32,00032,00020,00020,00010,00025,00015,00015,00025,00015,00015,000
長期借入金22,51916,05415,8158,98514,04510,2717,49325,67533,99637,40223,424
リース債務6,5545,5114,8534,6384,7195,3144,8554,1764,4665,1695,697
繰延税金負債----6245977037067119864,185
再評価に係る繰延税金負債4,5454,5454,5304,5204,5204,5164,3454,2684,3314,3434,298
役員退職慰労引当金190198180191184166177195200237185
退職給付に係る負債29,61030,05330,12429,96530,96630,62230,53830,89231,25331,20432,641
資産除去債務2,0262,0822,1702,2612,3352,3632,3772,9893,1143,5246,041
その他1,9092,0931,5481,4107,7826,9557,4548,3629,20011,18810,519
繰延税金負債550523519548-------
固定負債合計99,90693,06279,74272,52275,17985,80872,94592,267112,274109,055101,993
負債合計223,487220,566219,816211,157219,847219,794213,742209,128219,612248,126252,758
純資産の部
株主資本
資本金28,61928,61928,61928,61928,61928,61928,61928,61928,61928,61928,619
資本剰余金12,72612,72612,70412,91512,91613,19712,71512,71512,71512,71512,715
利益剰余金110,754124,120139,622160,414179,378196,879203,301221,027235,797230,048232,979
自己株式-8,668-8,696-8,742-8,757-8,769-8,774-9,117-9,124-24,132-13,056-17,118
株主資本合計143,432156,770172,204193,193212,145229,922235,519253,238253,000258,327257,196
その他の包括利益累計額
その他有価証券評価差額金2,6605,6037,6805,6233,2508,3578,8569,50015,14512,31318,772
繰延ヘッジ損益-179-79-35-11-142701000
土地再評価差額金-1,319-1,317-1,351-511-511-522-254-46105-69-168
為替換算調整勘定-790-2,155-1,137-3,609-3,733-5,983-2,2913,8228,10413,81216,733
退職給付に係る調整累計額7399161,5011,5062173,1454,0972,7715,6798,82810,634
その他の包括利益累計額合計1,1112,9666,6582,996-7775,00110,43416,04629,04634,88445,972
非支配株主持分3,2123,1443,3502,1652,8362,1122,7703,2473,3853,8513,818
純資産合計147,756162,881182,212198,355214,204237,035248,725272,532285,433297,063306,988
負債純資産合計371,243383,448402,028409,513434,052456,830462,467481,661505,045545,189559,746