きんえい

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

2016-01千円
2017-01千円
2018-01千円
2019-01千円
2020-01千円
2021-01千円
2022-01千円
2023-01千円
2024-01千円
2025-01千円
2026-01千円
資産の部
流動資産
現金及び預金125,59067,99985,50795,18993,351100,83784,52475,62275,24887,080134,784
売掛金103,054100,540104,378121,138116,226125,429118,700103,090109,284104,448106,206
契約資産-------6,8508,0107,5807,230
商品3,5944,8724,5624,0294,9202,8373,4553,8234,0814,4114,973
前払費用8,0014,3648,3109,0425,4937,6357,4193,3976,5067,7239,692
短期貸付金474,373339,915428,178603,259592,918304,506514,669649,111718,131644,881698,938
未収入金1,9102,5567,5731,6072,51313,6001,6481,8231,0841,7652,132
その他48,094147,762164,770233,08453,15150,78142,57650,32644,20650,92343,782
貸倒引当金------375-771-730-810-730-
繰延税金資産---4,223-------
流動資産合計764,619668,010803,2821,071,574868,575605,251772,223893,315965,743908,0841,007,740
固定資産
有形固定資産
建物(純額)2,140,5062,074,0052,035,4442,982,8372,816,5282,936,8032,848,0822,715,5112,747,4402,754,6922,714,670
機械及び装置(純額)54,04740,90140,46744,11536,48528,37329,15941,96845,193100,97888,646
工具、器具及び備品(純額)78,59573,75978,83265,463124,325113,60798,68479,66473,40872,989101,669
土地1,123,7481,123,7481,123,7481,123,7481,123,7481,123,7481,123,7481,123,7481,123,7481,123,7481,123,748
建設仮勘定--37,2244,809---20,370--3,790
有形固定資産合計3,396,8973,312,4143,315,7164,220,9734,101,0874,202,5334,099,6743,981,2633,989,7914,052,4084,032,525
無形固定資産
ソフトウエア30,78215,76116,58518,785103,87088,29358,53529,9534,7356681,786
電話加入権1,0661,0661,0661,0661,0661,0661,0661,0661,0661,0661,066
電気供給施設利用権45038231324517710840----
ソフトウエア仮勘定---18,413-------
無形固定資産合計32,30017,21117,96538,511105,11489,46959,64331,0205,8021,7352,853
投資その他の資産
投資有価証券8,3489,78410,7407,4537,6686,5828,77111,55616,95523,83133,686
長期前払費用13,8429,84019,23211,0436,3609,8795,16810,94615,16921,25921,674
差入保証金799,785822,714822,343801,085803,660819,494801,958815,746850,372890,112899,138
その他19,51721,48722,93423,92226,01525,69023,25522,01123,72325,69724,370
繰延税金資産-----------
繰延税金資産----559------
投資その他の資産合計841,494863,827875,251843,505844,264861,647839,153860,261906,219960,900978,869
固定資産合計4,270,6934,193,4524,208,9335,102,9915,050,4665,153,6494,998,4714,872,5454,901,8135,015,0435,014,248
資産合計5,035,3124,861,4635,012,2156,174,5655,919,0415,758,9015,770,6945,765,8605,867,5565,923,1286,021,988
負債の部
流動負債
買掛金112,714118,550120,424124,688139,68485,813102,91792,761113,456128,981127,486
短期借入金307,500257,500280,000250,000250,000450,000450,000350,000350,000250,000312,500
1年内返済予定の長期借入金6,580---56,25075,00075,00075,00075,000243,75010,000
未払金182,370191,780151,744217,702295,190122,457192,714238,731179,133195,310226,094
設備関係未払金217,351150,155221,187662,833180,774198,276121,516147,613209,636123,959108,148
未払費用16,34717,15717,24018,16919,22716,46116,51516,31517,32716,63317,210
未払法人税等38,80341,64444,95434,57136,0212,65142,55236,85252,63054,31252,952
契約負債-------663663953-
預り金243,563109,507113,237132,272127,136143,34788,217101,46483,25482,918187,687
前受収益144,488156,243151,856156,245171,408152,850163,789170,013173,558177,047171,358
賞与引当金10,90012,00011,90012,10012,1005,2005,4008,8009,30010,70010,800
資産除去債務----------38,189
繰延税金負債3,5012,4962,680--------
流動負債合計1,284,1201,057,0361,115,2261,608,5831,287,7931,252,0581,258,6241,238,2151,263,9591,284,5671,262,429
固定負債
長期借入金---600,000543,750468,750393,750318,750243,750-2,500
繰延税金負債-----3,4944,5004,95775324,00413,380
退職給付引当金75,70885,39991,43996,296101,89693,48972,19660,45165,34970,56869,088
受入保証金1,569,7291,560,9571,560,2901,553,8851,577,7761,511,0441,529,9071,533,9341,554,0401,580,4041,568,146
資産除去債務283,077286,912290,364290,000290,000290,000290,000290,000290,000382,901346,909
その他10,0802,86813,7924,0443,924200200----
繰延税金負債53,72633,95915,6729,292-------
固定負債合計1,992,3211,970,0951,971,5582,553,5182,517,3462,366,9782,290,5542,208,0932,153,8932,057,8782,000,024
負債合計3,276,4423,027,1313,086,7844,162,1023,805,1403,619,0373,549,1783,446,3093,417,8523,342,4463,262,453
純資産の部
株主資本
資本金564,200564,200564,200564,200564,200564,200564,200564,200564,200564,200564,200
資本剰余金
資本準備金24,15524,15524,15524,15524,15524,15524,15524,15524,15524,15524,155
資本剰余金合計24,15524,15524,15524,15524,15524,15524,15524,15524,15524,15524,155
利益剰余金
利益準備金120,197120,197120,197120,197120,197120,197120,197120,197120,197120,197120,197
その他利益剰余金
固定資産圧縮積立金169,566147,899122,89097,88589,02180,48972,78465,08057,37649,67245,237
別途積立金300,000300,000300,000300,000300,000300,000300,000300,000300,000300,000300,000
繰越利益剰余金685,739782,737899,2311,014,2701,124,9501,160,6201,248,4571,352,8881,487,6571,622,0371,798,871
利益剰余金合計1,275,5021,350,8341,442,3191,532,3531,634,1681,661,3061,741,4391,838,1661,965,2302,091,9072,264,306
自己株式-107,246-108,166-109,215-109,935-110,462-110,884-110,884-111,508-112,167-112,637-113,023
株主資本合計1,756,6121,831,0231,921,4592,010,7732,112,0612,138,7782,218,9102,315,0132,441,4192,567,6252,739,638
評価・換算差額等
その他有価証券評価差額金2,2583,3083,9711,6901,8391,0862,6044,5378,28413,05619,895
評価・換算差額等合計2,2583,3083,9711,6901,8391,0862,6044,5378,28413,05619,895
純資産合計1,758,8701,834,3311,925,4302,012,4632,113,9002,139,8642,221,5152,319,5512,449,7032,580,6822,759,534
負債純資産合計5,035,3124,861,4635,012,2156,174,5655,919,0415,758,9015,770,6945,765,8605,867,5565,923,1286,021,988