北陸電力

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
固定資産1,216,6571,239,4431,274,5761,312,5031,317,5281,350,2841,404,9951,434,6621,440,9261,428,1591,474,149
電気事業固定資産808,779786,948770,042874,673868,834868,222869,034868,228871,801847,740873,234
水力発電設備108,666107,613104,341102,573103,38598,64598,41896,49797,16496,236108,276
汽力発電設備108,325103,033108,848208,222205,706203,632207,912207,599197,205207,945212,166
原子力発電設備160,919144,880130,709136,129127,834120,441112,789104,898118,92881,42078,686
送電設備159,648157,587154,691156,419157,113161,426161,596160,792161,888164,813169,062
変電設備86,87885,84384,82084,56687,26292,07993,12395,37695,57994,44495,867
配電設備146,729147,264148,046148,202150,277153,359155,808159,258159,783162,073169,988
業務設備31,52732,91631,21931,68530,67532,30433,37637,91535,60835,49434,137
その他の電気事業固定資産6,0847,8097,3656,8736,5806,3326,0095,8895,6425,3115,048
その他の固定資産43,48841,21039,44642,59748,44754,58367,08967,40667,39262,44553,966
固定資産仮勘定133,901179,717217,657134,254141,843156,949183,616201,919194,128204,716190,279
建設仮勘定及び除却仮勘定133,901179,717214,593129,658135,715149,289174,424191,195181,872190,928174,959
使用済燃料再処理関連加工仮勘定--3,0634,5956,1277,6599,19110,72312,25513,78715,319
核燃料108,405101,64194,71597,69888,57586,98478,90278,20574,88775,69889,126
装荷核燃料26,21926,21926,21926,21926,21926,21926,21926,21926,21926,21926,219
加工中等核燃料82,18675,42268,49571,47962,35660,76552,68351,98648,66749,47962,906
投資その他の資産122,082129,925152,714163,279169,827183,544206,352218,902232,716237,558267,542
長期投資55,26866,77488,17392,327101,688111,661119,946115,637118,479126,583133,111
退職給付に係る資産16,55717,58619,35918,36216,26224,18123,41923,19328,64539,59750,053
繰延税金資産----44,78140,30239,26648,32450,07530,92013,442
その他7,6487,5467,9108,0787,1399,23825,99332,56635,92740,59571,081
貸倒引当金(貸方)-322-194-48-56-44-1,839-2,272-819-409-138-147
繰延税金資産37,56138,21137,31944,567-------
使用済燃料再処理等積立金5,369----------
流動資産292,736278,633314,181260,624275,404245,342251,668370,655414,509431,670367,918
現金及び預金193,128173,746200,166142,934163,419132,310105,602165,463225,039239,372185,484
受取手形、売掛金及び契約資産------80,21179,75985,93697,92475,635
棚卸資産19,01623,80728,46336,12631,75927,20329,22562,38047,20937,46034,432
その他19,52019,24717,00116,67314,79615,14036,81163,35156,54957,14772,529
貸倒引当金(貸方)-147-121-116-104-109-1,331-181-298-226-235-163
受取手形及び売掛金55,74557,19361,98464,99565,53872,019-----
繰延税金資産5,4734,7606,681--------
合計1,509,3931,518,0761,588,7571,573,1271,592,9331,595,6261,656,6641,805,3181,855,4351,859,8301,842,067
負債及び純資産の部
固定負債932,709957,518977,860972,937982,0831,006,6501,070,2911,300,7591,235,1151,132,7531,101,447
社債424,887444,893444,897424,999445,000475,000505,000674,900639,900566,700529,700
長期借入金390,259406,874427,558426,375414,374405,555436,933491,520449,903445,741451,256
退職給付に係る負債31,31031,52531,42331,28831,08132,18032,21933,07933,89231,62827,252
災害復旧費用引当金--------3,51812,87912,047
その他14,86713,88412,73310,1298,8398,2217,3209,07211,99775,46981,191
資産除去債務59,15360,34161,24780,14482,78885,69288,81892,18795,904334-
使用済燃料再処理等引当金6,124----------
使用済燃料再処理等準備引当金6,107----------
流動負債221,199212,118262,426252,414253,569212,589240,651249,279290,161324,013286,924
1年以内に期限到来の固定負債90,48785,554104,122117,764102,87386,59393,45385,77499,772137,762117,394
短期借入金16,12716,12715,62811,62811,8297,0801,2811,3721,1332501,255
支払手形及び買掛金30,66432,70437,47932,91836,21433,58559,87645,96649,88363,67446,147
未払税金8,2918,24013,5347,47717,92011,8178,9008,94326,92023,99713,352
災害復旧費用引当金--------32,5753,5321,570
その他75,62869,49291,66182,62584,73273,51277,13877,22379,87594,796107,203
コマーシャル・ペーパー-------30,000---
特別法上の引当金21,48120,82420,82420,82420,82320,6452,9932,9932,7052,2142,392
渇水準備引当金21,48120,82420,82420,82420,82320,6452,9932,9932,7052,2142,392
株主資本321,208310,143307,560310,073323,508329,485318,719230,598287,403348,921398,548
資本金117,641117,641117,641117,641117,641117,641117,641117,641117,641117,641117,641
資本剰余金33,99433,99433,99433,99233,99233,99233,99133,98733,98733,37532,793
利益剰余金172,899161,842159,266161,786175,226181,208170,44382,342139,153201,044251,122
自己株式-3,327-3,335-3,342-3,347-3,351-3,356-3,357-3,373-3,378-3,139-3,009
その他の包括利益累計額2,9556,2017,5593,391-1,5339,1396,1422,88820,48631,80450,575
その他有価証券評価差額金5,3777,2387,3024,5682,9864,6855,2466,36711,99613,86126,005
繰延ヘッジ損益15-5553-1,9741,891304-3,1473,6235,7448,856
為替換算調整勘定------871195476061,349
退職給付に係る調整累計額-2,436-1,036202-1,230-2,5462,562502-4504,31811,59214,363
非支配株主持分9,83911,26812,52413,48614,48117,11517,86518,79819,56320,1222,178
負債合計1,175,3901,190,4621,261,1121,246,1761,256,4761,239,8861,313,9371,553,0321,527,9821,458,9821,390,764
純資産合計334,003327,614327,645326,950336,456355,740342,726252,285327,453400,847451,303
合計1,509,3931,518,0761,588,7571,573,1271,592,9331,595,6261,656,6641,805,3181,855,4351,859,8301,842,067