スペース

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

2015-12千円
2016-12千円
2017-12千円
2018-12千円
2019-12千円
2020-12千円
2021-12千円
2022-12千円
2023-12千円
2024-12千円
資産の部
流動資産
現金及び預金8,761,69511,107,07312,338,25311,616,34910,679,96813,615,92115,144,49114,047,01713,145,09713,852,361
受取手形1,145,5741,603,2981,344,2151,297,9591,346,627269,194543,709759,253671,917823,579
完成工事未収入金及び契約資産-------8,348,80410,182,22812,273,310
未成工事支出金1,630,8562,034,2412,002,3101,878,1443,096,6682,811,1002,549,9821,136,907896,710918,718
材料及び貯蔵品7,9737,8456,737129,62517,6269,0049,30414,01311,0269,148
前払費用63,12381,28279,017108,056116,950198,867155,881161,539170,583161,587
その他16,36485,62755,51221,73689,96846,54145,28262,17573,71277,279
貸倒引当金-48,778-5,100-4,100-4,344-11,647-3,030-3,020-4,970-433,104-451,613
完成工事未収入金----------
完成工事未収入金8,236,7525,399,6376,319,0515,877,0346,703,4745,086,4864,935,965---
繰延税金資産124,48691,95589,11480,014------
前渡金----------
流動資産合計19,938,04720,405,86122,230,11321,004,57622,039,63622,034,08523,381,59724,524,74224,718,17227,664,372
固定資産
有形固定資産
建物及び構築物----4,699,7404,737,4514,740,0484,745,6385,100,7865,191,801
減価償却累計額-----1,961,844-2,069,205-2,179,151-2,285,710-2,349,955-2,435,210
建物及び構築物(純額)----2,737,8962,668,2462,560,8972,459,9272,750,8302,756,591
機械装置及び運搬具----70,54971,09971,09972,56475,60977,959
減価償却累計額-----58,007-61,909-64,529-66,202-65,806-67,980
機械装置及び運搬具(純額)----12,5429,1906,5706,3629,8029,979
工具、器具及び備品771,032815,583883,9891,016,9461,102,5771,090,8151,000,1561,028,2221,204,0941,159,752
減価償却累計額-561,336-638,852-709,763-708,754-821,611-911,483-885,675-933,618-912,399-964,324
工具、器具及び備品(純額)209,695176,730174,226308,192280,965179,331114,48094,603291,695195,428
土地5,284,8675,531,6015,591,1476,107,9116,107,9116,107,9116,107,9116,107,9116,746,1286,900,761
リース資産4,3204,3208,7844,4647,5537,3957,7038,2012,4322,731
減価償却累計額-2,340-3,060-4,462-1,426-2,633-3,940-5,439-7,205-121-637
リース資産(純額)1,9801,2604,3223,0384,9203,4552,2639962,3102,093
建設仮勘定--2,13352,99710,19822,05420,81626,98720,95620,956
建物4,449,6574,511,7744,579,6954,615,907------
減価償却累計額-1,386,962-1,527,966-1,660,033-1,785,319------
建物(純額)3,062,6952,983,8072,919,6622,830,587------
構築物81,91381,91381,91381,913------
減価償却累計額-62,566-66,637-70,281-72,041------
構築物(純額)19,34615,27511,6319,871------
機械及び装置53,48353,48353,34369,249------
減価償却累計額-48,934-50,121-50,975-52,059------
機械及び装置(純額)4,5493,3622,36817,190------
車両運搬具1,3651,3651,3651,365------
減価償却累計額-1,365-1,365-1,365-1,365------
車両運搬具(純額)0000------
有形固定資産合計8,583,1348,712,0398,705,4919,329,7889,154,4368,990,1908,812,9408,696,7899,821,7239,885,810
無形固定資産
商標権7867456525594664,2403,7253,2102,6942,206
ソフトウエア122,275109,101118,328206,030174,374859,357651,698473,768297,174132,891
ソフトウエア仮勘定---191,293672,8758,32718,6868,1201,60450,400
電話加入権8,0358,0358,0358,0358,4428,4428,4428,4428,4428,317
のれん----32,760-----
無形固定資産合計131,097117,881127,015405,918888,919880,367682,552493,541309,916193,815
投資その他の資産
投資有価証券1,260,7851,312,1191,380,4781,502,7391,341,377748,650760,096826,448818,953927,262
出資金300300300300405405405405405405
破産更生債権等4,4454,4451,036-3,3403,0402,7442,7442,112786
長期前払費用1,4251,0472,6692,9073,391348,314272,455205,046170,798145,234
退職給付に係る資産-----304,651467,163413,178559,281912,963
繰延税金資産-----243,0529,47310,80611,7305,969
長期性預金--------1,000,0001,000,000
その他355,852283,214221,827192,435233,814221,545228,450233,078214,817217,367
貸倒引当金-4,445-4,445-1,036-65,834-68,320-64,426-2,744-2,744-2,112-786
関係会社長期貸付金--67,020140,83464,98061,385----
繰延税金資産371,844389,456382,888315,259207,957-----
関係会社株式140,000140,000140,000474,038------
従業員に対する長期貸付金990330--------
投資その他の資産合計2,131,1972,126,4682,195,1852,562,6791,786,9451,866,6181,738,0441,688,9632,775,9863,209,202
固定資産合計10,845,43010,956,38911,027,69212,298,38711,830,30111,737,17711,233,53710,879,29312,907,62613,288,828
資産合計30,783,47731,362,25033,257,80633,302,96333,869,93733,771,26234,615,13535,404,03637,625,79840,953,200
負債の部
流動負債
工事未払金2,132,2951,702,4821,973,0981,469,6942,168,0931,895,1592,255,9882,707,2293,192,0724,229,487
1年内返済予定の長期借入金---------5,040
リース債務7777771,3868031,4081,3981,482930407503
未払金247,463182,626241,173506,309365,651171,457155,885213,450213,912354,615
未払費用618,137655,892670,322682,930660,059669,446661,296682,975685,327814,831
未払法人税等823,270548,488714,783535,893279,924185,623314,243521,750804,549470,906
未払消費税等177,094195,500250,61574,448123,975206,852286,640247,490193,577427,589
未成工事受入金203,210330,673200,894185,547650,570638,474699,156335,524612,167447,742
預り金255,079224,686264,850258,576227,019201,977226,535247,031285,813522,850
賞与引当金79,10583,77086,30288,57991,78295,59591,40198,883109,517273,735
役員賞与引当金--------5,62043,550
完成工事補償引当金35,95939,39440,59732,52130,30623,91633,32442,89434,73223,476
その他2,6291,8999523813813813903901,042390
受注損失引当金20,64828,920--38,9209,00015,7517,263--
短期借入金300,000300,000300,000-------
流動負債合計4,895,6714,295,1134,744,9793,835,6844,638,0934,099,2814,742,0965,105,8166,138,7417,614,720
固定負債
長期借入金------60,00060,00060,00052,920
リース債務1,3605833,3482,5443,8432,3381,0002031,9281,661
退職給付に係る負債----648,332910,630112,021297,127257,48522,028
長期未払金-351,157350,387350,387317,677317,677317,677316,077316,077316,077
繰延税金負債------72,9288,61780,603239,315
その他353,8221,7151,46590090090011,67319,35617,64127,017
退職給付引当金1,479,4021,576,4421,585,7191,569,970------
固定負債合計1,834,5851,929,8981,940,9191,923,802970,7531,231,546575,301701,381733,736659,020
負債合計6,730,2576,225,0116,685,8995,759,4875,608,8465,330,8275,317,3985,807,1976,872,4788,273,740
純資産の部
株主資本
資本金3,395,5373,395,5373,395,5373,395,5373,395,5373,395,5373,395,5373,395,5373,395,5373,395,537
資本剰余金----3,567,1273,602,5453,604,6533,607,3973,610,2213,614,842
利益剰余金----22,581,52822,647,05423,313,28423,937,67224,740,27626,265,789
自己株式-1,727,598-1,728,308-1,729,545-1,734,864-1,736,248-1,346,454-1,340,588-1,461,295-1,452,856-1,444,570
資本剰余金
資本準備金3,566,5813,566,5813,566,5813,566,581------
その他資本剰余金217219219546------
資本剰余金合計3,566,7983,566,8003,566,8003,567,127------
利益剰余金
利益準備金201,150201,150201,150201,150------
その他利益剰余金
固定資産圧縮積立金14,56013,75412,97112,234------
別途積立金9,000,0009,000,0009,000,0009,000,000------
繰越利益剰余金9,291,46210,319,36011,713,01912,558,085------
利益剰余金合計18,507,17319,534,26520,927,14121,771,469------
株主資本合計23,741,91124,768,29426,159,93326,999,26927,807,94428,298,68128,972,88729,479,31130,293,17931,831,598
その他の包括利益累計額
その他有価証券評価差額金311,308368,944411,973544,206427,273134,813151,538197,569251,835330,475
為替換算調整勘定-----13,349-40,49624,05659,38675,998106,345
退職給付に係る調整累計額----9,70329,844130,303-173,48181,593350,277
その他の包括利益累計額合計311,308368,944411,973544,206423,626124,162305,89883,475409,427787,099
非支配株主持分----29,52017,59118,95134,05250,71360,762
純資産合計24,053,22025,137,23826,571,90727,543,47528,261,09128,440,43529,297,73629,596,83930,753,32032,679,459
負債純資産合計30,783,47731,362,25033,257,80633,302,96333,869,93733,771,26234,615,13535,404,03637,625,79840,953,200