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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
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 | | |
現金及び預金 | 5,469,225 | 4,636,165 |
受取手形 | 333,945 | 459,604 |
電子記録債権 | 976,756 | 1,131,052 |
売掛金 | 2,601,195 | 2,596,571 |
有価証券 | 100,000 | 200,000 |
製品 | 414,786 | 851,577 |
仕掛品 | 1,969,750 | 2,115,997 |
原材料及び貯蔵品 | 971,632 | 1,041,707 |
前払費用 | 51,678 | 49,947 |
その他 | 136,752 | 215,428 |
貸倒引当金 | - | △8,200 |
流動資産合計 | 13,025,721 | 13,289,851 |
固定資産 | | |
有形固定資産 | | |
建物 | 3,701,888 | 3,749,835 |
減価償却累計額 | △2,377,238 | △2,475,076 |
建物(純額) | 1,324,650 | 1,274,759 |
構築物 | 816,330 | 820,437 |
減価償却累計額 | △675,797 | △686,234 |
構築物(純額) | 140,532 | 134,202 |
機械及び装置 | 8,632,069 | 9,032,420 |
減価償却累計額 | △7,967,672 | △8,146,753 |
機械及び装置(純額) | 664,396 | 885,667 |
車両運搬具 | 105,232 | 102,602 |
減価償却累計額 | △102,621 | △96,387 |
車両運搬具(純額) | 2,611 | 6,215 |
工具、器具及び備品 | 3,213,615 | 3,239,124 |
減価償却累計額 | △2,960,216 | △2,996,786 |
工具、器具及び備品(純額) | 253,398 | 242,337 |
土地 | 5,817,871 | 5,817,871 |
建設仮勘定 | 325,545 | 62,063 |
有形固定資産合計 | 8,529,007 | 8,423,118 |
無形固定資産 | | |
電話加入権 | 7,949 | 7,949 |
商標権 | 234 | 208 |
ソフトウエア | 10,128 | 410,678 |
ソフトウエア仮勘定 | 424,322 | 18,830 |
無形固定資産合計 | 442,634 | 437,666 |
| | (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) |
投資その他の資産 | | |
投資有価証券 | 1,943,997 | 2,571,210 |
長期預金 | 500,000 | 500,000 |
出資金 | 11,988 | 11,988 |
従業員に対する長期貸付金 | 2,087 | 1,692 |
長期前払費用 | 47,947 | 51,553 |
繰延税金資産 | 369,081 | 215,895 |
その他 | 155,668 | 323,105 |
貸倒引当金 | △27,800 | △27,800 |
投資その他の資産合計 | 3,002,969 | 3,647,645 |
固定資産合計 | 11,974,611 | 12,508,429 |
資産合計 | 25,000,333 | 25,798,281 |
負債の部 | | |
流動負債 | | |
支払手形 | 86,543 | 68,203 |
電子記録債務 | 1,295,679 | 1,091,075 |
買掛金 | 1,505,957 | 1,038,220 |
未払金 | 685,487 | 603,987 |
未払費用 | 140,792 | 144,776 |
未払法人税等 | 133,346 | 179,728 |
契約負債 | 2,432,128 | 2,951,385 |
返金負債 | 138,030 | 151,091 |
預り金 | 15,134 | 15,894 |
賞与引当金 | 249,000 | 284,600 |
製品保証引当金 | 11,064 | 9,100 |
受注損失引当金 | 243,400 | 260,300 |
その他 | 45,859 | 79,344 |
流動負債合計 | 6,982,423 | 6,877,707 |
固定負債 | | |
長期未払金 | 23,300 | 23,300 |
再評価に係る繰延税金負債 | 1,516,173 | 1,516,173 |
退職給付引当金 | 1,436,495 | 1,501,292 |
長期預り保証金 | 228,915 | 229,427 |
その他 | 16,495 | 17,272 |
固定負債合計 | 3,221,378 | 3,287,464 |
負債合計 | 10,203,802 | 10,165,172 |
| | (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) |
純資産の部 | | |
株主資本 | | |
資本金 | 829,055 | 829,055 |
資本剰余金 | | |
資本準備金 | 71,476 | 70,881 |
その他資本剰余金 | - | 7,583 |
資本剰余金合計 | 71,476 | 78,464 |
利益剰余金 | | |
利益準備金 | 154,126 | 154,126 |
その他利益剰余金 | | |
固定資産圧縮積立金 | 16,299 | 14,547 |
別途積立金 | 3,300,000 | 3,300,000 |
繰越利益剰余金 | 6,416,143 | 6,813,749 |
利益剰余金合計 | 9,886,569 | 10,282,423 |
自己株式 | △12,633 | △9,217 |
株主資本合計 | 10,774,467 | 11,180,725 |
評価・換算差額等 | | |
その他有価証券評価差額金 | 696,249 | 1,126,570 |
土地再評価差額金 | 3,301,663 | 3,301,663 |
評価・換算差額等合計 | 3,997,913 | 4,428,233 |
新株予約権 | 24,150 | 24,150 |
純資産合計 | 14,796,530 | 15,633,109 |
負債純資産合計 | 25,000,333 | 25,798,281 |
2025年3月31日
決算短信_202505091608183.財務諸表
(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 | | |
現金及び預金 | 4,898,661 | 5,469,225 |
受取手形 | 660,590 | 333,945 |
電子記録債権 | 609,597 | 976,756 |
売掛金 | 2,148,958 | 2,601,195 |
有価証券 | 100,010 | 100,000 |
製品 | 409,037 | 414,786 |
仕掛品 | 1,461,295 | 1,969,750 |
原材料及び貯蔵品 | 961,433 | 971,632 |
前払費用 | 44,255 | 51,678 |
その他 | 62,675 | 136,752 |
貸倒引当金 | △2,100 | - |
流動資産合計 | 11,354,414 | 13,025,721 |
固定資産 | | |
有形固定資産 | | |
建物 | 3,605,804 | 3,701,888 |
減価償却累計額 | △2,295,818 | △2,377,238 |
建物(純額) | 1,309,986 | 1,324,650 |
構築物 | 794,297 | 816,330 |
減価償却累計額 | △662,151 | △675,797 |
構築物(純額) | 132,146 | 140,532 |
機械及び装置 | 8,507,899 | 8,632,069 |
減価償却累計額 | △7,895,446 | △7,967,672 |
機械及び装置(純額) | 612,453 | 664,396 |
車両運搬具 | 102,622 | 105,232 |
減価償却累計額 | △99,233 | △102,621 |
車両運搬具(純額) | 3,388 | 2,611 |
工具、器具及び備品 | 3,005,921 | 3,213,615 |
減価償却累計額 | △2,869,197 | △2,960,216 |
工具、器具及び備品(純額) | 136,724 | 253,398 |
土地 | 5,817,871 | 5,817,871 |
建設仮勘定 | 382,821 | 325,545 |
有形固定資産合計 | 8,395,392 | 8,529,007 |
無形固定資産 | | |
電話加入権 | 7,949 | 7,949 |
商標権 | - | 234 |
ソフトウエア | 24,687 | 10,128 |
ソフトウエア仮勘定 | 320,047 | 424,322 |
無形固定資産合計 | 352,684 | 442,634 |
| | (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) |
投資その他の資産 | | |
投資有価証券 | 1,627,158 | 1,943,997 |
長期預金 | 500,000 | 500,000 |
出資金 | 11,988 | 11,988 |
従業員に対する長期貸付金 | 1,873 | 2,087 |
長期前払費用 | 29,089 | 47,947 |
繰延税金資産 | 360,346 | 369,081 |
その他 | 146,245 | 155,668 |
貸倒引当金 | △27,800 | △27,800 |
投資その他の資産合計 | 2,648,901 | 3,002,969 |
固定資産合計 | 11,396,978 | 11,974,611 |
資産合計 | 22,751,393 | 25,000,333 |
負債の部 | | |
流動負債 | | |
支払手形 | 113,410 | 86,543 |
電子記録債務 | 1,289,404 | 1,295,679 |
買掛金 | 1,040,522 | 1,505,957 |
未払金 | 464,095 | 685,487 |
未払費用 | 122,163 | 140,792 |
未払法人税等 | 83,931 | 133,346 |
契約負債 | 1,477,855 | 2,432,128 |
返金負債 | 119,886 | 138,030 |
預り金 | 13,043 | 15,134 |
賞与引当金 | 193,000 | 249,000 |
製品保証引当金 | 6,658 | 11,064 |
受注損失引当金 | 161,800 | 243,400 |
その他 | 61,121 | 45,859 |
流動負債合計 | 5,146,894 | 6,982,423 |
固定負債 | | |
長期未払金 | 28,300 | 23,300 |
再評価に係る繰延税金負債 | 1,473,294 | 1,516,173 |
退職給付引当金 | 1,431,454 | 1,436,495 |
偶発損失引当金 | 15,000 | - |
長期預り保証金 | 228,910 | 228,915 |
その他 | 11,590 | 16,495 |
固定負債合計 | 3,188,549 | 3,221,378 |
負債合計 | 8,335,443 | 10,203,802 |
| | (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) |
純資産の部 | | |
株主資本 | | |
資本金 | 824,653 | 829,055 |
資本剰余金 | | |
資本準備金 | 66,479 | 71,476 |
資本剰余金合計 | 66,479 | 71,476 |
利益剰余金 | | |
利益準備金 | 154,126 | 154,126 |
その他利益剰余金 | | |
固定資産圧縮積立金 | 17,805 | 16,299 |
特別償却準備金 | 0 | - |
別途積立金 | 3,300,000 | 3,300,000 |
繰越利益剰余金 | 6,072,446 | 6,416,143 |
利益剰余金合計 | 9,544,378 | 9,886,569 |
自己株式 | △13,204 | △12,633 |
株主資本合計 | 10,422,307 | 10,774,467 |
評価・換算差額等 | | |
その他有価証券評価差額金 | 624,950 | 696,249 |
土地再評価差額金 | 3,344,541 | 3,301,663 |
評価・換算差額等合計 | 3,969,492 | 3,997,913 |
新株予約権 | 24,150 | 24,150 |
純資産合計 | 14,415,949 | 14,796,530 |
負債純資産合計 | 22,751,393 | 25,000,333 |
E0147160180阪神内燃機工業株式会社The Hanshin Diesel Works, Ltd.通期第2号参考様式 [日本基準](非連結)Japan 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2024年3月31日
決算短信_202405090940443.財務諸表
(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 | | |
現金及び預金 | 5,619,634 | 4,898,661 |
受取手形 | 713,122 | 660,590 |
電子記録債権 | 485,101 | 609,597 |
売掛金 | 2,171,841 | 2,148,958 |
有価証券 | - | 100,010 |
製品 | 277,742 | 409,037 |
仕掛品 | 930,175 | 1,461,295 |
原材料及び貯蔵品 | 947,673 | 961,433 |
前払費用 | 42,914 | 44,255 |
その他 | 42,932 | 62,675 |
貸倒引当金 | △2,100 | △2,100 |
流動資産合計 | 11,229,038 | 11,354,414 |
固定資産 | | |
有形固定資産 | | |
建物 | 3,283,776 | 3,605,804 |
減価償却累計額 | △2,203,600 | △2,295,818 |
建物(純額) | 1,080,175 | 1,309,986 |
構築物 | 767,975 | 794,297 |
減価償却累計額 | △646,475 | △662,151 |
構築物(純額) | 121,500 | 132,146 |
機械及び装置 | 8,293,128 | 8,507,899 |
減価償却累計額 | △7,758,520 | △7,895,446 |
機械及び装置(純額) | 534,608 | 612,453 |
車両運搬具 | 98,727 | 102,622 |
減価償却累計額 | △96,860 | △99,233 |
車両運搬具(純額) | 1,867 | 3,388 |
工具、器具及び備品 | 2,989,551 | 3,005,921 |
減価償却累計額 | △2,827,957 | △2,869,197 |
工具、器具及び備品(純額) | 161,594 | 136,724 |
土地 | 5,817,871 | 5,817,871 |
建設仮勘定 | 82,092 | 382,821 |
有形固定資産合計 | 7,799,710 | 8,395,392 |
無形固定資産 | | |
電話加入権 | 7,949 | 7,949 |
ソフトウエア | 40,155 | 24,687 |
ソフトウエア仮勘定 | 190,971 | 320,047 |
無形固定資産合計 | 239,075 | 352,684 |
| | (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) |
投資その他の資産 | | |
投資有価証券 | 1,092,818 | 1,627,158 |
長期預金 | - | 500,000 |
出資金 | 11,988 | 11,988 |
従業員に対する長期貸付金 | 2,330 | 1,873 |
破産更生債権等 | 5,901 | - |
長期前払費用 | 28,344 | 29,089 |
繰延税金資産 | 468,144 | 360,346 |
その他 | 141,359 | 146,245 |
貸倒引当金 | △33,700 | △27,800 |
投資その他の資産合計 | 1,717,187 | 2,648,901 |
固定資産合計 | 9,755,973 | 11,396,978 |
資産合計 | 20,985,012 | 22,751,393 |
負債の部 | | |
流動負債 | | |
支払手形 | 104,312 | 113,410 |
電子記録債務 | 806,166 | 1,289,404 |
買掛金 | 872,047 | 1,040,522 |
未払金 | 308,471 | 464,095 |
未払費用 | 116,487 | 122,163 |
未払法人税等 | 185,426 | 83,931 |
契約負債 | 1,065,580 | 1,477,855 |
返金負債 | 114,329 | 119,886 |
預り金 | 12,359 | 13,043 |
賞与引当金 | 195,000 | 193,000 |
製品保証引当金 | 39,300 | 6,658 |
受注損失引当金 | 74,600 | 161,800 |
その他 | 48,978 | 61,121 |
流動負債合計 | 3,943,059 | 5,146,894 |
固定負債 | | |
長期未払金 | 28,300 | 28,300 |
再評価に係る繰延税金負債 | 1,473,294 | 1,473,294 |
退職給付引当金 | 1,410,458 | 1,431,454 |
偶発損失引当金 | 15,000 | 15,000 |
長期預り保証金 | 229,905 | 228,910 |
その他 | 31,728 | 11,590 |
固定負債合計 | 3,188,687 | 3,188,549 |
負債合計 | 7,131,747 | 8,335,443 |
| | (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) |
純資産の部 | | |
株主資本 | | |
資本金 | 820,248 | 824,653 |
資本剰余金 | | |
資本準備金 | 62,074 | 66,479 |
資本剰余金合計 | 62,074 | 66,479 |
利益剰余金 | | |
利益準備金 | 154,126 | 154,126 |
その他利益剰余金 | | |
固定資産圧縮積立金 | 19,329 | 17,805 |
特別償却準備金 | 197 | 0 |
別途積立金 | 3,300,000 | 3,300,000 |
繰越利益剰余金 | 5,776,092 | 6,072,446 |
利益剰余金合計 | 9,249,746 | 9,544,378 |
自己株式 | △13,032 | △13,204 |
株主資本合計 | 10,119,036 | 10,422,307 |
評価・換算差額等 | | |
その他有価証券評価差額金 | 365,535 | 624,950 |
土地再評価差額金 | 3,344,541 | 3,344,541 |
評価・換算差額等合計 | 3,710,077 | 3,969,492 |
新株予約権 | 24,150 | 24,150 |
純資産合計 | 13,853,264 | 14,415,949 |
負債純資産合計 | 20,985,012 | 22,751,393 |
E0147160180阪神内燃機工業株式会社The Hanshin Diesel Works, Ltd.通期第2号参考様式 [日本基準](非連結)Japan 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