丹青社

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
資産の部
流動資産
現金預金12,819,35514,196,46811,784,86613,440,2089,894,76715,186,08113,256,52313,443,04713,897,07717,207,221
受取手形・完成工事未収入金等11,211,7488,247,1979,565,1229,001,94214,255,3267,292,74710,744,14415,298,48021,668,09323,152,987
有価証券-1,999,8373,200,8994,200,3164,899,9423,400,0003,200,0003,700,0004,200,000300,000
未成工事支出金等8,308,5957,552,8149,410,9318,340,4639,472,4108,518,4629,982,9461,648,8721,772,2252,708,959
その他535,385412,222511,003460,588427,9231,089,668927,909443,768542,1841,896,228
貸倒引当金-16,592-29,513-33,361-31,359-49,000-29,463-38,539-14,978-13,960-13,581
繰延税金資産790,770644,210763,598691,796------
流動資産合計33,649,26233,023,23735,203,06136,103,95538,901,37035,457,49538,072,98434,519,19042,065,62145,251,816
固定資産
有形固定資産
建物及び構築物(純額)-----533,685523,647502,529439,512488,606
機械、運搬具及び工具器具備品(純額)-----176,497154,302144,941147,051176,658
建設仮勘定-----35,728--1,71460,860
土地58,38358,38358,38358,38358,38358,38358,38358,383--
建物及び構築物796,194823,6331,017,1631,030,390999,730-----
機械、運搬具及び工具器具備品694,325728,340797,098798,185826,575-----
減価償却累計額-424,145-593,826-717,917-855,682-954,538-----
有形固定資産合計1,124,7571,016,5311,154,7271,031,276930,151804,295736,333705,854588,278726,124
無形固定資産229,223187,479133,645153,043235,250192,746212,864242,129243,304280,036
投資その他の資産
投資有価証券3,679,5233,990,5184,060,3093,547,2362,746,0152,478,4292,322,4791,860,6812,816,1242,457,047
繰延税金資産-----48,61841,19014,56734,86835,297
退職給付に係る資産1,789,1221,959,0802,408,1462,459,1182,918,4562,698,3022,966,7903,555,5553,980,4404,327,383
敷金及び保証金768,677841,167823,138748,612747,024667,323661,499649,306717,811776,738
その他878,120986,540865,233337,662346,481289,937305,436365,920349,960396,443
貸倒引当金-576,987-805,498-685,878-117,692-125,576-79,457-74,646-55,164-144,504-55,164
繰延税金資産9,0636,5536,3075,81961,952-----
投資その他の資産合計6,547,5216,978,3617,477,2566,980,7566,694,3556,103,1536,222,7496,390,8687,754,7017,937,747
固定資産合計7,901,5028,182,3728,765,6298,165,0757,859,7567,100,1957,171,9477,338,8528,586,2838,943,908
資産合計41,550,76541,205,61043,968,69044,269,03146,761,12642,557,69145,244,93241,858,04350,651,90554,195,724
負債の部
流動負債
支払手形・工事未払金等9,320,5397,975,4759,322,4317,925,8129,297,7936,354,5648,319,4527,363,53410,960,90710,545,223
未払法人税等311,4471,063,2671,137,357993,4831,037,134681,146839,351153,0331,302,9301,252,851
未成工事受入金3,297,6443,618,2592,814,7383,813,9203,692,2222,084,9852,826,866674,5811,090,7602,500,279
賞与引当金1,101,545852,5861,243,4751,022,8981,425,308947,850959,4971,030,7771,267,2161,933,002
役員賞与引当金59,42734,25965,38517,061109,01066,37742,27510,24561,179121,632
役員株式給付引当金-----110,434--59,498-
完成工事補償引当金62,48297,03353,905126,760113,015107,84696,82883,284160,195190,841
工事損失引当金197,961168,519139,551333,387355,319406,875378,979147,784210,278284,174
その他2,233,3011,704,3791,624,6281,838,9461,728,5332,023,1461,654,7291,775,6002,945,6592,515,698
1年内償還予定の社債100,000600,000500,000-------
短期借入金861,90456,488--------
流動負債合計17,546,25516,170,26816,901,47416,072,26917,758,33612,783,22515,117,98311,238,84118,058,62719,343,704
固定負債
長期借入金100,000100,000-306,980146,150-355,620191,010-668,080
退職給付に係る負債21,33413,80916,06515,85914,54815,61213,74213,49213,14513,859
役員株式給付引当金------66,95767,595-28,248
債務保証損失引当金------74,45460,745-3,205
繰延税金負債-----410,535467,839777,512910,246704,551
その他326,935264,688220,77157,10173,90399,73189,29694,54643,14163,303
役員株式給付引当金----102,882-----
役員退職慰労引当金77,46077,24770,62785,73452,130-----
繰延税金負債956,027969,3551,249,027808,305336,737-----
社債1,100,000500,000--------
固定負債合計2,581,7571,925,1011,556,4911,273,981726,352525,8791,067,9101,204,903966,5331,481,248
負債合計20,128,01318,095,36918,457,96517,346,25018,484,68813,309,10416,185,89412,443,74419,025,16020,824,952
純資産の部
株主資本
資本金4,026,7504,026,7504,026,7504,026,7504,026,7504,026,7504,026,7504,026,7504,026,7504,026,750
資本剰余金4,024,9744,024,9744,024,9744,024,9744,024,9744,024,9744,024,9744,024,9744,024,9744,024,974
利益剰余金12,561,11214,224,95216,147,33818,525,42020,627,89621,949,00721,892,32021,758,27023,086,19325,518,535
自己株式-75,274-76,166-78,165-383,641-785,168-627,267-836,207-653,600-407,367-1,024,770
株主資本合計20,537,56222,200,51024,120,89726,193,50327,894,45329,373,46429,107,83829,156,39430,730,55132,545,490
その他の包括利益累計額
その他有価証券評価差額金1,068,5581,106,8511,394,503953,163714,821555,169598,650652,6411,159,1331,076,457
為替換算調整勘定62,95270,65180,01351,51734,55034,76936,11547,61468,983-
退職給付に係る調整累計額-252,479-267,317-85,387-273,694-367,386-718,365-682,914-442,351-331,924-251,176
繰延ヘッジ損益6,157-455697-1,710-3,549-651---
その他の包括利益累計額合計885,189909,7291,389,827729,276381,984-124,877-48,800257,904896,192825,281
純資産合計21,422,75123,110,24025,510,72426,922,78028,276,43829,248,58629,059,03829,414,29931,626,74433,370,772
負債純資産合計41,550,76541,205,61043,968,69044,269,03146,761,12642,557,69145,244,93241,858,04350,651,90554,195,724