日本郵船

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237,219143,180104,89979,91581,861107,369233,019204,817156,163156,012214,584
受取手形、営業未収入金及び契約資産------359,158337,702354,656349,821398,050
棚卸資産27,49539,68946,59839,30832,53237,61957,02957,59369,88664,64172,572
繰延及び前払費用57,55461,88268,75863,21161,16256,43824,15230,89729,86231,29736,877
その他82,59681,27987,01371,90977,091104,10894,93791,69396,85797,258147,206
貸倒引当金-2,284-2,238-2,194-2,299-2,173-2,101-3,433-2,562-3,909-2,696-3,830
受取手形及び営業未収入金222,831249,094259,367219,937191,813234,909-----
有価証券24,000-155140134144-----
繰延税金資産3,3262,4602,299--------
流動資産合計652,740575,347566,897472,123442,421538,488764,863720,142703,517696,334865,461
固定資産
有形固定資産
船舶(純額)802,324631,393631,840620,212603,317534,378577,147637,257787,035753,731911,111
建物及び構築物(純額)76,96372,95279,08384,827107,643109,198105,494143,069149,154158,322253,327
航空機(純額)23,57624,02447,81339,69238,02335,838103,68398,57390,27382,255-
機械装置及び運搬具(純額)34,96730,45727,69129,31028,85626,04027,54832,31129,67832,78558,731
器具及び備品(純額)7,2175,9305,9195,7295,1455,3035,9797,5368,3679,46215,778
土地72,51169,88771,51668,54383,50486,91272,72289,88275,74775,219106,919
建設仮勘定43,95250,57449,92044,17244,90344,70465,834126,324223,454174,690276,625
その他(純額)6,4305,3284,9855,3724,9355,3145,8678,7959,4178,8888,158
有形固定資産合計1,067,943890,547918,770897,861916,329847,689964,2771,143,7511,373,1261,295,3561,630,650
無形固定資産
借地権4,1024,4775,1444,5534,9264,9125,1175,3655,5995,6836,823
ソフトウエア15,13812,6756,8076,5625,9155,7686,1358,3907,4436,9117,543
のれん21,20518,63622,03216,40411,05510,1908,71113,71227,74327,168250,566
その他2,1232,9952,9483,8153,6703,4083,63713,92312,51818,53128,362
無形固定資産合計42,56938,78536,93231,33525,56824,27923,60241,39253,30558,294293,296
投資その他の資産
投資有価証券358,090410,236423,246478,996449,267578,8921,146,4381,688,3801,813,1571,987,7601,975,423
長期貸付金29,67830,02820,81921,44511,87621,39327,50327,64251,67137,76744,751
退職給付に係る資産39,40347,25352,97155,99741,43060,33985,64488,404186,211159,211297,028
繰延税金資産----4,9106,11010,5719,1207,71711,09712,211
その他50,03252,46052,77944,14646,69453,39362,09962,94771,49679,75988,080
貸倒引当金-2,812-6,626-7,263-6,847-5,567-5,350-5,236-5,174-5,671-5,607-5,640
繰延税金資産6,7775,8776,4986,361-------
投資その他の資産合計481,168539,229549,052600,099548,611714,7791,327,0191,871,3202,124,5822,269,9882,411,854
固定資産合計1,591,6811,468,5621,504,7551,529,2951,490,5091,586,7482,314,8993,056,4643,551,0143,623,6404,335,800
繰延資産350273319285333243259190238293408
資産合計2,244,7722,044,1832,071,9722,001,7041,933,2642,125,4803,080,0233,776,7974,254,7704,320,2695,201,670
負債の部
流動負債
支払手形及び営業未払金178,065196,317206,205160,258137,911168,690218,650206,153228,287231,949269,166
1年内償還予定の社債--30,00030,00020,00025,00030,00010,00033,000-20,000
短期借入金92,374102,842113,198196,849162,675161,045130,91973,581194,71654,412155,156
コマーシャル・ペーパー---11,00019,000---53,000-40,000
リース債務----18,74019,47723,81826,41222,64926,89441,557
未払法人税等8,9638,0996,8037,5365,34014,39025,09717,91415,28220,79734,332
契約負債------39,79250,56253,43054,04763,411
賞与引当金9,9069,3599,2719,2649,36014,06323,18820,73617,50220,81422,063
役員賞与引当金353384368333310366517617434476576
株式給付引当金-----1701,270241258539250
契約損失引当金8,6785,3283,1294,731-14,364134146213978369
その他76,82673,52796,63866,61360,90688,28679,89592,668125,779112,195226,971
事業再編関連引当金--2,241351203-----
前受金40,65338,89448,54339,87939,34936,405-----
株式給付引当金--59734-------
独禁法関連引当金-19,515499--------
繰延税金負債5,5223,6683,321--------
流動負債合計421,343457,938520,281527,553473,615542,262573,282499,034744,554523,106873,855
固定負債
社債145,445145,000145,000125,000132,000107,00097,00087,00074,00099,000122,000
長期借入金690,005686,598683,184663,305616,234560,913447,069422,691461,294465,763609,512
リース債務----81,20377,70779,49374,40675,14592,392213,237
繰延税金負債----44,63264,71857,44671,676120,57585,200150,240
退職給付に係る負債18,70818,59618,30116,83715,92016,69715,90715,30216,08616,47216,014
役員退職慰労引当金1,7171,8571,9581,3751,067979819862895791663
株式給付引当金----285551-54116-75
特別修繕引当金21,29522,42421,33520,13618,53614,59516,34720,89228,22528,73635,533
契約損失引当金-16,373-30,73423,07852,07118,0748,8835,4252,850712
事業再編関連引当金---1,2201,0019274072562766856
その他63,30153,19243,94544,27526,62419,64515,10250,74134,80835,91336,330
債務保証損失引当金----224------
繰延税金負債38,68450,03949,23049,540-------
株式給付引当金-226479--------
固定負債合計979,158994,309963,436952,424960,809915,805747,667752,769816,850827,1891,184,377
負債合計1,400,5021,452,2471,483,7171,479,9781,434,4241,458,0681,320,9491,251,8031,561,4041,350,2952,058,233
純資産の部
株主資本
資本金144,319144,319144,319144,319144,319144,319144,319144,319144,319144,319144,319
資本剰余金155,691155,46135,11242,89445,73744,21444,31444,89745,09939,00939,657
利益剰余金470,483202,488345,404293,719311,892444,8011,396,3002,018,9152,105,5212,293,3142,117,971
自己株式-2,098-3,814-3,801-3,715-3,429-3,381-3,428-3,793-203,595-131,968-16,487
株主資本合計768,396498,455521,035477,218498,520629,9541,581,5062,204,3382,091,3442,344,6752,285,461
その他の包括利益累計額
その他有価証券評価差額金34,14748,86041,63723,1569,47422,00432,13632,90950,80056,81562,025
繰延ヘッジ損益-35,411-27,284-18,929-15,685-27,752-29,187-15,4526,5838,01436,83329,787
為替換算調整勘定7,527-4,816-3,101-9,988-18,966-11,36585,785207,437407,345421,267548,040
退職給付に係る調整累計額-9817,25511,24512,7311,38813,92729,73727,37192,86659,284146,679
その他の包括利益累計額合計5,28124,01530,85110,214-35,856-4,621132,207274,302559,026574,200786,533
非支配株主持分70,59169,46436,36834,29336,17542,07845,35946,35242,99351,09771,442
純資産合計844,269591,936588,255521,725498,839667,4111,759,0732,524,9932,693,3652,969,9733,143,437
負債純資産合計2,244,7722,044,1832,071,9722,001,7041,933,2642,125,4803,080,0233,776,7974,254,7704,320,2695,201,670