中部飼料

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4,5396,5315,4944,6137,73811,7474,7511,9633,00611,94211,831
受取手形------6,8667,7739,8177,2076,602
売掛金------29,50636,84336,22931,75032,966
商品及び製品2,3982,1952,8302,8892,7222,2842,4153,3243,0832,4172,863
仕掛品676679653799764764635772752547600
原材料及び貯蔵品6,2375,4387,5397,8438,0687,63210,06513,1199,7708,0438,856
その他2,2902,8871,2141,6111,6203,2443,5853,2427,3184,5764,357
貸倒引当金-348-446-512-329-238-169-243-428-424-326-101
受取手形及び売掛金30,09727,53533,52634,39328,64030,416-----
繰延税金資産445398504--------
流動資産合計46,33645,22051,25351,82049,31755,92057,58366,61069,55366,15767,977
固定資産
有形固定資産
建物及び構築物20,22620,26120,43920,65824,19924,10524,01724,57226,10127,06928,131
減価償却累計額-13,315-13,780-14,202-14,606-14,851-14,979-15,329-15,880-16,313-16,905-17,611
減損損失累計額-------19-19-19-19-19
建物及び構築物(純額)6,9116,4816,2376,0529,3479,1258,6678,6729,76810,14410,499
機械装置及び運搬具38,56339,48740,04341,41245,65745,61946,32047,63347,82749,71751,407
減価償却累計額-31,925-33,484-34,640-35,900-37,453-38,084-39,397-41,074-41,446-43,069-44,575
減損損失累計額-8-8-8-8-8-8-8-8-8-8-
機械装置及び運搬具(純額)6,6295,9935,3935,5038,1957,5276,9146,5506,3716,6396,832
工具、器具及び備品3,1413,1293,2023,4563,6743,9294,1094,2824,3834,6074,333
減価償却累計額-2,492-2,467-2,488-2,588-2,680-2,825-3,026-3,151-3,213-3,394-3,025
工具、器具及び備品(純額)6486617148679941,1031,0831,1301,1701,2121,308
土地8,3638,5298,5208,5258,8218,0307,0497,0496,7806,6546,867
リース資産2626261919---1069110
減価償却累計額-9-12-15-11-13---0-2-15
リース資産(純額)17141186---96795
建設仮勘定4156862,4752232494271,1985991,0421,587
有形固定資産合計22,57421,69521,56223,43127,58826,03624,14224,60224,70025,75927,190
無形固定資産398322273336538459574512445381334
投資その他の資産
投資有価証券5,3086,1315,7554,6413,6164,8364,7794,8437,6146,94310,620
繰延税金資産----332535176646856
退職給付に係る資産54322--111112210608953
その他8238118978837207109191,9592,3112,7312,853
貸倒引当金-307-277-232-225-106-83-147-1,122-1,075-1,069-1,050
繰延税金資産297271242307-------
長期貸付金238---------
投資その他の資産合計6,1296,9806,6665,6284,5635,5165,7145,8699,1249,28313,433
固定資産合計29,10228,99828,50229,39632,69032,01230,43130,98434,27035,42440,958
資産合計75,43974,21879,75581,21682,00887,93288,01497,595103,824101,582108,935
負債の部
流動負債
買掛金12,23511,86914,41814,30112,28313,25814,65017,71421,29515,24015,706
短期借入金8,1591,6371,3635883821,6291,1066,3631,8001,3001,500
1年内返済予定の長期借入金2,0671,4991,4881,3389572,1201,9761,8461,5702,2072,527
リース債務25321---14013
未払費用1,7071,7571,9081,9651,9621,7441,7301,8181,7841,6711,867
未払法人税等4961,1771,2386661,1805197731019019601,350
賞与引当金400362541424428425452380395419436
役員賞与引当金449111364101873227716371
その他9801,4641,1078921,1271,6057996551,8461,4561,539
流動負債合計26,09319,86322,18220,24318,42321,38921,52228,90729,66623,36125,012
固定負債
長期借入金3,0633,9113,7225,0304,7033,3471,0364,1604,2506,3065,348
リース債務94421---82751
繰延税金負債----11443491419148722,261
退職給付に係る負債671612613594593477525535525477431
資産除去債務8485858686707071727296
その他1,1641,3351,4681,6831,9491,9212,1912,4672,7242,9482,908
債務保証損失引当金38192538281216----
繰延税金負債639861761207-------
固定負債合計5,6726,8296,6817,6427,3746,2714,3327,2768,49510,70311,098
負債合計31,76526,69328,86327,88625,79727,66025,85536,18438,16134,06436,111
純資産の部
株主資本
資本金4,7364,7364,7364,7364,7364,7364,7364,7364,7364,7364,736
資本剰余金4,3944,3584,3564,3564,3564,3564,3374,3254,3174,3194,318
利益剰余金33,24536,12339,67742,71546,65949,66051,97151,79154,11356,19760,077
自己株式-58-34-34-35-496-497-757-966-949-938-2,425
株主資本合計42,31745,18348,73551,77255,25458,25560,28759,88762,21764,31566,706
その他の包括利益累計額
その他有価証券評価差額金1,2911,8631,6079383111,2141,1111,2013,0612,6315,220
繰延ヘッジ損益-273-29-24-144124413-3189-43147
為替換算調整勘定6-19-10-33-42-38385684137145
退職給付に係る調整累計額-224-102-5013-8558766115379503
その他の包括利益累計額合計8001,7121,5229163031,3551,6501,2933,3513,1056,016
非支配株主持分5556296336416526602202309397100
純資産合計43,67347,52450,89153,33056,21060,27262,15961,41065,66267,51772,824
負債純資産合計75,43974,21879,75581,21682,00887,93288,01497,595103,824101,582108,935