リコーリースJP:8566

時価総額
¥1621.5億
PER
15倍
リース&ファイナンス事業では、事務用・情報関連機器や医療機器のリース、法人向け融資、サービス事業では請求書発行代行、介護施設運営、インベストメント事業では太陽光発電や不動産関連を展開。
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-83410,5536173,5633,0612,8332,11985611,0284,82714,119
受取手形及び売掛金-172013111414148910242
割賦債権-54,83165,84078,60791,379105,028123,972148,962172,148182,905183,783181,611
割賦債権-54,83165,84078,60791,379105,028123,972148,962172,148182,905183,783181,611
未収賃貸債権-23,58431,46038,07838,02238,02037,92836,23835,04733,82230,07427,369
未収賃貸債権-23,58431,46038,07838,02238,02037,92836,23835,04733,82230,07427,369
リース債権及びリース投資資産-444,268489,671508,074526,990538,028551,398565,113597,534528,929511,493509,737
営業貸付金-103,994109,947114,289123,127129,217143,787160,627181,683200,661221,951253,706
その他の営業貸付債権-41,35639,85843,44745,47447,41445,72649,63741,94335,01137,38331,198
その他の営業資産-8,8708,0495,0325,0435,0675,0585,0375,02512,45212,55212,528
賃貸料等未収入金-7,3966,8986,6856,3226,2106,7947,5537,82314,03813,90913,406
その他-5,9719,81216,98119,00024,10623,86022,93929,22536,94038,59045,537
貸倒引当金--10,631-9,381-8,902-8,228-7,731-7,805-7,875-8,901-11,171-12,727-12,338
流動資産-683,975765,526805,381852,290889,576934,706990,3691,062,3961,044,6281,041,8481,077,120
貸倒引当金--10,631-9,381-8,902-8,228-7,731-7,805-7,875-8,901-11,171-12,727-12,338
流動資産-683,975765,526805,381852,290889,576934,706990,3691,062,3961,044,6281,041,8481,077,120
賃貸資産-9,50512,13215,75018,69620,05024,10134,63349,53653,89761,65669,141
賃貸資産-9,50512,13215,75018,69620,05024,10134,63349,53653,89761,65669,141
社用資産-5154964164084624994,63113,75821,27226,58436,952
社用資産-5154964164084624994,63113,75821,27226,58436,952
社用資産-5154964164084624994,63113,75821,27226,58436,952
有形固定資産-10,02112,62916,16619,10520,51324,60139,26463,29475,16988,240106,094
賃貸資産-234188124638431,0451,01375243115242
その他の無形固定資産-1,5731,7991,7881,5961,5021,2451,3711,9392,7783,6166,883
その他の無形固定資産-1,5731,7991,7881,5961,5021,2451,3711,9392,7783,6166,883
無形固定資産-1,8071,9871,9121,6592,3462,2902,3852,6913,2093,7686,926
無形固定資産-1,8071,9871,9121,6592,3462,2902,3852,6913,2093,7686,926
投資有価証券-1,1841,6052,3643,1003,8755,2935,30816,26726,37030,42331,234
破産更生債権等-2,3631,8001,5581,3301,205945592785692482602
破産更生債権等-2,3631,8001,5581,3301,205945592785692482602
繰延税金資産-------1,3442,8213,9804,4665,511
その他-8798069341,1131,5361,6301,9533,2697,3478,9669,936
繰延税金資産-------1,3442,8213,9804,4665,511
貸倒引当金--684-589-560-575-671-619-540-792-692-474-592
その他-8798069341,1131,5361,6301,9533,2697,3478,9669,936
投資その他の資産-4,6994,8265,1575,4706,4288,4908,65822,35137,69843,86446,693
貸倒引当金--684-589-560-575-671-619-540-792-692-474-592
投資その他の資産-4,6994,8265,1575,4706,4288,4908,65822,35137,69843,86446,693
固定資産-16,52919,44323,23626,23529,28835,38150,30988,337116,077135,874159,714
資産-700,504784,969828,618878,526918,864969,3591,040,6781,150,7341,160,7061,177,7231,236,834
支払手形及び買掛金-20,49332,53524,47621,95826,86920,29823,23120,27519,11120,29619,995
短期借入金-134,235127,944125,465123,218112,115111,04556,29210,23915,218283-
短期借入金-134,235127,944125,465123,218112,115111,04556,29210,23915,218283-
1年内償還予定の社債-20,00035,00020,00020,00030,00020,00030,00045,00050,00055,00030,000
1年内返済予定の長期借入金-53,11775,05944,33196,88897,94275,725104,47298,898145,24792,500103,000
1年内償還予定の社債-20,00035,00020,00020,00030,00020,00030,00045,00050,00055,00030,000
1年内支払予定の債権流動化に伴う長期支払債務----------4,40614,577
1年内返済予定の長期借入金-53,11775,05944,33196,88897,94275,725104,47298,898145,24792,500103,000
コマーシャル・ペーパー-19,00018,00018,00010,000--40,00057,00015,00018,00036,000
1年内支払予定の債権流動化に伴う長期支払債務----------4,40614,577
支払引受債務-26,40124,97926,10628,65130,56630,50032,92024,99423,09525,75320,142
コマーシャル・ペーパー-19,00018,00018,00010,000--40,00057,00015,00018,00036,000
リース債務-1771621711176135999733
支払引受債務-26,40124,97926,10628,65130,56630,50032,92024,99423,09525,75320,142
未払法人税等-1,3503,5683,1972,6162,6772,8542,8984,0794,2023,2254,308
リース債務-1771621711176135999733
賃貸料等前受金-3,1992,9723,1313,5703,6013,7144,0714,5195,4165,2914,429
割賦未実現利益-4,0244,5696,0697,6739,21312,65915,79919,22221,20922,96924,033
未払法人税等-1,3503,5683,1972,6162,6772,8542,8984,0794,2023,2254,308
賞与引当金-7137157247417808329699991,1351,1981,364
役員賞与引当金-2323232935485661775965
賃貸料等前受金-3,1992,9723,1313,5703,6013,7144,0714,5195,4165,2914,429
その他-9,40810,28011,31611,51115,40317,06820,86223,99127,93931,67835,805
流動負債-292,145335,812283,013326,976329,269294,783331,585309,291327,663280,736293,724
割賦未実現利益-4,0244,5696,0697,6739,21312,65915,79919,22221,20922,96924,033
賞与引当金-7137157247417808329699991,1351,1981,364
役員賞与引当金-2323232935485661775965
流動負債-292,145335,812283,013326,976329,269294,783331,585309,291327,663280,736293,724
社債-75,00080,00080,00080,00090,000125,000125,000140,000110,000115,00085,000
長期借入金-210,786237,647325,931320,939336,636374,911399,438468,440480,000532,500612,000
債権流動化に伴う長期支払債務--------40,00040,00035,59421,017
リース債務-5531,25480824618514313283738884
退職給付引当金-632----------
退職給付に係る負債--1,2421,0081,0591,0231,0601,0831,056860756764
受取保証金-2,1951,8281,4683,4745,3637,0218,8869,7599,78210,43511,109
資産除去債務--------3638471,0041,132
その他-55269223182139102137145127293
固定負債-289,172321,977409,487405,987433,597508,685534,643659,766641,710695,506731,402
負債-581,317657,789692,501732,964762,866803,468866,229969,058969,373976,2431,025,126
資本金-7,8967,8967,8967,8967,8967,8967,8967,8967,8967,8967,896
資本剰余金-10,16010,16010,16010,16010,16010,16010,16010,15910,15910,15910,159
資本剰余金-10,16010,16010,16010,16010,16010,16010,16010,15910,15910,15910,159
利益剰余金-100,590108,767117,468126,800136,778146,055155,657164,839174,084184,175195,047
利益剰余金-100,590108,767117,468126,800136,778146,055155,657164,839174,084184,175195,047
自己株式--46-47-47-47-48-48-48-1,720-1,716-1,690-1,680
株主資本-118,601126,777135,478144,810154,787164,064173,665181,175190,424200,541211,423
その他有価証券評価差額金-2433555335898671,3491,084711968566-253
繰延ヘッジ損益--------6152428640
評価・換算差額等-243-91411715261,034783499908939285
退職給付に係る調整累計額---364-392-418-340-314-300-273-113-55-102
評価・換算差額等-243-91411715261,034783499908939285
純資産110,069119,186127,179136,117145,562155,998165,890174,449181,675191,333201,480211,708
負債純資産-700,504784,969828,618878,526918,864969,3591,040,6781,150,7341,160,7061,177,7231,236,834