ショーエイコーポレーション

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297,315612,524646,201558,655874,423943,536878,9871,267,136854,6751,110,7071,084,352
受取手形及び売掛金2,498,3112,666,4722,861,7582,709,2472,852,5062,846,9222,918,1782,973,0572,675,1682,363,2942,558,794
電子記録債権--248,307432,896331,252693,437609,776697,783741,176701,026566,150
商品及び製品1,332,7031,195,8681,332,2411,656,4771,613,9022,324,3822,212,9591,757,9031,547,8691,692,3451,727,807
仕掛品103,57794,905130,348151,674173,423135,488186,453228,760198,899170,947198,462
原材料及び貯蔵品122,024108,64080,372105,13888,719132,707492,987491,613452,591399,696548,912
前渡金52,20525,81640,73045,19879,98993,22272,10583,196131,50941,76418,897
未収入金102,852144,476212,993292,825191,993121,88553,86454,28460,29668,6612,304
その他57,43352,92194,95886,508131,520112,851135,41681,84775,27688,115110,021
貸倒引当金-2,009-5,798-6,116-6,485-1,324-1,731-1,081-1,022-808-3,765-4,030
繰延税金資産54,94168,76576,665--------
未収還付法人税等7,729----------
流動資産合計4,627,0864,964,5935,718,4626,032,1356,336,4067,402,7027,559,6507,634,5596,736,6546,632,7946,811,671
固定資産
有形固定資産
建物及び構築物888,549892,815950,8981,024,0991,037,9001,071,1351,258,8731,326,9931,217,3371,562,6231,614,560
減価償却累計額-477,067-509,848-543,717-577,328-613,285-645,342-747,057-798,090-752,471-810,810-883,473
建物及び構築物(純額)411,481382,966407,181446,770424,614425,793511,815528,903464,865751,812731,086
機械装置及び運搬具429,599430,099480,218510,219535,923564,903756,071811,643948,1051,061,8291,192,121
減価償却累計額-215,098-247,782-283,996-323,877-375,965-407,261-557,601-619,240-690,816-760,483-849,951
機械装置及び運搬具(純額)214,501182,316196,222186,341159,957157,642198,469192,403257,289301,345342,170
工具、器具及び備品129,988134,911151,032165,103168,396170,506277,715297,782286,932314,086369,585
減価償却累計額-113,514-121,256-124,175-134,253-142,713-140,862-227,991-247,787-248,476-264,257-300,905
工具、器具及び備品(純額)16,47313,65426,85730,85025,68329,64449,72349,99438,45649,82868,680
土地1,125,7121,125,7121,125,7121,125,7121,125,0751,125,0751,414,9751,414,975929,2631,510,5131,548,013
リース資産123,913144,472241,409351,660414,000417,071460,581486,537534,935480,157344,279
減価償却累計額-60,625-69,403-89,234-124,308-184,495-210,620-281,077-320,960-340,898-326,717-247,193
リース資産(純額)63,28875,068152,175227,352229,504206,450179,503165,576194,037153,43997,086
建設仮勘定-21,5363,225495-71613,3035,47415,5176,35813,717
有形固定資産合計1,831,4571,801,2551,911,3752,017,5231,964,8351,945,3212,367,7892,357,3261,899,4302,773,2992,800,754
無形固定資産
リース資産5,7393,94550,044162,087137,225115,13977,16939,1985,3357,6514,860
その他13,53111,2027,5118,08514,43421,32727,24124,26318,84041,082184,852
顧客関連資産------1,375,625147,361---
のれん53,63617,878----561,264----
無形固定資産合計72,90733,02757,555170,172151,659136,4672,041,300210,82324,17648,733189,712
投資その他の資産
投資有価証券337,946432,197485,828390,493353,547442,332414,992435,593531,678582,080683,205
差入保証金102,505102,075115,101113,560116,244145,014190,868165,933134,718140,319209,285
退職給付に係る資産98,29695,224101,965104,85263,811156,456167,935175,981245,244207,991257,364
繰延税金資産----6,70615,9566,14512,0447,4605,65316,582
その他51,39660,87263,42692,03578,54973,42573,55884,980100,71981,55843,048
貸倒引当金-4,490-16,600-10,836-24,037-34,221-29,861-29,044-42,655-58,564-38,800-326
長期貸付金10,8567,820752--------
繰延税金資産5,0294,460-62,309-------
投資その他の資産合計601,541686,049756,238739,214584,638803,324824,455831,878961,257978,8031,209,160
固定資産合計2,505,9062,520,3322,725,1702,926,9102,701,1332,885,1135,233,5453,400,0282,884,8633,800,8364,199,626
繰延資産
社債発行費29476---------
繰延資産合計29476---------
資産合計7,133,2877,485,0028,443,6328,959,0469,037,53910,287,81512,793,19611,034,5879,621,51810,433,63011,011,298
負債の部
流動負債
支払手形及び買掛金1,922,0681,978,1672,229,7032,337,9561,979,5791,330,0001,413,2931,251,3171,085,8951,118,7161,096,772
短期借入金1,780,0001,780,0002,240,0002,410,0002,970,0002,690,0004,760,0004,680,0002,620,0002,330,0002,030,000
1年内返済予定の長期借入金390,479358,883151,770170,700109,30088,550138,328152,952191,420312,357292,741
リース債務47,33539,14752,31292,417106,022117,719111,47177,65372,99870,67957,935
未払金142,281146,578148,161192,118113,768279,965190,869174,901162,331172,782170,992
未払費用------151,595151,762178,452145,798156,137
未払法人税等28,239164,36897,16474,065137,684262,44244,08444,620321,446120,997343,297
未払消費税等35,50864,59030,59731,562109,15536,41764,19528,66486,31358,10090,645
賞与引当金72,62090,396104,23299,916111,393116,593117,365114,131121,497122,779119,265
その他79,13581,513130,131116,19195,634108,03825,21726,39336,90736,62647,589
1年内償還予定の社債83,12039,480---------
流動負債合計4,580,7884,743,1265,184,0725,524,9285,732,5375,029,7287,016,4216,702,3964,877,2624,488,8374,405,377
固定負債
長期借入金455,953290,070333,050252,150142,85054,300355,374466,834369,6141,110,841917,850
リース債務57,40753,446173,423299,021262,597204,042134,159122,184177,257127,78462,994
繰延税金負債----9,01674,992511,27562,789160,373203,816238,870
退職給付に係る負債63,92973,89478,90471,91339,93639,15575,11465,50968,07060,65546,808
長期未払金146,052146,052145,052145,052144,212144,212144,212137,022137,022137,022137,022
その他6,2323,6962,0009,59210,4537,63131,95533,68130,60827,86065,335
デリバティブ債務-------639,638---
繰延税金負債85,626103,599102,54048,963-------
社債39,480----------
固定負債合計854,681670,759834,970826,693609,065524,3331,252,0901,527,659942,9441,667,9791,468,881
負債合計5,435,4695,413,8856,019,0426,351,6226,341,6035,554,0618,268,5128,230,0555,820,2076,156,8165,874,258
純資産の部
株主資本
資本金229,400229,400229,400229,400229,400715,615715,615715,615715,615715,615715,615
資本剰余金146,800146,800159,176175,478175,478915,408807,752807,752807,752807,752807,752
利益剰余金1,277,9101,555,3271,849,9612,083,0572,358,2832,908,6032,843,3451,071,4521,926,0292,238,8362,937,942
自己株式-71,556-71,556-61,588-54,827-289,380-56,918-56,918-56,918-56,918-56,918-56,918
株主資本合計1,582,5541,859,9712,176,9492,433,1082,473,7804,482,7084,309,7952,537,9023,392,4793,705,2854,404,392
その他の包括利益累計額
その他有価証券評価差額金119,559172,738200,192127,797113,511165,488124,799132,398189,384211,542287,071
繰延ヘッジ損益-1,9241,822-13,446-27,38328,561--2,1904,084-1,308840
為替換算調整勘定-2,37136,58460,89546,51881,26156,99490,089136,422215,363361,294444,735
その他の包括利益累計額合計115,263211,145247,641174,316222,155251,045214,888266,629408,831571,528732,647
純資産合計1,697,8172,071,1162,424,5902,607,4242,695,9364,733,7534,524,6832,804,5323,801,3114,276,8145,137,039
負債純資産合計7,133,2877,485,0028,443,6328,959,0469,037,53910,287,81512,793,19611,034,5879,621,51810,433,63011,011,298