西日本建設業保証JP:E03837バランスシート

時価総額
PER
公共工事向け保証サービスの有力企業。発注者が前払いする公共工事で請負者に代わる債務保証、契約保証、建設機械の金融保証を展開。子会社2社・関連会社1社と連携し付随業務も提供。公共工事の前払金保証事業に関する法律に基づき国内で事業運営。
2012/032013/032014/032015/032016/032017/032018/032019/032020/032021/032022/032023/03
現金同等物-2,0261,6752,5053,1363,6575,8773,7584,4547,9447,8175,079
有価証券-16,69018,66917,15115,95214,05913,93014,01714,02617,22217,61918,167
流動資産合計-20,13421,68220,97920,39719,23321,13819,07619,88926,56326,14924,366
有形固定資産-2,8802,8392,8662,9503,0013,0043,1513,0713,2063,1283,097
投資有価証券-76,36577,73282,54882,87786,65387,31890,50991,41089,64789,86496,629
固定資産合計-81,21982,51287,43787,77291,46692,04195,43196,13894,95495,511102,501
総資産-101,354104,194108,417108,170110,700113,179114,508116,026121,518121,660126,867
短期借入金-2,7113,5784,5533,0891,4251,9061,2043,3001,1731,8362,060
流動負債合計-2,8613,9864,2172,9703,4693,4273,5504,8905,2517,2437,389
固定負債合計-2,7782,8143,4623,1732,9803,0722,7722,2893,1931,9622,779
総負債-5,6386,8007,6796,1436,4496,4996,3227,1798,4449,20510,168
資本金及び資本剰余金-1,0001,0001,0001,0001,0001,0001,0001,0001,0001,0001,000
利益剰余金-90,16591,78493,48095,30296,89898,891100,571102,140104,439104,980107,266
株主資本93,93495,71597,394100,737102,026104,251106,679108,186108,847113,074112,455116,699