ダイコー通産
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指標

自己資本比率
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

2019-05千円
2020-05千円
2021-05千円
2022-05千円
2023-05千円
2024-05千円
2025-05千円
2026-05千円
資産の部
流動資産
現金及び預金5,085,7905,835,8416,129,6916,400,0664,812,7656,462,3097,399,4688,003,780
受取手形1,273,5991,645,3051,875,0561,024,6841,445,537722,437409,972105,157
電子記録債権-----413,293855,789843,003
売掛金2,279,1112,907,9962,474,7432,824,4392,564,4002,739,6012,911,7192,579,162
リース投資資産17,2568,1122,552---1,43711,710
商品890,074955,9771,036,0031,431,5971,521,3011,234,8981,450,9271,600,039
貯蔵品----4,8413,9511,8745,757
前渡金--2,0112,4457,93014,9612,7512,933
前払費用13,46713,75013,58815,85016,56714,71215,56018,517
その他8,2948,4888,48233,2766,38716,8856,62420,777
貸倒引当金-7,754-8,851-5,702-4,503-1,684-1,474-1,588-1,345
流動資産合計9,559,84011,366,62011,536,42611,727,85610,378,04611,621,57513,054,53613,189,493
固定資産
有形固定資産
建物771,134771,074858,437858,437858,4371,518,4431,535,7011,535,701
減価償却累計額-350,538-371,038-392,182-416,869-441,055-463,262-510,660-557,695
建物(純額)420,596400,036466,255441,567417,3821,055,1801,025,040978,005
構築物96,15496,154114,805114,805114,805143,363146,652146,652
減価償却累計額-73,492-77,058-80,644-85,888-90,671-92,233-96,622-102,532
構築物(純額)22,66219,09634,16128,91724,13451,12950,02944,120
機械及び装置-----13,60013,60013,600
減価償却累計額------133-1,722-3,124
機械及び装置(純額)-----13,46611,87710,475
工具、器具及び備品27,78828,45329,74030,32825,45328,80028,80031,905
減価償却累計額-22,874-24,856-25,291-25,849-21,509-21,577-23,119-24,741
工具、器具及び備品(純額)4,9143,5964,4484,4783,9437,2235,6817,163
土地1,025,3631,025,3631,176,0641,738,8041,816,0741,816,0741,929,7501,938,481
リース資産40,74744,58444,58466,95643,80443,80438,88738,887
減価償却累計額-21,016-21,572-29,428-35,086-19,289-25,955-21,552-27,919
リース資産(純額)19,73123,01215,15531,87024,51517,84917,33410,967
建設仮勘定----6,536-4,861-
その他--------
その他(純額)--------
有形固定資産合計1,493,2671,471,1051,696,0842,245,6382,292,5862,960,9233,044,5762,989,214
無形固定資産
ソフトウエア27-9447-935561,253
リース資産6,0092,58364511,65512,0698,4854,9021,318
その他2,5162,4833,5203,3053,0912,8762,6612,456
無形固定資産合計8,5545,0664,26015,00715,16011,4558,1205,027
投資その他の資産
投資有価証券40,46433,13736,81141,275541,749546,905549,000560,407
出資金--8,7108,7108,7108,7108,7108,710
長期貸付金---3,2893,2893,2893,2893,289
保険積立金593,419636,324656,202699,106732,898742,265748,835750,716
破産更生債権等22,5981,2632892063,9953,8543,8003,648
長期前払費用46,82157,40723,32222,97822,71922,76625,60028,959
繰延税金資産-130,73590,61084,50783,02980,809116,324136,508
その他52,17444,77339,65139,97639,51938,32737,71637,373
貸倒引当金-31,798-10,463-9,889-9,806-17,397-13,455-13,401-13,249
繰延税金資産70,549-------
投資その他の資産合計794,230893,178845,708890,2431,418,5141,433,4721,479,8751,516,362
固定資産合計2,296,0522,369,3512,546,0543,150,8903,726,2614,405,8524,532,5714,510,604
資産合計11,855,89313,735,97114,082,48014,878,74614,104,30816,027,42717,587,10717,700,098
負債の部
流動負債
支払手形3,780,4524,569,1474,874,8354,773,0413,909,3172,315,889126,356109,334
電子記録債務-----2,133,2355,113,7884,927,950
買掛金1,111,0071,739,6541,153,2051,680,6231,557,4022,184,5912,045,3901,811,227
1年内返済予定の長期借入金55,56165,66369,21669,21669,21651,49251,49255,783
リース債務10,92010,4925,07010,21010,24912,65310,0967,207
未払金34,58591,61256,92851,40442,52446,24185,159101,233
未払費用123,466176,474230,037217,241195,130134,537210,655306,528
前受金--13,10079,3778,40013,17330,68945,657
前受収益--583583583583583583
未払法人税等149,240137,758252,415185,188140,235152,432284,321215,819
未払消費税等38,57764,17279,65619,52455,31617,843111,92681,754
賞与引当金13,95515,84014,55915,63016,01316,14815,89616,059
預り金-----23,00426,5751,222
その他30,1527,1503,2794,8072,7982,8923,5303,530
短期借入金--------
デリバティブ負債--------
流動負債合計5,347,9186,877,9676,752,8897,106,8486,007,1877,104,7188,116,4617,683,890
固定負債
長期借入金381,374315,711369,042299,826230,610712,456665,255609,472
リース債務12,23214,3379,26733,43526,39713,74312,3475,140
退職給付引当金51,51067,93273,60994,869121,511117,875141,336177,061
役員退職慰労引当金338,891347,653157,025173,675190,805206,959224,241190,855
その他29,25419,21620,21618,78316,78315,98315,48416,484
固定負債合計813,262764,849629,159620,588586,1061,067,0171,058,664999,013
負債合計6,161,1807,642,8167,382,0487,727,4366,593,2948,171,7359,175,1258,682,903
純資産の部
株主資本
資本金583,663583,663583,663583,663583,663583,663583,663583,663
資本剰余金
資本準備金462,821462,821462,821462,821462,821462,821462,821462,821
資本剰余金合計462,821462,821462,821462,821462,821462,821462,821462,821
利益剰余金
利益準備金28,52628,52628,52628,52628,52628,52628,52628,526
その他利益剰余金
固定資産圧縮積立金1,3471,3471,3471,3471,3471,3473,1312,916
別途積立金410,000410,000410,000410,000410,000410,000410,000410,000
繰越利益剰余金4,205,9714,603,2955,206,9165,654,5826,013,6966,354,4666,907,7327,503,515
利益剰余金合計4,645,8465,043,1695,646,7906,094,4576,453,5706,794,3407,349,3907,944,959
自己株式-56-56-255-255-255-255-255-255
株主資本合計5,692,2766,089,5996,693,0207,140,6877,499,8007,840,5708,395,6208,991,189
評価・換算差額等
その他有価証券評価差額金2,4363,5547,41110,62211,21315,12116,36126,005
評価・換算差額等合計2,4363,5547,41110,62211,21315,12116,36126,005
純資産合計5,694,7126,093,1546,700,4327,151,3107,511,0147,855,6928,411,9829,017,194
負債純資産合計11,855,89313,735,97114,082,48014,878,74614,104,30816,027,42717,587,10717,700,098