タカキタ(6325)の貸借対照表

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タカキタ(6325)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


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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

1,773,021

1,666,676

受取手形

51,182

21,792

電子記録債権

1,379,071

1,171,532

売掛金

932,878

1,074,262

商品及び製品

953,176

816,405

仕掛品

179,041

143,617

原材料及び貯蔵品

351,119

334,186

前払費用

19,790

19,197

未収入金

534,819

422,829

未収還付法人税等

-

5,883

未収消費税等

12,647

-

前渡金

5,178

761

その他

1,294

803

流動資産合計

6,193,221

5,677,948

固定資産

 

 

有形固定資産

 

 

建物

2,427,750

2,430,554

減価償却累計額

△1,138,517

△1,214,801

建物(純額)

1,289,233

1,215,753

構築物

449,082

449,509

減価償却累計額

△302,553

△320,150

構築物(純額)

146,528

129,358

機械及び装置

2,455,138

2,565,410

減価償却累計額

△2,263,471

△2,162,808

機械及び装置(純額)

191,667

402,602

車両運搬具

103,806

104,160

減価償却累計額

△89,160

△91,489

車両運搬具(純額)

14,646

12,670

工具、器具及び備品

745,394

731,580

減価償却累計額

△665,755

△652,020

工具、器具及び備品(純額)

79,639

79,560

土地

559,638

559,638

リース資産

78,157

78,157

減価償却累計額

△39,752

△54,891

リース資産(純額)

38,404

23,265

建設仮勘定

17,906

94

有形固定資産合計

2,337,663

2,422,943

無形固定資産

 

 

ソフトウエア

73,932

97,058

ソフトウエア仮勘定

31,450

2,300

無形固定資産合計

105,382

99,358

投資その他の資産

 

 

投資有価証券

829,267

1,100,108

出資金

7,130

7,030

関係会社出資金

152,512

94,815

前払年金費用

81,676

234,212

長期前払費用

11,402

21,013

差入保証金

1,037

1,018

敷金

3,816

3,463

投資不動産

175,180

175,180

その他

31,805

17,483

貸倒引当金

△555

△555

投資その他の資産合計

1,293,272

1,653,771

固定資産合計

3,736,319

4,176,074

資産合計

9,929,540

9,854,022

 

 

(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

 

 

支払手形

694

261

電子記録債務

388,504

131,136

買掛金

158,817

294,090

短期借入金

70,000

70,000

未払金

117,255

66,139

未払費用

150,047

156,437

未払法人税等

76,434

-

未払消費税等

-

87,446

契約負債

3,521

29,446

預り金

9,338

8,456

製品保証引当金

17,495

19,504

賞与引当金

105,603

91,432

設備関係電子記録債務

607,219

266,491

リース債務

15,139

13,721

その他

86

39

流動負債合計

1,720,158

1,234,602

固定負債

 

 

長期預り保証金

10,988

10,888

リース債務

23,265

9,544

役員退職慰労引当金

4,100

4,100

繰延税金負債

81,538

218,119

固定負債合計

119,892

242,651

負債合計

1,840,050

1,477,254

純資産の部

 

 

株主資本

 

 

資本金

1,350,000

1,350,000

資本剰余金

 

 

資本準備金

825,877

825,877

その他資本剰余金

46,176

46,176

資本剰余金合計

872,053

872,053

利益剰余金

 

 

利益準備金

204,500

204,500

その他利益剰余金

 

 

別途積立金

5,300,000

5,800,000

繰越利益剰余金

701,288

294,014

利益剰余金合計

6,205,788

6,298,514

自己株式

△792,166

△792,179

株主資本合計

7,635,675

7,728,388

評価・換算差額等

 

 

その他有価証券評価差額金

381,871

571,722

繰延ヘッジ損益

△60

△26

評価・換算差額等合計

381,811

571,695

新株予約権

72,003

76,683

純資産合計

8,089,490

8,376,767

負債純資産合計

9,929,540

9,854,022


2025年3月31日

 決算短信_20250430120224

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

 

 

現金及び預金

1,136,022

1,773,021

受取手形

55,338

51,182

電子記録債権

1,846,467

1,379,071

売掛金

1,335,059

932,878

商品及び製品

999,975

953,176

仕掛品

176,743

179,041

原材料及び貯蔵品

405,058

351,119

前払費用

17,667

19,790

未収入金

602,742

534,819

未収消費税等

-

12,647

前渡金

11,110

5,178

その他

1,149

1,294

流動資産合計

6,587,336

6,193,221

固定資産

 

 

有形固定資産

 

 

建物

2,005,065

2,427,750

減価償却累計額

△1,104,194

△1,138,517

建物(純額)

900,870

1,289,233

構築物

368,017

449,082

減価償却累計額

△298,531

△302,553

構築物(純額)

69,485

146,528

機械及び装置

2,420,390

2,455,138

減価償却累計額

△2,224,397

△2,263,471

機械及び装置(純額)

195,993

191,667

車両運搬具

95,276

103,806

減価償却累計額

△82,800

△89,160

車両運搬具(純額)

12,475

14,646

工具、器具及び備品

771,798

745,394

減価償却累計額

△737,189

△665,755

工具、器具及び備品(純額)

34,609

79,639

土地

559,638

559,638

リース資産

72,567

78,157

減価償却累計額

△31,431

△39,752

リース資産(純額)

41,135

38,404

建設仮勘定

40,085

17,906

有形固定資産合計

1,854,294

2,337,663

無形固定資産

 

 

ソフトウエア

117,537

73,932

ソフトウエア仮勘定

-

31,450

無形固定資産合計

117,537

105,382

投資その他の資産

 

 

投資有価証券

1,278,321

829,267

出資金

7,260

7,130

関係会社出資金

152,512

152,512

前払年金費用

-

81,676

長期前払費用

6,128

11,402

差入保証金

1,059

1,037

敷金

4,799

3,816

投資不動産

175,180

175,180

その他

46,127

31,805

貸倒引当金

△555

△555

投資その他の資産合計

1,670,834

1,293,272

固定資産合計

3,642,666

3,736,319

資産合計

10,230,003

9,929,540

 

 

 

 

(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

 

 

支払手形

6,267

694

電子記録債務

1,034,286

388,504

買掛金

274,289

158,817

短期借入金

70,000

70,000

未払金

105,539

117,255

未払費用

187,764

150,047

未払法人税等

213,143

76,434

未払消費税等

40,322

-

契約負債

8,891

3,521

預り金

28,085

9,338

製品保証引当金

34,780

17,495

賞与引当金

123,975

105,603

設備関係支払手形

5,575

-

設備関係電子記録債務

20,685

607,219

リース債務

12,883

15,139

その他

-

86

流動負債合計

2,166,491

1,720,158

固定負債

 

 

長期預り保証金

10,988

10,988

リース債務

28,252

23,265

退職給付引当金

21,101

-

役員退職慰労引当金

4,100

4,100

繰延税金負債

149,169

81,538

固定負債合計

213,612

119,892

負債合計

2,380,103

1,840,050

純資産の部

 

 

株主資本

 

 

資本金

1,350,000

1,350,000

資本剰余金

 

 

資本準備金

825,877

825,877

その他資本剰余金

6,319

46,176

資本剰余金合計

832,196

872,053

利益剰余金

 

 

利益準備金

204,500

204,500

その他利益剰余金

 

 

別途積立金

4,800,000

5,300,000

繰越利益剰余金

802,274

701,288

利益剰余金合計

5,806,774

6,205,788

自己株式

△850,692

△792,166

株主資本合計

7,138,278

7,635,675

評価・換算差額等

 

 

その他有価証券評価差額金

647,021

381,871

繰延ヘッジ損益

271

△60

評価・換算差額等合計

647,292

381,811

新株予約権

64,328

72,003

純資産合計

7,849,899

8,089,490

負債純資産合計

10,230,003

9,929,540

 

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2024年3月31日

 決算短信_20240430085036

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

 

 

現金及び預金

778,284

1,136,022

受取手形

77,025

55,338

電子記録債権

1,467,208

1,846,467

売掛金

1,383,642

1,335,059

商品及び製品

809,477

999,975

仕掛品

184,583

176,743

原材料及び貯蔵品

417,600

405,058

前払費用

11,393

17,667

未収入金

519,156

602,742

前渡金

12,680

11,110

その他

917

1,149

流動資産合計

5,661,969

6,587,336

固定資産

 

 

有形固定資産

 

 

建物

2,002,792

2,005,065

減価償却累計額

△1,046,271

△1,104,194

建物(純額)

956,520

900,870

構築物

366,776

368,017

減価償却累計額

△284,954

△298,531

構築物(純額)

81,821

69,485

機械及び装置

2,412,270

2,420,390

減価償却累計額

△2,173,329

△2,224,397

機械及び装置(純額)

238,940

195,993

車両運搬具

88,849

95,276

減価償却累計額

△85,669

△82,800

車両運搬具(純額)

3,179

12,475

工具、器具及び備品

780,077

771,798

減価償却累計額

△740,355

△737,189

工具、器具及び備品(純額)

39,722

34,609

土地

559,638

559,638

リース資産

72,567

72,567

減価償却累計額

△17,822

△31,431

リース資産(純額)

54,744

41,135

建設仮勘定

1,878

40,085

有形固定資産合計

1,936,444

1,854,294

無形固定資産

 

 

ソフトウエア

164,915

117,537

ソフトウエア仮勘定

11,844

-

無形固定資産合計

176,759

117,537

投資その他の資産

 

 

投資有価証券

929,979

1,278,321

出資金

7,260

7,260

関係会社出資金

152,512

152,512

長期前払費用

7,498

6,128

差入保証金

1,057

1,059

敷金

5,208

4,799

投資不動産

175,180

175,180

その他

60,449

46,127

貸倒引当金

△555

△555

投資その他の資産合計

1,338,592

1,670,834

固定資産合計

3,451,796

3,642,666

資産合計

9,113,766

10,230,003

 

 

 

 

(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

 

 

支払手形

6,372

6,267

電子記録債務

721,135

1,034,286

買掛金

382,257

274,289

短期借入金

70,000

70,000

未払金

54,425

105,539

未払費用

176,730

187,764

未払法人税等

115,550

213,143

未払消費税等

53,234

40,322

契約負債

102,145

8,891

預り金

9,778

28,085

製品保証引当金

-

34,780

賞与引当金

128,716

123,975

設備関係支払手形

1,052

5,575

設備関係電子記録債務

15,958

20,685

リース債務

13,608

12,883

流動負債合計

1,850,968

2,166,491

固定負債

 

 

長期預り保証金

11,088

10,988

リース債務

41,135

28,252

退職給付引当金

129,387

21,101

役員退職慰労引当金

4,100

4,100

繰延税金負債

24,546

149,169

固定負債合計

210,258

213,612

負債合計

2,061,226

2,380,103

純資産の部

 

 

株主資本

 

 

資本金

1,350,000

1,350,000

資本剰余金

 

 

資本準備金

825,877

825,877

その他資本剰余金

6,319

6,319

資本剰余金合計

832,196

832,196

利益剰余金

 

 

利益準備金

204,500

204,500

その他利益剰余金

 

 

別途積立金

4,500,000

4,800,000

繰越利益剰余金

553,673

802,274

利益剰余金合計

5,258,173

5,806,774

自己株式

△850,692

△850,692

株主資本合計

6,589,677

7,138,278

評価・換算差額等

 

 

その他有価証券評価差額金

404,333

647,021

繰延ヘッジ損益

164

271

評価・換算差額等合計

404,497

647,292

新株予約権

58,364

64,328

純資産合計

7,052,539

7,849,899

負債純資産合計

9,113,766

10,230,003

 

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