燦HDs

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
2022-03百万円
2023-03百万円
2024-03百万円
2025-03百万円
資産の部
流動資産
現金及び預金2,831,3862,612,8504,781,9335,611,7046,428,7957,042,9177,4439,1929,78912,663
営業未収入金及び契約資産------7599191,3621,708
商品及び製品111,26094,99994,684101,82589,380114,439119122137176
原材料及び貯蔵品25,07441,35244,56841,91654,03947,44529292556
未収消費税等33,93520,540---43,523572318-
その他156,474162,205160,150170,740199,629195,673308556245675
貸倒引当金-161-718-744-1,139-1,234-1,213-2-1-2-13
未収還付法人税等47,998145,12759275,183-190-197258-
営業未収入金568,624601,233618,010650,570493,588452,421----
繰延税金資産289,350230,971339,709-------
流動資産合計4,063,9433,908,5616,038,9026,650,8017,264,1987,895,3988,71511,03911,83515,267
固定資産
有形固定資産
建物及び構築物(純額)7,375,8228,451,2138,842,4459,375,5449,390,8839,289,3519,7619,8409,85915,988
機械装置及び運搬具(純額)15,29446,18036,48445,52756,19549,06837291620
工具、器具及び備品(純額)131,572154,104142,454128,699106,86489,72795106114443
土地12,131,96212,318,82812,344,80912,344,80912,247,70912,247,70912,41812,25012,25013,107
リース資産(純額)242,440318,283396,550435,793470,711397,0503152422301,367
建設仮勘定611,933520,494126,64232,52411,19580,698321452688
有形固定資産合計20,509,02621,809,10521,889,38622,362,89822,283,55822,153,60622,66222,48322,52431,615
無形固定資産
のれん69,256-------23311,278
商標権---------836
その他69,849122,183------566809
無形固定資産合計139,106122,183------79912,924
投資その他の資産
長期貸付金444,008271,418253,987237,136220,375202,903184166152216
繰延税金資産----478,828466,518574551648751
不動産信託受益権505,805517,630527,649539,662498,159493,454500475455-
投資有価証券-------85120162
差入保証金650,893663,600680,759704,147723,667736,7677497948211,767
その他301,245279,419274,414295,248329,074294,898252243241364
貸倒引当金-12,304-17,338-14,198-8,915-20,858-10,976-10-9-13-17
繰延税金資産441,217406,860405,974456,074------
投資その他の資産合計2,330,8672,121,5902,128,5862,223,3532,229,2462,183,5652,2512,3082,4263,245
無形固定資産--104,23089,93797,222155,062218398--
固定資産合計22,979,00024,052,87924,122,20324,676,18924,610,02824,492,23425,13225,18925,75047,786
資産合計27,042,94327,961,44130,161,10531,326,99131,874,22632,387,63333,84736,22937,58563,053
負債の部
流動負債
営業未払金781,746810,925811,8581,017,115736,264613,5808519931,0291,482
短期借入金15,00015,000-------500
1年内返済予定の長期借入金128,70021,192170,392919,99219,9925,038---2,531
リース債務67,78083,52298,044103,954115,028117,9021089488176
未払金509,252418,432515,799718,925607,011514,6506177547411,054
未払法人税等292,800255,914632,38899,028607,732413,0005586666852,268
賞与引当金428,029401,717499,159523,513491,757484,612427520566681
役員賞与引当金34,56136,83645,85849,57160,37231,23848586059
その他128,964119,913242,271198,369140,277140,302190180241910
未払消費税等105,25486,173240,280162,098317,318221,259225291222-
資産除去債務----9,598-----
移転損失引当金133,93818,000--------
設備未払金24,51022,366--------
繰延税金負債----------
流動負債合計2,650,5392,289,9933,256,0533,792,5673,105,3532,541,5843,0263,5593,6369,664
固定負債
リース債務195,861260,933332,153368,125404,373322,819246174168998
長期借入金1,051,6001,115,414945,02225,0305,038----13,588
資産除去債務185,163272,807282,472320,236382,817410,7484845125611,270
従業員株式給付引当金----14,28727,96039495969
長期預り金210,000218,023217,231221,813235,476243,187242253281290
長期未払金24,36021,52921,841529,202411,085293,0691786411
厚生年金基金解散損失引当金690,837690,837690,837-------
退職給付に係る負債166,347147,918159,819-------
繰延税金負債1,026---------
移転損失引当金30,000---------
固定負債合計2,555,1952,727,4642,649,3781,464,4081,453,0791,297,7861,1911,0541,07116,217
負債合計5,205,7355,017,4585,905,4325,256,9754,558,4323,839,3704,2174,6134,70825,881
純資産の部
株主資本
資本金2,568,1572,568,1572,568,1572,568,1572,568,1572,568,1572,5682,5682,5682,568
資本剰余金5,488,6155,488,6155,488,6155,488,6155,491,3815,492,9135,4945,4885,5055,488
利益剰余金14,793,78015,900,75517,212,80819,027,33020,544,57121,749,05123,40225,15327,03031,003
自己株式-1,013,345-1,013,546-1,013,908-1,014,088-1,288,316-1,261,860-1,835-1,594-2,226-1,888
株主資本合計21,837,20822,943,98324,255,67326,070,01527,315,79428,548,26229,62931,61532,87737,172
純資産合計21,837,20822,943,98324,255,67326,070,01527,315,79428,548,26229,62931,61532,87737,172
負債純資産合計27,042,94327,961,44130,161,10531,326,99131,874,22632,387,63333,84736,22937,58563,053