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平成14年度病院経営収支調査年報:第9表−1 

第9表−1 100床当たり財政状態(実額)、開設者・病院の種類・病床規模別・全体(1)
              (単位:千円)
  総   数 一     般     病     院 長期慢性型病院 特殊専門病院 精 神 病 院
    合   計    〜199床 200〜399床 400床〜         
総     数                
                 
  流 動 資 産          681,460          694,478          543,846          653,644          785,671          373,373          806,039          258,440
  (再掲)現金・預金          320,643          323,367          289,233          297,375          357,069          156,896          488,572          134,767
  (再掲)医業未収金          251,485          258,372          202,275          245,123          290,809          107,671          252,758           77,331
                 
  固 定 資 産        1,786,064        1,781,440        1,503,847        1,680,356        1,969,614          710,178        3,209,569          961,011
  (再掲)土  地          207,123          208,560          124,773          219,231          233,286           70,312          338,962           83,453
  (再掲)建  物        1,154,805        1,142,360        1,023,091        1,017,139        1,286,909          559,017        2,188,461          784,971
  (再掲)器械備品          238,111          241,101          219,035          224,398          262,809           58,123          427,957           29,566
                 
  繰 延 資 産           27,424           24,471           14,012           28,639           25,349              226          167,746            3,446
                 
  資 産 合 計        2,494,947        2,500,388        2,061,704        2,362,639        2,780,634        1,083,778        4,183,354        1,222,897
                 
  流 動 負 債          291,644          297,085          252,861          299,413          312,709           83,347          254,084          205,153
  (再掲)買掛金及び未払金          166,427          169,016          113,059          173,652          187,469           37,784          238,280           56,943
  (再掲)短期借入金           76,746           79,386          119,331           72,210           69,225           33,170            3,217           68,942
                 
  固 定 負 債          496,090          517,218          331,557          469,666          627,454          305,203          194,819          163,826
  (再掲)長期借入金          330,436          345,355          252,394          308,485          410,722          162,614           74,836          138,004
                 
  負 債 計          787,734          814,303          584,418          769,079          940,163          388,550          448,903          368,980
                 
  資   本        1,707,213        1,686,086        1,477,287        1,593,560        1,840,471          695,228        3,734,451          853,917
                 
  負債・資本合計        2,494,947        2,500,388        2,061,704        2,362,639        2,780,634        1,083,778        4,183,354        1,222,897
自  治  体                
                 
  流 動 資 産          641,038          654,218          529,296          624,837          743,929          381,048          815,366          249,546
  (再掲)現金・預金          347,839          351,989          300,604          340,513          388,427          260,350          496,488          141,159
  (再掲)医業未収金          242,955          251,609          197,089          241,811          288,467          106,565          253,067           76,222
                 
  固 定 資 産        2,069,689        2,074,977        1,580,214        2,090,130        2,330,538          775,036        3,283,042          995,676
  (再掲)土  地          218,810          220,665          117,231          255,367          250,177           29,066          346,742           84,857
  (再掲)建  物        1,375,444        1,368,052        1,088,338        1,275,790        1,589,000          622,301        2,238,704          815,265
  (再掲)器械備品          284,893          291,709          237,374          276,261          332,753           96,955          437,597           31,234
                 
  繰 延 資 産           40,460           36,533           17,284           46,900           39,061              567          171,519            3,810
                 
  資 産 合 計        2,751,187        2,765,728        2,126,794        2,761,867        3,113,528        1,156,652        4,269,926        1,249,033
                 
  流 動 負 債          248,446          250,678          198,821          278,254          257,755           49,706          255,993          215,650
  (再掲)買掛金及び未払金          159,695          161,514          101,226          175,998          183,070           40,325          241,175           61,746
  (再掲)短期借入金           68,189           71,058           91,478           79,514           53,625            8,357            2,248           76,231
                 
  固 定 負 債          171,286          174,372          133,959           80,097          267,682            2,123          189,191          109,825
  (再掲)長期借入金          133,054          137,917          122,559           47,080          215,097                -           72,589          103,598
                 
  負 債 計          419,732          425,049          332,780          358,351          525,437           51,828          445,184          325,475
                 
  資   本        2,331,455        2,340,679        1,794,014        2,403,517        2,588,091        1,104,824        3,824,743          923,557
                 
  負債・資本合計        2,751,187        2,765,728        2,126,794        2,761,867        3,113,528        1,156,652        4,269,926        1,249,033
第9表−2 100床当たり財政状態(実額)、開設者・病院の種類・病床規模別・全体(2)
              (単位:千円)
  総   数 一     般     病     院 長期慢性型病院 特殊専門病院 精 神 病 院
    合   計    〜199床 200〜399床 400床〜         
その他公的病院                
                 
  流 動 資 産          742,462          752,889          568,213          626,613          870,262          368,271                -          342,560
  (再掲)現金・預金          254,656          259,325          245,207          152,912          333,313           88,118                -           74,306
  (再掲)医業未収金          264,364          268,828          223,273          240,780          295,697          108,406                -           87,814
                 
  固 定 資 産        1,422,393        1,443,227        1,392,054        1,261,869        1,574,100          667,059                -          633,139
  (再掲)土  地          226,198          230,001          181,528          199,829          258,811           97,733                -           70,168
  (再掲)建  物          842,230          851,249          889,548          727,622          927,574          516,945                -          498,439
  (再掲)器械備品          146,070          149,368          155,157          141,231          153,816           32,307                -           13,787
                 
  繰 延 資 産            1,941            1,993               93              735            3,173                -                -                -
                 
  資 産 合 計        2,166,795        2,198,110        1,960,360        1,889,217        2,447,535        1,035,330                -          975,699
                 
  流 動 負 債          372,130          379,334          342,197          352,363          403,997          105,712                -          105,875
  (再掲)買掛金及び未払金          170,602          174,533          150,882          170,058          181,705           36,095                -           11,518
  (再掲)短期借入金           92,734           94,490          101,684           70,863          109,100           49,667                -                -
                 
  固 定 負 債        1,067,360        1,080,526          988,444        1,042,929        1,122,005          506,696                -          674,578
  (再掲)長期借入金          689,125          698,148          676,207          745,028          670,511          270,722                -          463,426
                 
  負 債 計        1,439,489        1,459,860        1,330,641        1,395,292        1,526,003          612,408                -          780,453
                 
  資   本          727,306          738,249          629,719          493,925          921,532          422,922                -          195,246
                 
  負債・資本合計        2,166,795        2,198,110        1,960,360        1,772,145        2,447,535        1,035,330                -          975,699
社会保険関係団体                
                 
  流 動 資 産          761,192          763,069          650,760          795,601          754,306                -          399,785                -
  (再掲)現金・預金          324,190          325,127          254,340          394,325          260,670                -          143,773                -
  (再掲)医業未収金          268,301          268,451          216,403          263,510          288,618                -          239,299                -
                 
  固 定 資 産        1,079,048        1,084,602          911,310        1,005,017        1,228,155                -            9,253                -
  (再掲)土  地           99,901          100,419           94,246          130,383           65,837                -               81                -
  (再掲)建  物          672,808          676,301          590,913          633,318          751,597                -                -                -
  (再掲)器械備品          194,981          195,951          148,864          189,467          216,632                -            8,085                -
                 
  繰 延 資 産           15,027           15,087            6,405           14,030           18,733                -            3,424                -
                 
  資 産 合 計        1,855,268        1,862,758        1,568,475        1,814,647        2,001,195                -          412,461                -
                 
  流 動 負 債          341,791          342,678          652,233          281,833          331,946                -          170,937                -
  (再掲)買掛金及び未払金          193,422          193,844          164,939          171,792          228,411                -          112,183                -
  (再掲)短期借入金           86,577           86,791          449,242           49,944           32,597                -           45,455                -
                 
  固 定 負 債          950,864          953,516        1,148,663          818,129        1,064,186                -          439,965                -
  (再掲)長期借入金          580,367          582,484          804,483          455,483          675,686                -          172,690                -
                 
  負 債 計        1,292,654        1,296,193        1,800,896        1,099,961        1,396,133                -          610,902                -
                 
  資   本          562,613          566,564       △ 232,421          714,686          605,062                -       △ 198,441                -
                 
  負債・資本合計        1,855,268        1,862,758        1,568,475        1,814,647        2,001,195                -          412,461                -

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