ニップン

指標

自己資本比率
ネットキャッシュ比率
D/Eレシオ

負債・純資産の部

負債・純資産の部
利益剰余金
有利子負債・現金

資産の部

資産の部
流動資産
有形・無形固定資産
投資有価証券
のれん

貸借対照表

2016-03百万円
2017-03百万円
2018-03百万円
2019-03百万円
2020-03百万円
2021-03百万円
2022-03百万円
2023-03百万円
2024-03百万円
2025-03百万円
2026-03百万円
資産の部
流動資産
現金及び預金22,43216,58823,39232,95833,82937,48634,06336,81545,59444,94569,173
受取手形、売掛金及び契約資産------50,46654,11960,55658,12857,818
商品及び製品14,95514,17214,48115,50814,97716,36518,48420,91823,18526,62629,696
仕掛品42215165323012195722212310998
原材料及び貯蔵品18,02914,71718,31019,23016,71717,39421,34826,40020,76022,68723,116
その他2,5403,1873,6633,3483,9164,1416,4074,6077,5826,54214,325
貸倒引当金-221-125-172-159-136-59-59-61-43-25-26
受取手形及び売掛金41,77541,98245,30347,41044,92842,353-----
繰延税金資産1,4631,5371,465--------
流動資産合計101,01792,275106,608118,330114,534117,900130,768143,021157,759159,014194,203
固定資産
有形固定資産
建物及び構築物77,05883,59086,87392,07298,884105,844109,650109,932113,666117,293134,797
減価償却累計額-48,150-51,027-53,303-54,913-56,800-59,911-61,067-63,187-66,282-68,755-72,732
建物及び構築物(純額)28,90732,56233,56937,15942,08445,93248,58246,74547,38348,53762,065
機械装置及び運搬具105,431108,341111,075116,691119,288124,205125,592128,309133,847137,754149,118
減価償却累計額-88,111-91,074-93,438-96,179-99,142-102,513-103,100-107,139-111,681-114,655-120,585
機械装置及び運搬具(純額)17,31917,26617,63620,51120,14621,69222,49221,17022,16623,09928,532
土地34,23936,85837,37340,03240,60540,26941,45341,02745,69445,86248,752
建設仮勘定3,0351,7142,4421,7192,1993,8144711,7415,64613,02214,155
その他10,12211,03011,25811,63112,11913,27813,85014,49715,25016,21316,877
減価償却累計額-8,382-9,051-9,412-9,822-10,196-10,746-11,238-11,715-11,734-12,323-12,880
その他(純額)1,7391,9791,8461,8091,9222,5312,6112,7823,5163,8903,997
有形固定資産合計85,24290,38092,867101,233106,957114,240115,611113,467124,407134,412157,502
無形固定資産8331,2971,4241,3761,6242,8582,5292,1752,4232,0232,869
投資その他の資産
投資有価証券55,37062,05566,85465,47261,52565,80969,00177,25490,61885,530102,647
長期貸付金865839841,117573935401214,401446
繰延税金資産----1,5671,6531,6282,0751,8461,8621,773
退職給付に係る資産10610395911981,2022,0152,3705,5908,12912,451
その他3,6134,0974,6344,5484,5324,7274,6284,4924,2084,1245,062
貸倒引当金-313-345-624-620-631-464-385-320-296-271-219
繰延税金資産1,1831,3711,3821,767-------
投資その他の資産合計60,82668,12172,42672,37767,24972,96776,92285,914102,088103,775122,161
固定資産合計146,902159,799166,719174,988175,832190,067195,063201,557228,919240,210282,534
繰延資産---736149372613188
資産合計247,919252,074273,328293,392290,428308,017325,869344,606386,692399,226476,826
負債の部
流動負債
支払手形及び買掛金27,97625,62330,20034,56427,11525,93133,91036,66933,78634,27935,107
短期借入金24,68519,02222,52819,20120,82422,38819,53017,57218,87317,34115,820
1年内償還予定の転換社債型新株予約権付社債---------25,002-
未払法人税等2,7702,2312,4662,0842,4732,3711,9262,6457,5133,9985,158
未払費用10,77411,24111,87512,35713,40213,1117,5788,1329,1399,1549,719
返金負債------7,0297,4457,5437,7948,279
賞与引当金5286016116157106907057649099611,027
その他4,9055,1944,9987,2764,5525,1674,0705,1616,5105,8767,673
1年内償還予定の社債--5,000-5,000-91221128--
流動負債合計71,64163,91477,68176,10074,07869,66174,84278,61384,403104,40782,786
固定負債
社債10,00010,0005,0005,000-536349128--20,000
長期借入金11,3879,87712,07512,04112,41822,18123,68421,17517,20714,68543,249
繰延税金負債----10,92313,33614,74217,67322,46824,74431,426
退職給付に係る負債5,9725,1514,5304,4945,2123,7473,8103,8813,8083,6414,210
役員退職慰労引当金930900808819873809462406379361371
役員株式給付引当金--------73102150
その他2,5052,5662,5512,7133,2483,5444,2245,0755,0454,7984,754
転換社債型新株予約権付社債---25,11025,09225,07425,05625,03825,020--
繰延税金負債9,73812,21813,77412,126-------
固定負債合計40,53440,71438,74162,30557,76869,23072,32873,37874,00248,334104,162
負債合計112,176104,628116,423138,405131,847138,891147,171151,992158,406152,742186,949
純資産の部
株主資本
資本金12,24012,24012,24012,24012,24012,24012,24012,24012,24012,24018,670
資本剰余金10,66911,41211,41511,26211,26211,30811,3079,6939,7629,75816,244
利益剰余金91,83498,361103,522103,682109,507115,424121,817128,965151,492170,683187,106
自己株式-2,354-2,668-2,635-3,536-3,422-3,317-3,198-1,287-1,317-1,183-4,751
株主資本合計112,389119,346124,542123,648129,587135,656142,166149,612172,177191,499217,270
その他の包括利益累計額
その他有価証券評価差額金19,91524,51527,49526,42424,44427,77030,40936,46246,12241,31752,661
繰延ヘッジ損益-38-12-14-203788-2319-2330
為替換算調整勘定6085457255729614939812,1613,1315,1485,652
退職給付に係る調整累計額-2,293-1,220-440-495-1,2673084754732,6634,1996,714
その他の包括利益累計額合計18,19223,82827,76526,49824,13928,61031,95439,07451,93750,64165,059
新株予約権11716921128726023419522622111598
非支配株主持分5,0434,1024,3854,5524,5934,6244,3813,6993,9484,2277,448
純資産合計135,743147,446156,905154,986158,581169,126178,697192,613228,285246,484289,877
負債純資産合計247,919252,074273,328293,392290,428308,017325,869344,606386,692399,226476,826