きんでんJP:1944

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¥6228.1億
PER
17.7倍
電気工事、情報通信工事、環境関連工事、内装設備工事、土木工事を手がける。子会社には車両リース・保険代理業、給排水衛生工事、電力・情報通信工事、保守管理、情報通信システム機器販売、風力発電事業などがある。海外では米国、インドネシア、フィリピン、ベトナム、タイ、インド、アラブ首長国連邦で一般電気工事・空調管工事を展開。
2012年
3月31日
2013年
3月31日
2014年
3月31日
2015年
3月31日
2016年
3月31日
2017年
3月31日
2018年
3月31日
2019年
3月31日
2020年
3月31日
2021年
3月31日
2022年
3月31日
2023年
3月31日
現金及び預金-33,89338,31440,03340,43143,78945,87640,25550,79142,42246,28945,361
受取手形・完成工事未収入金等-186,046198,091180,716193,762182,375199,744222,123220,635208,982208,300232,930
受取手形----------22,88330,126
有価証券-49,00040,00057,00070,00099,000102,000110,000107,002136,409152,603152,702
完成工事未収入金----------115,164125,248
未成工事支出金-16,16314,26111,97311,09812,52112,78116,87818,07618,01219,86419,030
材料貯蔵品-1,8961,9392,1381,1931,0741,1681,3501,5022,4401,9682,366
有価証券-49,00040,00057,00070,00099,000102,000110,000107,002136,409152,603152,702
預け金-5,000-5,000----10,00020,00010,00020,000
未成工事支出金-16,16314,26111,97311,09812,52112,78116,87818,07618,01219,86419,030
その他-6,7726,6545,3457,5557,2744,8126,88810,5186,9496,0817,716
材料貯蔵品-1,8961,9392,1381,1931,0741,1681,3501,5022,4401,9682,366
貸倒引当金--6,779-4,174-3,723-3,398-3,311-2,132-1,999-1,725-987-2,280-2,551
預け金-5,000-5,000----10,00020,00010,00020,000
流動資産-298,458301,221302,844325,751347,820369,888395,496416,800434,229442,829477,557
その他-6,7726,6545,3457,5557,2744,8126,88810,5186,9496,0817,716
貸倒引当金--6,779-4,174-3,723-3,398-3,311-2,132-1,999-1,725-987-2,280-2,551
流動資産-298,458301,221302,844325,751347,820369,888395,496416,800434,229442,829477,557
建物及び構築物-86,88587,06587,34389,19491,28391,28791,83696,06796,59797,79799,966
機械装置及び運搬具-36,41336,78937,41438,00138,39138,94539,35840,13040,59641,64942,929
工具、器具及び備品-10,59310,75410,57110,43810,54710,70010,86811,60411,73012,09112,366
土地-56,71057,77857,95657,92757,80657,76657,36057,85158,10958,66759,421
工具、器具及び備品-10,59310,75410,57110,43810,54710,70010,86811,60411,73012,09112,366
建設仮勘定-12-2331,3723236081401801,38724,348
土地-56,71057,77857,95657,92757,80657,76657,36057,85158,10958,66759,421
減価償却累計額--86,457-89,886-92,846-95,090-97,357-99,888-102,449-106,210-108,553-112,029-115,189
建設仮勘定-12-2331,3723236081401801,38724,348
有形固定資産-104,157102,501100,672101,842100,67598,83497,58299,58498,66299,563123,843
有形固定資産-104,157102,501100,672101,842100,67598,83497,58299,58498,66299,563123,843
無形固定資産-1,9161,9691,9121,7481,7792,0412,3515,1364,9158,1457,814
無形固定資産-1,9161,9691,9121,7481,7792,0412,3515,1364,9158,1457,814
投資有価証券-86,94394,769119,920109,221111,473129,157132,342114,032133,796126,744122,189
長期預け金-5,0005,000-----10,000-10,000-
退職給付に係る資産--2934,585----2,7025,7117,2716,527
長期預け金-5,0005,000-----10,000-10,000-
繰延税金資産-------9581,3929921,083994
その他-14,27212,67411,87911,14011,5136,7216,2755,5265,5825,4634,775
貸倒引当金--4,645-3,817-3,773-3,465-3,446-960-941-894-866-841-860
投資その他の資産-105,678112,772136,816118,211119,760135,798138,634132,758145,215149,721133,627
前払年金費用-3,283----------
その他-14,27212,67411,87911,14011,5136,7216,2755,5265,5825,4634,775
貸倒引当金--4,645-3,817-3,773-3,465-3,446-960-941-894-866-841-860
投資その他の資産-105,678112,772136,816118,211119,760135,798138,634132,758145,215149,721133,627
固定資産-211,751217,243239,402221,802222,216236,674238,568237,479248,793257,430265,284
資産-510,209518,464542,246547,554570,037606,335634,064654,279683,022700,259742,841
支払手形・工事未払金等-81,66984,77471,12367,88165,69068,76483,90887,70573,88982,51291,327
短期借入金-16,60016,90317,28916,34016,19016,24015,54015,81716,58915,98815,070
短期借入金-16,60016,90317,28916,34016,19016,24015,54015,81716,58915,98815,070
未払法人税等-6,3247,8358,24110,4239,6648,83810,81412,18311,63811,25312,276
未成工事受入金-11,27912,52510,49310,68614,87314,01713,58010,92516,69411,00820,957
工事損失引当金-3,6582,3201,0065152875344772,4341,4832,5112,456
未払法人税等-6,3247,8358,24110,4239,6648,83810,81412,18311,63811,25312,276
完成工事補償引当金-462539610398660510477605567484602
未成工事受入金-11,27912,52510,49310,68614,87314,01713,58010,92516,69411,00820,957
役員賞与引当金-175190175173186195194225207192190
工事損失引当金-3,6582,3201,0065152875344772,4341,4832,5112,456
その他-20,23823,49521,85029,65328,45827,36729,13339,67741,15535,70838,925
完成工事補償引当金-462539610398660510477605567484602
流動負債-140,407148,585130,790136,072136,011136,468154,127169,575162,225159,661181,806
役員賞与引当金-175190175173186195194225207192190
その他-20,23823,49521,85029,65328,45827,36729,13339,67741,15535,70838,925
流動負債-140,407148,585130,790136,072136,011136,468154,127169,575162,225159,661181,806
繰延税金負債-------2,0913096,8876,9906,202
長期借入金--------26595225
退職給付引当金-15,339----------
繰延税金負債-------2,0913096,8876,9906,202
その他-574371248814474356243260249237277
役員退職慰労引当金-267229231234275297200207224232165
固定負債-21,85228,51533,79634,96034,79636,63929,67120,46927,58828,75528,321
退職給付に係る負債--17,00415,49828,52528,82025,92327,13519,66520,16721,24221,648
その他-574371248814474356243260249237277
固定負債-21,85228,51533,79634,96034,79636,63929,67120,46927,58828,75528,321
負債-162,260177,100164,587171,032170,808173,107183,798190,044189,813188,416210,127
資本金-26,41126,41126,41126,41126,41126,41126,41126,41126,41126,41126,411
資本剰余金-29,84629,65729,65729,63129,62329,62329,18429,13629,14729,14729,147
資本剰余金-29,84629,65729,65729,63129,62329,62329,18429,13629,14729,14729,147
利益剰余金-287,755263,020277,999296,518317,253340,873363,104388,879393,785412,671433,604
利益剰余金-287,755263,020277,999296,518317,253340,873363,104388,879393,785412,671433,604
自己株式--15,881-802-978-1,032-1,041-1,049-1,053-9,810-307-310-731
株主資本-328,132318,287333,089351,528372,246395,858417,646434,617449,037467,920488,431
その他有価証券評価差額金-20,55627,60241,49233,85535,14642,85738,86429,67442,91440,85139,827
繰延ヘッジ損益------------8
評価・換算差額等-19,08421,63342,64323,45525,76936,20931,46528,31643,01843,05743,465
為替換算調整勘定--1,471-347719459-34-343-686-864-1,351-1342,179
退職給付に係る調整累計額---5,621432-10,859-9,343-6,304-6,711-4931,4562,3401,468
評価・換算差額等-19,08421,63342,64323,45525,76936,20931,46528,31643,01843,05743,465
純資産331,111347,949341,364377,659376,521399,228433,227450,265464,235493,209511,843532,713
非支配株主持分---1,9251,5371,2121,1591,1531,3011,152864816
純資産331,111347,949341,364377,659376,521399,228433,227450,265464,235493,209511,843532,713
負債純資産-510,209518,464542,246547,554570,037606,335634,064654,279683,022700,259742,841