セコム

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
流動資産
現金及び預金228,458302,364317,267350,319414,199499,247522,363522,396440,936408,773394,981
現金護送業務用現金及び預金128,267130,619135,808142,335140,905138,889136,477135,459138,562141,000142,241
コールローン---------28,00019,000
受取手形、売掛金及び契約資産------149,878157,475162,325169,918180,925
未収契約料31,81233,09035,27241,61640,74539,98039,46843,50348,36747,64250,135
有価証券34,44829,38717,36025,38232,44221,57927,02026,32519,65234,86246,333
リース債権及びリース投資資産39,54243,97445,54441,82642,76841,51137,51841,12040,00741,34445,228
商品及び製品13,09911,91512,32114,14613,86214,28914,72417,36121,54519,03521,710
販売用不動産3,5275,2234,7665,8644,9301862,5934,1463,5014,2374,276
仕掛品5,5574,9135,0575,8725,2374,8805,6295,7076,3686,92314,191
原材料及び貯蔵品8,5798,3858,84910,39810,92711,00313,93018,48220,08819,36319,568
短期貸付金4,0864,9425,1964,3984,5253,0532,5632,4082,4483,9792,453
その他27,37523,68426,35231,00031,40028,71436,06435,32435,91946,10643,232
貸倒引当金-1,883-1,766-1,818-1,775-1,677-1,715-2,031-2,163-2,143-2,372-2,623
受取手形及び売掛金122,048119,801129,984133,659141,609132,886-----
未成工事支出金9,0708,97910,44110,97110,7807,524-----
仕掛販売用不動産23,02422,28339,68830,74321,806------
繰延税金資産12,72814,00314,651--------
流動資産合計689,744761,804806,746846,759914,465942,033986,2021,007,547937,580968,815981,653
固定資産
有形固定資産
建物及び構築物276,970287,286295,984305,581317,764329,056339,169349,229361,757394,233416,479
減価償却累計額-128,141-137,032-147,362-156,887-164,456-176,285-187,359-198,495-207,130-213,894-226,878
建物及び構築物(純額)148,828150,254148,622148,693153,307152,770151,809150,733154,626180,338189,601
機械装置及び運搬具35,42731,25131,71931,63525,57825,57426,45127,23528,75430,21431,842
減価償却累計額-24,972-22,043-23,073-21,909-17,098-16,677-17,397-17,860-18,552-18,788-19,761
機械装置及び運搬具(純額)10,4549,2088,6459,7268,4808,8979,0539,37410,20111,42512,080
警報機器及び設備317,813317,352329,655337,755346,167355,944365,349372,649390,433400,512408,016
減価償却累計額-246,365-247,782-258,783-266,039-271,858-281,240-291,438-296,999-308,079-312,732-315,855
警報機器及び設備(純額)71,44769,56970,87271,71574,30974,70473,91175,65082,35487,78092,161
工具、器具及び備品86,53078,45282,30185,30787,98089,45691,30492,94997,116100,619104,125
減価償却累計額-62,790-54,933-58,531-60,684-62,524-65,113-67,386-68,730-70,656-71,211-74,161
工具、器具及び備品(純額)23,74023,51923,77024,62325,45524,34223,91724,21926,46029,40829,963
土地116,613116,825114,287116,876117,720120,876122,050123,358126,235123,998126,859
建設仮勘定5,2207,1577,4906,7657,03410,1849,72420,50232,44316,28813,783
有形固定資産合計376,305376,536373,689378,401386,308391,775390,467403,837432,321449,240464,449
無形固定資産
ソフトウエア18,07118,07617,83321,98923,54522,88321,54621,01921,62527,11924,342
のれん70,61965,75978,06174,19469,61565,60459,99670,49663,50558,78256,051
その他30,81428,29635,13332,03131,60631,78933,68441,25639,73936,65746,144
無形固定資産合計119,505112,131131,028128,215124,767120,277115,228132,772124,871122,560126,538
投資その他の資産
投資有価証券264,400280,974280,659269,575252,299272,123276,230298,364425,696435,635480,821
長期貸付金39,40138,40335,28435,28434,35133,30129,49425,69223,33420,11719,055
敷金及び保証金13,05913,02314,28614,18814,59116,45817,33518,57920,09521,07622,417
長期前払費用25,26224,96024,67024,80724,74124,92417,34616,45020,45723,90823,655
退職給付に係る資産30,79635,28241,40938,48831,78939,53247,85255,55169,58373,30084,775
繰延税金資産----31,55425,08527,40727,42623,27626,58320,641
その他16,65613,45113,37414,95612,89912,20412,38613,74013,84914,27915,027
貸倒引当金-15,698-15,990-13,033-13,042-12,647-13,538-12,195-10,900-10,284-9,939-8,908
繰延税金資産8,6029,59212,15027,469-------
投資その他の資産合計382,482399,698408,803411,728389,580410,093415,858444,905586,008604,961657,484
固定資産合計878,293888,367913,521918,346900,656922,145921,553981,5151,143,2011,176,7611,248,473
繰延資産
その他144---------
繰延資産合計144---------
資産合計1,568,0521,650,1761,720,2681,765,1051,815,1211,864,1791,907,7551,989,0622,080,7812,145,5762,230,127
負債の部
流動負債
支払手形及び買掛金41,79444,63543,92945,82647,40942,85844,27146,98541,00341,13048,858
短期借入金55,28344,96941,55839,12638,36433,80632,15929,08526,91031,57728,742
1年内償還予定の社債2,5821,4607952,0092,916439409407398271271
リース債務4,7244,7524,9324,8754,7024,7304,8434,7045,1865,2275,147
未払金38,37637,46940,10242,64542,92742,21543,25744,55151,04347,96448,773
未払法人税等22,34127,55725,89622,76724,74023,44025,04322,76226,89525,85432,156
未払消費税等6,6115,7657,9597,20911,66612,6528,9668,54911,6209,57313,658
未払費用5,5625,3157,0847,3297,2947,8288,43611,31211,17711,35712,038
現金護送業務用預り金101,306107,878113,830121,086118,302119,334118,971118,943123,521121,062125,386
前受契約料31,38930,55230,30930,43831,22430,19238,22837,73037,56538,60139,042
賞与引当金15,52415,44716,20917,25518,21318,29817,96019,65319,79420,64822,822
役員賞与引当金--------718589
工事損失引当金1,3972,5322,4362,9132,3911,8202,1592,3122,3521,6871,561
その他20,73825,59622,49925,97524,12923,48817,04130,48220,80224,28026,844
流動負債合計347,633353,933357,544369,458374,284361,106361,750377,482378,343379,324405,391
固定負債
社債8,2517,0035,3224,7024,1433,8993,4893,0812,6832,4112,139
長期借入金20,03314,12312,72110,0638,67410,44411,65012,34910,92410,1389,648
リース債務11,95411,77711,90211,96011,86512,85415,07714,65722,86322,72022,555
長期預り保証金35,00233,90733,18132,95532,63230,69423,66923,66223,70124,09924,300
繰延税金負債----7,8667,3146,85910,90619,82425,28927,800
役員退職慰労引当金1,3871,3061,4211,046794793842829792814850
退職給付に係る負債22,81622,42821,84922,95323,71022,09821,89623,93522,30821,57222,294
長期前受契約料------16,54516,12115,86816,89116,879
保険契約準備金159,636166,155172,345172,866174,602181,014185,698186,033188,103190,373192,954
その他4,1664,3423,4034,4064,0524,1344,2403,9554,6784,2045,628
繰延税金負債14,02621,94319,3628,735-------
固定負債合計277,274282,989281,510269,691268,343273,248289,969295,533311,749318,515325,052
負債合計624,907636,922639,054639,150642,627634,355651,719673,015690,092697,840730,444
純資産の部
株主資本
資本金66,37766,37766,38566,39266,40166,41066,41966,42766,42766,42766,427
資本剰余金80,32680,29780,32880,36081,87481,80170,33570,34971,77568,86469,628
利益剰余金743,353797,493851,764908,852960,828998,4051,043,7661,100,7911,162,2591,230,6721,302,182
自己株式-73,717-73,731-73,748-73,759-73,775-73,785-79,436-109,224-149,978-176,716-236,671
株主資本合計816,340870,437924,729981,8461,035,3281,072,8321,101,0841,128,3431,150,4831,189,2471,201,567
その他の包括利益累計額
その他有価証券評価差額金19,96425,12523,75918,15712,09522,12220,22018,77140,63738,66165,353
繰延ヘッジ損益-40-30-24-21-15-11-6-3-1020
為替換算調整勘定-2,196-7,954-5,774-10,683-13,388-17,011-5,62710,49722,25934,96035,805
退職給付に係る調整累計額-7834,4239,9336,4211,0964,2476,8656,81510,9957,47811,813
その他の包括利益累計額合計16,94421,56327,89413,873-2129,34621,45136,08173,89081,100112,992
非支配株主持分109,859121,253128,589130,234137,378147,645133,499151,621166,314177,388185,122
純資産合計943,1441,013,2531,081,2131,125,9541,172,4941,229,8241,256,0361,316,0471,390,6891,447,7361,499,682
負債純資産合計1,568,0521,650,1761,720,2681,765,1051,815,1211,864,1791,907,7551,989,0622,080,7812,145,5762,230,127