ホーム > 政策について > 分野別の政策一覧 > 健康・医療 > 医療 > 医療法人・医業経営のホームページ > 病院経営収支調査年報 > 平成14年度病院経営収支調査年報 > 平成14年度病院経営収支調査年報:第10表−1 

平成14年度病院経営収支調査年報:第10表−1 

第10表−1 100床当たり財政状態(構成比)、開設者・病院の種類・病床規模別・全体(1)
              (単位:%)
  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             27.3             27.8             26.4             27.7             28.3             34.5             19.3             21.1
  (再掲)現金・預金             12.9             12.9             14.0             12.6             12.8             14.5             11.7             11.0
  (再掲)医業未収金             10.1             10.3              9.8             10.4             10.5              9.9              6.0              6.3
                 
  固 定 資 産             71.6             71.2             72.9             71.1             70.8             65.5             76.7             78.6
  (再掲)土  地              8.3              8.3              6.1              9.3              8.4              6.5              8.1              6.8
  (再掲)建  物             46.3             45.7             49.6             43.1             46.3             51.6             52.3             64.2
  (再掲)器械備品              9.5              9.6             10.6              9.5              9.5              5.4             10.2              2.4
                 
  繰 延 資 産              1.1              1.0              0.7              1.2              0.9              0.0              4.0              0.3
                 
  資 産 合 計            100.0            100.0            100.0            100.0            100.0            100.0            100.0            100.0
                 
  流 動 負 債             11.7             11.9             12.3             12.7             11.2              7.7              6.1             16.8
  (再掲)買掛金及び未払金              6.7              6.8              5.5              7.3              6.7              3.5              5.7              4.7
  (再掲)短期借入金              3.1              3.2              5.8              3.1              2.5              3.1              0.1              5.6
                 
  固 定 負 債             19.9             20.7             16.1             19.9             22.6             28.2              4.7             13.4
  (再掲)長期借入金             13.2             13.8             12.2             13.1             14.8             15.0              1.8             11.3
                 
  負 債 計             31.6             32.6             28.3             32.6             33.8             35.9             10.7             30.2
                 
  資   本             68.4             67.4             71.7             67.4             66.2             64.1             89.3             69.8
                 
  負債・資本合計            100.0            100.0            100.0            100.0            100.0            100.0            100.0            100.0
自  治  体                
                 
  流 動 資 産             23.3             23.7             24.9             22.6             23.9             32.9             19.1             20.0
  (再掲)現金・預金             12.6             12.7             14.1             12.3             12.5             22.5             11.6             11.3
  (再掲)医業未収金              8.8              9.1              9.3              8.8              9.3              9.2              5.9              6.1
                 
  固 定 資 産             75.2             75.0             74.3             75.7             74.9             67.0             76.9             79.7
  (再掲)土  地              8.0              8.0              5.5              9.2              8.0              2.5              8.1              6.8
  (再掲)建  物             50.0             49.5             51.2             46.2             51.0             53.8             52.4             65.3
  (再掲)器械備品             10.4             10.5             11.2             10.0             10.7              8.4             10.2              2.5
                 
  繰 延 資 産              1.5              1.3              0.8              1.7              1.3              0.0              4.0              0.3
                 
  資 産 合 計            100.0            100.0            100.0            100.0            100.0            100.0            100.0            100.0
                 
  流 動 負 債              9.0              9.1              9.3             10.1              8.3              4.3              6.0             17.3
  (再掲)買掛金及び未払金              5.8              5.8              4.8              6.4              5.9              3.5              5.6              4.9
  (再掲)短期借入金              2.5              2.6              4.3              2.9              1.7              0.7              0.1              6.1
                 
  固 定 負 債              6.2              6.3              6.3              2.9              8.6              0.2              4.4              8.8
  (再掲)長期借入金              4.8              5.0              5.8              1.7              6.9                -              1.7              8.3
                 
  負 債 計             15.3             15.4             15.6             13.0             16.9              4.5             10.4             26.1
                 
  資   本             84.7             84.6             84.4             87.0             83.1             95.5             89.6             73.9
                 
  負債・資本合計            100.0            100.0            100.0            100.0            100.0            100.0            100.0            100.0
第10表−2 100床当たり財政状態(構成比)、開設者・病院の種類・病床規模別・全体(2)
              (単位:%)
  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             34.3             34.3             29.0             33.2             35.6             35.6                -             35.1
  (再掲)現金・預金             11.8             11.8             12.5              8.1             13.6              8.5                -              7.6
  (再掲)医業未収金             12.2             12.2             11.4             12.7             12.1             10.5                -              9.0
                 
  固 定 資 産             65.6             65.7             71.0             66.8             64.3             64.4                -             64.9
  (再掲)土  地             10.4             10.5              9.3             10.6             10.6              9.4                -              7.2
  (再掲)建  物             38.9             38.7             45.4             38.5             37.9             49.9                -             51.1
  (再掲)器械備品              6.7              6.8              7.9              7.5              6.3              3.1                -              1.4
                 
  繰 延 資 産              0.1              0.1              0.0              0.0              0.1                -                -                -
                 
  資 産 合 計            100.0            100.0            100.0            100.0            100.0            100.0                -            100.0
                 
  流 動 負 債             17.2             17.3             17.5             18.7             16.5             10.2                -             10.9
  (再掲)買掛金及び未払金              7.9              7.9              7.7              9.0              7.4              3.5                -              1.2
  (再掲)短期借入金              4.3              4.3              5.2              3.8              4.5              4.8                -                -
                 
  固 定 負 債             49.3             49.2             50.4             55.2             45.8             48.9                -             69.1
  (再掲)長期借入金             31.8             31.8             34.5             39.4             27.4             26.1                -             47.5
                 
  負 債 計             66.4             66.4             67.9             73.9             62.3             59.2                -             80.0
                 
  資   本             33.6             33.6             32.1             26.1             37.7             40.8                -             20.0
                 
  負債・資本合計            100.0            100.0            100.0            100.0            100.0            100.0                -            100.0
社会保険関係団体                
                 
  流 動 資 産             41.0             41.0             41.5             43.8             37.7                -             96.9                -
  (再掲)現金・預金             17.5             17.5             16.2             21.7             13.0                -             34.9                -
  (再掲)医業未収金             14.5             14.4             13.8             14.5             14.4                -             58.0                -
                 
  固 定 資 産             58.2             58.2             58.1             55.4             61.4                -              2.2                -
  (再掲)土  地              5.4              5.4              6.0              7.2              3.3                -              0.0                -
  (再掲)建  物             36.3             36.3             37.7             34.9             37.6                -                -                -
  (再掲)器械備品             10.5             10.5              9.5             10.4             10.8                -              2.0                -
                 
  繰 延 資 産              0.8              0.8              0.4              0.8              0.9                -              0.8                -
                 
  資 産 合 計            100.0            100.0            100.0            100.0            100.0                -            100.0                -
                 
  流 動 負 債             18.4             18.4             41.6             15.5             16.6                -             41.4                -
  (再掲)買掛金及び未払金             10.4             10.4             10.5              9.5             11.4                -             27.2                -
  (再掲)短期借入金              4.7              4.7             28.6              2.8              1.6                -             11.0                -
                 
  固 定 負 債             51.3             51.2             73.2             45.1             53.2                -            106.7                -
  (再掲)長期借入金             31.3             31.3             51.3             25.1             33.8                -             41.9                -
                 
  負 債 計             69.7             69.6            114.8             60.6             69.8                -            148.1                -
                 
  資   本             30.3             30.4          △ 14.8             39.4             30.2                -          △ 48.1                -
                 
  負債・資本合計            100.0            100.0            100.0            100.0            100.0                -            100.0                -

ホーム > 政策について > 分野別の政策一覧 > 健康・医療 > 医療 > 医療法人・医業経営のホームページ > 病院経営収支調査年報 > 平成14年度病院経営収支調査年報 > 平成14年度病院経営収支調査年報:第10表−1 

ページの先頭へ戻る