第一建設工業(1799)の貸借対照表

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第一建設工業(1799)の株価  業績  進捗率の推移

意味貸借対照表は、特定の時点における企業の財務状況を示す決算書類の一つです。投資家や債権者が企業の財務健全性を評価したり、貸借対照表の複数の期間を比較することによって、企業の成長や変化を把握することができます。貸借対照表は、資産、負債、資本の3つのセクションに分かれ、資産の合計が、負債と資本の合計と必ず一致するようにできています。

 貸借対照表  損益計算書


Arrayppp

2026年3月31日

 

 

(単位:千円)

 

前事業年度

(2025年3月31日)

当事業年度

(2026年3月31日)

資産の部

 

 

流動資産

 

 

現金預金

16,361,479

13,838,706

完成工事未収入金

29,030,808

30,241,128

有価証券

1,298,450

1,297,930

販売用不動産

45,121

45,121

未成工事支出金

314,485

155,051

未収入金

627,632

359,640

その他

1,222,064

1,537,874

貸倒引当金

△3,020

△3,130

流動資産合計

48,897,021

47,472,322

固定資産

 

 

有形固定資産

 

 

建物

15,763,863

16,906,456

減価償却累計額

△5,935,704

△6,289,668

建物(純額)

9,828,159

10,616,788

構築物

931,159

1,057,953

減価償却累計額

△449,104

△482,625

構築物(純額)

482,054

575,327

機械及び装置

1,059,631

1,184,004

減価償却累計額

△852,748

△899,691

機械及び装置(純額)

206,883

284,312

車両運搬具

22,593,470

22,731,865

減価償却累計額

△16,442,801

△17,421,735

車両運搬具(純額)

6,150,668

5,310,130

工具器具・備品

778,423

880,683

減価償却累計額

△561,797

△636,966

工具器具・備品(純額)

216,625

243,716

土地

4,204,206

4,202,077

建設仮勘定

251,898

23,320

有形固定資産合計

21,340,495

21,255,674

無形固定資産

 

 

ソフトウエア

79,312

67,163

ソフトウエア仮勘定

352,686

電話加入権

7,642

7,642

その他

38,200

36,312

無形固定資産合計

477,842

111,118

投資その他の資産

 

 

投資有価証券

7,455,064

10,479,964

関係会社株式

4,728,565

5,798,433

破産更生債権等

0

0

長期前払費用

12,845

310,377

その他

1,030,760

912,209

貸倒引当金

△1,060

△1,060

投資その他の資産合計

13,226,175

17,499,925

固定資産合計

35,044,513

38,866,718

資産合計

83,941,535

86,339,041

 

 

(単位:千円)

 

前事業年度

(2025年3月31日)

当事業年度

(2026年3月31日)

負債の部

 

 

流動負債

 

 

工事未払金

4,412,565

4,894,914

未払金

605,398

417,659

未払費用

322,982

393,071

未払法人税等

1,604,537

1,147,425

未払消費税等

976,027

未成工事受入金

976,037

654,173

預り金

688,924

191,615

完成工事補償引当金

108,480

105,710

工事損失引当金

79,130

15,510

賞与引当金

768,022

800,491

役員賞与引当金

31,310

26,881

その他

5,044

流動負債合計

10,573,417

8,652,496

固定負債

 

 

繰延税金負債

198,872

1,619,300

退職給付引当金

641,533

504,478

資産除去債務

430,594

427,102

その他

439,971

432,996

固定負債合計

1,710,971

2,983,877

負債合計

12,284,388

11,636,374

純資産の部

 

 

株主資本

 

 

資本金

3,302,375

3,302,375

資本剰余金

 

 

資本準備金

3,338,395

3,338,395

その他資本剰余金

3,242

38,394

資本剰余金合計

3,341,638

3,376,790

利益剰余金

 

 

利益準備金

321,293

321,293

その他利益剰余金

 

 

買換資産圧縮積立金

149,578

149,471

別途積立金

52,010,000

52,010,000

繰越利益剰余金

11,773,682

14,558,100

利益剰余金合計

64,254,555

67,038,865

自己株式

△3,218,123

△6,004,313

株主資本合計

67,680,445

67,713,718

評価・換算差額等

 

 

その他有価証券評価差額金

3,976,700

6,988,949

評価・換算差額等合計

3,976,700

6,988,949

純資産合計

71,657,146

74,702,667

負債純資産合計

83,941,535

86,339,041


2025年3月31日

 決算短信_20250513084511

3.財務諸表及び主な注記

(1)貸借対照表

 

 

(単位:千円)

 

前事業年度

(2024年3月31日)

当事業年度

(2025年3月31日)

資産の部

 

 

流動資産

 

 

現金預金

15,021,078

16,361,479

完成工事未収入金

26,769,995

29,030,808

有価証券

3,000,000

1,298,450

販売用不動産

45,121

45,121

未成工事支出金

304,205

314,485

未収入金

493,140

627,632

その他

1,185,734

1,222,064

貸倒引当金

2,780

3,020

流動資産合計

46,816,495

48,897,021

固定資産

 

 

有形固定資産

 

 

建物

14,404,251

15,763,863

減価償却累計額

5,508,336

5,935,704

建物(純額)

8,895,914

9,828,159

構築物

873,890

931,159

減価償却累計額

413,654

449,104

構築物(純額)

460,235

482,054

機械及び装置

1,044,611

1,059,631

減価償却累計額

868,236

852,748

機械及び装置(純額)

176,374

206,883

車両運搬具

21,564,248

22,593,470

減価償却累計額

15,522,482

16,442,801

車両運搬具(純額)

6,041,765

6,150,668

工具器具・備品

689,336

778,423

減価償却累計額

517,987

561,797

工具器具・備品(純額)

171,349

216,625

土地

4,218,636

4,204,206

建設仮勘定

298,968

251,898

有形固定資産合計

20,263,243

21,340,495

無形固定資産

 

 

ソフトウエア

98,568

79,312

ソフトウエア仮勘定

139,594

352,686

電話加入権

7,901

7,642

その他

11,393

38,200

無形固定資産合計

257,457

477,842

投資その他の資産

 

 

投資有価証券

7,946,601

7,455,064

関係会社株式

4,676,105

4,728,565

破産更生債権等

0

0

長期前払費用

3,198

12,845

その他

982,164

1,030,760

貸倒引当金

1,925

1,060

投資その他の資産合計

13,606,145

13,226,175

固定資産合計

34,126,845

35,044,513

資産合計

80,943,341

83,941,535

 

 

 

 

(単位:千円)

 

前事業年度

(2024年3月31日)

当事業年度

(2025年3月31日)

負債の部

 

 

流動負債

 

 

工事未払金

5,821,004

4,412,565

未払金

655,063

605,398

未払費用

352,381

322,982

未払法人税等

919,672

1,604,537

未払消費税等

517,118

976,027

未成工事受入金

196,661

976,037

預り金

217,068

688,924

完成工事補償引当金

78,970

108,480

工事損失引当金

463,790

79,130

賞与引当金

725,659

768,022

役員賞与引当金

27,316

31,310

訴訟損失引当金

85,000

流動負債合計

10,059,707

10,573,417

固定負債

 

 

繰延税金負債

146,378

198,872

退職給付引当金

544,716

641,533

資産除去債務

400,842

430,594

その他

452,493

439,971

固定負債合計

1,544,430

1,710,971

負債合計

11,604,138

12,284,388

純資産の部

 

 

株主資本

 

 

資本金

3,302,375

3,302,375

資本剰余金

 

 

資本準備金

3,338,395

3,338,395

その他資本剰余金

1,062

3,242

資本剰余金合計

3,339,458

3,341,638

利益剰余金

 

 

利益準備金

321,293

321,293

その他利益剰余金

 

 

買換資産圧縮積立金

151,062

149,578

別途積立金

52,010,000

52,010,000

繰越利益剰余金

8,086,507

11,773,682

利益剰余金合計

60,568,863

64,254,555

自己株式

1,924,420

3,218,123

株主資本合計

65,286,276

67,680,445

評価・換算差額等

 

 

その他有価証券評価差額金

4,052,926

3,976,700

評価・換算差額等合計

4,052,926

3,976,700

純資産合計

69,339,203

71,657,146

負債純資産合計

80,943,341

83,941,535

 

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2024年3月31日

 決算短信_20240509090159

3.財務諸表及び主な注記

(1)貸借対照表

 

 

(単位:千円)

 

前事業年度

(2023年3月31日)

当事業年度

(2024年3月31日)

資産の部

 

 

流動資産

 

 

現金預金

13,084,626

15,021,078

電子記録債権

1,865

完成工事未収入金

24,216,414

26,769,995

有価証券

3,399,930

3,000,000

販売用不動産

45,121

45,121

未成工事支出金

445,105

304,205

未収入金

960,395

493,140

その他

1,413,535

1,185,734

貸倒引当金

2,600

2,780

流動資産合計

43,564,395

46,816,495

固定資産

 

 

有形固定資産

 

 

建物

11,589,506

14,404,251

減価償却累計額

5,060,756

5,508,336

建物(純額)

6,528,750

8,895,914

構築物

819,524

873,890

減価償却累計額

381,244

413,654

構築物(純額)

438,280

460,235

機械及び装置

995,187

1,044,611

減価償却累計額

845,898

868,236

機械及び装置(純額)

149,289

176,374

車両運搬具

21,459,411

21,564,248

減価償却累計額

14,376,621

15,522,482

車両運搬具(純額)

7,082,789

6,041,765

工具器具・備品

640,647

689,336

減価償却累計額

466,160

517,987

工具器具・備品(純額)

174,487

171,349

土地

4,096,512

4,218,636

リース資産

11,520

減価償却累計額

10,560

リース資産(純額)

960

建設仮勘定

1,909,048

298,968

有形固定資産合計

20,380,118

20,263,243

無形固定資産

 

 

ソフトウエア

136,990

98,568

ソフトウエア仮勘定

139,594

電話加入権

7,901

7,901

その他

12,459

11,393

無形固定資産合計

157,351

257,457

投資その他の資産

 

 

投資有価証券

6,772,097

7,946,601

関係会社株式

3,922,587

4,676,105

破産更生債権等

0

0

長期前払費用

1,592

3,198

繰延税金資産

83,785

その他

668,600

982,164

貸倒引当金

1,925

1,925

投資その他の資産合計

11,446,738

13,606,145

固定資産合計

31,984,208

34,126,845

資産合計

75,548,603

80,943,341

 

 

 

 

(単位:千円)

 

前事業年度

(2023年3月31日)

当事業年度

(2024年3月31日)

負債の部

 

 

流動負債

 

 

工事未払金

4,434,664

5,821,004

リース債務

1,056

未払金

779,233

655,063

未払費用

293,948

352,381

未払法人税等

864,103

919,672

未払消費税等

517,118

未成工事受入金

473,292

196,661

預り金

125,810

217,068

完成工事補償引当金

58,710

78,970

工事損失引当金

950

463,790

賞与引当金

726,310

725,659

役員賞与引当金

42,447

27,316

訴訟損失引当金

85,000

流動負債合計

7,800,527

10,059,707

固定負債

 

 

繰延税金負債

146,378

退職給付引当金

392,077

544,716

資産除去債務

395,760

400,842

その他

448,342

452,493

固定負債合計

1,236,180

1,544,430

負債合計

9,036,707

11,604,138

純資産の部

 

 

株主資本

 

 

資本金

3,302,375

3,302,375

資本剰余金

 

 

資本準備金

3,338,395

3,338,395

その他資本剰余金

85

1,062

資本剰余金合計

3,338,481

3,339,458

利益剰余金

 

 

利益準備金

321,293

321,293

その他利益剰余金

 

 

買換資産圧縮積立金

151,179

151,062

別途積立金

52,010,000

52,010,000

繰越利益剰余金

6,273,825

8,086,507

利益剰余金合計

58,756,298

60,568,863

自己株式

1,731,922

1,924,420

株主資本合計

63,665,233

65,286,276

評価・換算差額等

 

 

その他有価証券評価差額金

2,846,662

4,052,926

評価・換算差額等合計

2,846,662

4,052,926

純資産合計

66,511,895

69,339,203

負債純資産合計

75,548,603

80,943,341

 

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