ダイヘンJP:6622

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¥1689.8億
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23.6倍
変圧器、溶接機、産業用ロボット、プラズマ発生用電源、クリーン搬送ロボットの製造、販売、修理を手掛ける。
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
2024年
3月31日
現金及び預金-7,3338,83411,64312,59314,43214,43012,60215,01919,26124,82215,26523,327
受取手形----------7,3188,2194,034
受取手形及び売掛金-23,24128,06531,82433,14035,27939,65837,76138,34940,94936,97044,80157,746
売掛金----------29,65136,58248,072
商品及び製品-11,19811,31013,01314,09413,07214,39417,32914,88315,67320,93924,43030,679
商品及び製品-11,19811,31013,01314,09413,07214,39417,32914,88315,67320,93924,43030,679
仕掛品-5,3686,4047,2707,9149,43710,46210,5819,8869,91212,39014,84016,793
仕掛品-5,3686,4047,2707,9149,43710,46210,5819,8869,91212,39014,84016,793
原材料及び貯蔵品-9,5129,92711,86711,22612,24315,67318,44017,32616,19627,11939,36451,540
原材料及び貯蔵品-9,5129,92711,86711,22612,24315,67318,44017,32616,19627,11939,36451,540
その他-1,4252,2852,8063,3914,7064,9493,5833,1083,8725,9235,7027,666
短期貸付金-----------6,57513,729
貸倒引当金--72-48-54-50-40-45-51-49-574-431-481-785
その他-1,4252,2852,8063,3914,7064,9493,5833,1083,8725,9235,7027,666
流動資産-59,71968,90280,56084,38091,370101,711100,24798,525105,290127,735143,924186,968
貸倒引当金--72-48-54-50-40-45-51-49-574-431-481-785
流動資産-59,71968,90280,56084,38091,370101,711100,24798,525105,290127,735143,924186,968
建物(純額)-----------10,88010,562
建物及び構築物-30,32431,29731,94035,15435,03642,14444,64645,50646,93947,71648,60156,870
減価償却累計額--17,741-18,813-19,814-22,276-22,780-23,660-24,540-25,708-26,846-28,227-29,466-36,229
建物及び構築物(純額)-12,58312,48312,12512,87712,25518,48320,10519,79720,09219,48919,13420,640
構築物(純額)-----------497480
機械装置及び運搬具-29,07430,88132,53735,71536,60138,75939,98842,00342,44043,48045,90855,956
減価償却累計額--23,679-25,293-26,567-29,214-29,821-31,224-32,591-34,985-35,961-37,236-39,473-47,705
機械装置及び運搬具(純額)-5,3955,5885,9696,5006,7797,5347,3967,0176,4786,2436,4358,251
機械及び装置(純額)-----------2,0262,196
工具、器具及び備品-8,8588,6918,96110,20710,45811,44312,21412,61113,21414,13514,72817,329
減価償却累計額--8,139-7,880-8,010-8,958-9,164-9,519-10,175-10,762-11,359-12,128-12,831-15,279
工具、器具及び備品(純額)-7188109511,2481,2931,9232,0381,8481,8552,0061,8972,049
車両運搬具(純額)-----------1412
土地-6,4506,4896,5659,2639,1739,3278,6538,7838,8028,7918,92113,161
工具、器具及び備品(純額)-7188109511,2481,2931,9232,0381,8481,8552,0061,8972,049
リース資産-5058097129361,0771,1711,2891,3961,3391,3411,4691,476
減価償却累計額--310-391-256-340-471-591-759-901-946-997-1,067-1,130
リース資産(純額)-195418456596605580530494392343402345
土地-6,4506,4896,5659,2639,1739,3278,6538,7838,8028,7918,92113,161
建設仮勘定-4862606051,3755,2092,3072,4252,0751,1481,2541,2644,437
リース資産(純額)-195418456596605580530494392343402345
有形固定資産-25,82926,05026,67331,86235,31740,15841,14940,01738,77138,12838,05548,886
建設仮勘定-4862606051,3755,2092,3072,4252,0751,1481,2541,2644,437
有形固定資産-25,82926,05026,67331,86235,31740,15841,14940,01738,77138,12838,05548,886
ソフトウエア-3,2322,7492,1421,9101,7461,8311,8651,7121,6211,7621,8982,055
のれん-244164611051-----2,040
リース資産-181712473739634930176-
ソフトウエア-3,2322,7492,1421,9101,7461,8311,8651,7121,6211,7621,8982,055
その他-223252266393320303274251232224213309
リース資産-181712473739634930176-
無形固定資産-3,7193,1832,4822,3612,1092,1772,2032,0141,8832,0052,1184,406
その他-223252266393320303274251232224213309
無形固定資産-3,7193,1832,4822,3612,1092,1772,2032,0141,8832,0052,1184,406
投資有価証券-12,08514,16216,11314,62316,25317,77215,39313,53017,65115,19315,08614,536
関係会社株式-----------8,52512,300
出資金-249211200191193192239929921215419700
関係会社出資金-----------2,6986,670
長期前払費用-1038485110832281801691079882393
長期貸付金-181511752----1613,664
退職給付に係る資産--4,9535,5304,4095,5876,3406,6875,4808,8799,66511,15517,649
前払年金費用-7,084---------6,5107,268
繰延税金資産-------9811,1501,1151,2201,2861,370
繰延税金資産-------9811,1501,1151,2201,2861,370
その他-5255485895565345455816085926116121,758
その他-5255485895565345455816085926116121,758
貸倒引当金--129-98-91-82-83-89-90-97-81-72-50-45
貸倒引当金--129-98-91-82-83-89-90-97-81-72-50-45
投資その他の資産-20,25620,30922,78720,18022,91125,94323,97421,77129,18626,93228,59236,362
投資その他の資産-20,25620,30922,78720,18022,91125,94323,97421,77129,18626,93228,59236,362
固定資産-49,80449,54251,94454,40360,33968,27867,32763,80269,84167,06668,76689,655
資産-109,524118,444132,504138,784151,709169,346167,575162,327175,132194,801212,690276,624
支払手形-----------1,2681,089
支払手形及び買掛金-17,00619,97726,66825,11629,77034,64528,07027,85629,63219,06419,78620,040
電子記録債務---------14,15920,26119,47015,410
買掛金-----------15,79714,235
短期借入金-9,9557,8595,0777,9378,59812,08514,8136,9106,0855,6578,10330,192
短期借入金-9,9557,8595,0777,9378,59812,08514,8136,9106,0855,6578,10330,192
1年内返済予定の長期借入金-3,6762,5102,8664,0004,6504,2884,4333,7844,0844,3844,7845,121
リース債務-9810111717218518919018114112711790
未払金-----------2,3092,525
未払法人税等-7051,8891,7211,0781,2701,7531,2171,8202,7362,9382,9352,184
未払法人税等-7051,8891,7211,0781,2701,7531,2171,8202,7362,9382,9352,184
賞与引当金-1,8742,3002,8203,1143,1063,3032,3762,8713,6013,6283,9283,285
賞与引当金-1,8742,3002,8203,1143,1063,3032,3762,8713,6013,6283,9283,285
役員賞与引当金-798499106104111749010010612478
役員賞与引当金-798499106104111749010010612478
工事損失引当金-231071161571006876567979112122
工事損失引当金-231071161571006876567979112122
その他-2,8733,6664,5134,9075,8656,8787,3276,4306,12110,0167,73910,111
その他-2,8733,6664,5134,9075,8656,8787,3276,4306,12110,0167,73910,111
流動負債-36,47538,54044,00246,59153,65363,32258,57950,00152,58366,26467,10286,638
流動負債-36,47538,54044,00246,59153,65363,32258,57950,00152,58366,26467,10286,638
長期借入金-16,08616,52616,15915,05915,35916,07120,53821,75419,17017,28620,00230,850
リース債務-130355367494459405354295195149200197
繰延税金負債-------1,6379592,3401,1129414,279
退職給付引当金-1,399---------165133
役員退職慰労引当金-7995828490343851625860109
債務保証損失引当金-----------652765
債務保証損失引当金----------517652765
耐震工事関連費用引当金--1,4681,4221,0781,024841719706669624622578
資産除去債務-10410410410498757474747472108
製品安全対策引当金--2051418267402943181453
その他-1,1021,1341,0181,0541,0591,1091,1351,1451,1471,1601,2511,542
退職給付に係る負債--1,5321,7501,6911,6901,7251,7641,9511,9501,9041,8752,954
固定負債-20,97423,07523,09921,71722,77023,91726,29226,98225,62822,90025,68341,389
資産除去債務-10410410410498757474747472108
その他-1,1021,1341,0181,0541,0591,1091,1351,1451,1471,1601,2511,542
固定負債-20,97423,07523,09921,71722,77023,91726,29226,98225,62822,90025,68341,389
負債-57,44961,61567,10168,30876,42387,23984,87176,98378,21189,16592,785128,028
資本金-10,59610,59610,59610,59610,59610,59610,59610,59610,59610,59610,59610,596
資本準備金-----------10,02310,023
その他資本剰余金-----------42-
資本剰余金-10,03110,03110,03110,03410,00910,00910,00910,01610,02310,03410,04210,010
資本剰余金-10,03110,03110,03110,03410,00910,00910,00910,01610,02310,03410,04210,010
利益準備金-----------2,2112,211
固定資産圧縮積立金-----------1,1091,059
別途積立金-----------4,3354,335
繰越利益剰余金-----------32,96632,664
利益剰余金-29,30331,68335,04741,24445,71750,84855,06259,62866,99574,98085,39394,767
利益剰余金-29,30331,68335,04741,24445,71750,84855,06259,62866,99574,98085,39394,767
自己株式--1,977-1,992-2,007-2,026-3,037-3,074-3,861-4,123-4,195-4,825-4,822-2,349
株主資本-47,95350,31853,66859,84863,28568,37971,80776,11783,42090,786101,208113,025
その他有価証券評価差額金-1,7343,1964,1123,1984,2815,2013,6572,9875,2553,8763,8206,208
繰延ヘッジ損益-3-1-3-3-6-12---
評価・換算差額等-1,7204,5649,4935,6776,6578,3355,5513,8467,7538,90612,59121,110
為替換算調整勘定--172,3944,6412,8242,1242,7071,6441,7041,1463,3316,3219,104
退職給付に係る調整累計額---1,025737-345247431248-8511,3641,6982,4485,798
評価・換算差額等-1,7204,5649,4935,6776,6578,3355,5513,8467,7538,90612,59121,110
純資産48,63752,07556,82965,40270,47675,28582,10782,70385,34496,921105,636119,905148,595
非支配株主持分---2,2404,9505,3425,3925,3455,3805,7475,9436,10414,459
純資産48,63752,07556,82965,40270,47675,28582,10782,70385,34496,921105,636119,905148,595
負債純資産-109,524118,444132,504138,784151,709169,346167,575162,327175,132194,801212,690276,624