英和

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
2022-03千円
2023-03千円
2024-03千円
2025-03千円
2026-03千円
資産の部
流動資産
現金及び預金3,820,2263,653,0803,382,0413,701,8594,491,0886,452,6476,621,7846,487,5896,554,5976,108,3525,052,612
受取手形、売掛金及び契約資産------13,960,37516,249,72815,720,11715,976,03415,441,162
電子記録債権--2,042,7792,221,8651,873,9442,098,7142,524,4642,553,3603,134,2514,136,0623,936,713
有価証券---100,010100,080120,172----237,473
商品及び製品544,569456,562487,657558,994814,367577,3631,198,6971,903,1831,876,5111,936,6201,637,461
仕掛品19,75913,89438,35324,13618,84827,70020,91617,00212,44113,06318,695
原材料28,70940,36339,09366,58447,84631,09231,81745,88331,01534,27728,788
その他78,872145,279117,969224,448260,439180,967364,498329,741150,940413,1061,264,665
貸倒引当金-1,415-1,398-1,561-1,643-1,618-11,564-1,623-1,774-1,815-1,948-2,192
受取手形及び売掛金13,368,39014,393,08313,725,90914,441,79614,823,45514,982,104-----
繰延税金資産165,477173,188194,044--------
リース投資資産-----------
流動資産合計18,024,59018,874,05320,026,28721,338,05222,428,45224,459,19824,720,93227,584,71527,478,05828,615,56927,615,380
固定資産
有形固定資産
建物及び構築物1,600,6431,598,5151,601,0951,605,7761,608,3051,620,4801,671,3261,849,5781,857,7751,896,4011,940,222
減価償却累計額及び減損損失累計額-1,155,456-1,169,311-1,195,935-1,218,910-1,239,299-1,260,462-1,245,392-1,241,996-1,275,217-1,273,309-1,306,535
建物及び構築物(純額)445,186429,203405,160386,866369,005360,018425,934607,581582,557623,092633,687
土地967,349967,349967,349899,349899,349899,349899,349899,349899,349899,349899,349
リース資産-19,58419,58419,58434,16534,16534,16534,16534,16534,16534,165
減価償却累計額及び減損損失累計額--3,264-6,528-9,792-14,266-19,613-24,960-27,043-29,126-31,209-33,293
リース資産(純額)-16,32013,0569,79219,89914,5529,2057,1225,0392,956872
その他234,201246,064250,620248,963244,040232,645379,962214,359206,776208,501217,894
減価償却累計額及び減損損失累計額-188,554-203,540-211,952-193,455-194,995-197,958-206,801-178,735-178,569-173,850-173,665
その他(純額)45,64742,52338,66755,50849,04534,687173,16035,62428,20734,65044,229
有形固定資産合計1,458,1831,455,3961,424,2331,351,5151,337,2991,308,6071,507,6491,549,6771,515,1531,560,0481,578,139
無形固定資産125,63788,59451,42532,15735,450165,670146,871129,21197,85666,26769,090
投資その他の資産
投資有価証券523,687721,874902,199671,915580,960609,146812,8191,124,2751,465,7881,426,9891,522,568
繰延税金資産----402,403359,633300,813300,01688,015215,18461,574
保険積立金689,103714,179645,898606,579577,884598,239628,639619,856618,551659,431704,530
退職給付に係る資産--------316,558219,019614,663
その他317,867314,570313,485293,525313,372352,864330,453345,465406,320408,693665,279
貸倒引当金-50,064-50,054-47,526-47,501-47,501-79,785-49,193-47,099-47,099-47,581-47,099
繰延税金資産180,348136,832108,128365,160-------
投資その他の資産合計1,660,9421,837,4021,922,1851,889,6791,827,1201,840,0972,023,5322,342,5132,848,1352,881,7363,521,516
固定資産合計3,244,7633,381,3933,397,8443,273,3533,199,8703,314,3753,678,0534,021,4014,461,1454,508,0525,168,746
資産合計21,269,35422,255,44723,424,13224,611,40525,628,32327,773,57428,398,98531,606,11731,939,20433,123,62232,784,126
負債の部
流動負債
支払手形及び買掛金10,344,40210,893,4706,069,4956,263,0536,750,4057,494,5126,802,1777,804,8116,373,1246,460,4406,736,354
電子記録債務--5,457,5615,603,6125,252,0615,635,9115,975,7096,358,5426,797,8646,576,1153,819,197
短期借入金---50,00050,00050,000200,000150,00050,00050,00050,000
1年内返済予定の長期借入金410,000260,000768,246241,664126,664431,672160,000126,664446,66448,67465,324
未払法人税等200,173242,018294,394323,092415,832386,147222,018476,897433,472662,488603,037
未払消費税等51,67784,99359,61281,103148,056184,04314,164133,545262,545170,980188,464
賞与引当金398,613409,071458,873451,172476,378508,162489,659561,434624,130714,662880,450
役員賞与引当金22,50022,50037,70061,20063,23084,16355,85056,31066,25085,25093,250
リース債務-3,2643,2643,2645,5145,5142,2502,2502,2502,250948
その他239,565314,841316,157463,560371,769457,232854,6041,236,904941,4041,171,9251,125,514
流動負債合計11,666,93212,230,15813,465,30313,541,72313,659,91315,237,35914,776,43516,907,36115,997,70715,942,78613,562,541
固定負債
長期借入金880,564770,388100,000558,336531,672100,000440,000463,33816,67468,00072,129
退職給付に係る負債454,175354,649299,100464,354516,957395,253252,526124,66425,10219,63022,506
リース債務-13,0569,7926,52815,4679,9527,7015,4503,199948-
その他76,9684,343166,278139,887128,098129,085119,424135,500135,500135,500136,266
役員退職慰労引当金183,931196,42924,89525,44725,85026,38026,910----
繰延税金負債1,6695,89011,955--------
固定負債合計1,597,3091,344,756612,0211,194,5531,218,045660,671846,562728,953180,476224,079230,902
負債合計13,264,24113,574,91514,077,32514,736,27614,877,95915,898,03115,622,99717,636,31416,178,18416,166,86513,793,443
純資産の部
株主資本
資本金1,533,4001,533,4001,533,4001,533,4001,533,4001,533,4001,533,4001,533,4001,533,4001,533,4001,533,400
資本剰余金1,567,5501,567,5501,567,5501,567,5501,567,5501,567,5501,567,5501,567,5501,567,5501,567,5501,567,550
利益剰余金4,906,7705,451,3426,007,3886,783,8457,676,8148,638,8869,404,93010,478,97111,779,90013,196,17214,728,413
自己株式-50,761-50,822-50,822-50,923-51,074-51,127-51,127-51,152-51,152-51,511-51,583
株主資本合計7,956,9588,501,4699,057,5159,833,87210,726,69011,688,70912,454,75313,528,76814,829,69816,245,61117,777,780
その他の包括利益累計額
その他有価証券評価差額金44,372114,620169,75669,02376,973143,368142,501196,550434,686312,399563,597
為替換算調整勘定16,18511,99613,11310,7071,7623,91727,21338,41850,32471,45783,516
退職給付に係る調整累計額-12,40452,445106,421-38,474-55,06239,546151,520206,064446,311327,288565,788
その他の包括利益累計額合計48,153179,062289,29141,25623,673186,833321,234441,033931,321711,1451,212,902
純資産合計8,005,1128,680,5329,346,8079,875,12810,750,36311,875,54212,775,98813,969,80215,761,01916,956,75618,990,682
負債純資産合計21,269,35422,255,44723,424,13224,611,40525,628,32327,773,57428,398,98531,606,11731,939,20433,123,62232,784,126