コモ

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

2016-03千円
2017-03千円
2018-03千円
2019-03千円
2020-03千円
2021-03千円
2022-03千円
2023-03千円
2024-03千円
2025-03千円
2026-03千円
資産の部
流動資産
現金及び預金245,820241,109557,803661,667342,992329,090228,522247,820657,807271,448313,692
売掛金------1,003,5691,005,1521,168,820996,7891,019,298
商品及び製品57,13564,59239,75342,87547,46066,56572,81272,56178,88382,28567,357
仕掛品9,6789,7287,5098,4669,5788,62110,4404,87212,98513,04713,478
原材料及び貯蔵品77,45577,99576,45886,05081,67985,62286,01899,681125,175124,917105,630
前払費用15,76419,29526,47720,48617,97929,52024,63526,39730,26037,68143,619
その他1,8491,7691,6232,1971,5581,8858588413,3431,523837
貸倒引当金-137-206-132-162-71-88-21-21-21-21-41
未収還付法人税等-------6,237566--
未収消費税等-----23,889-----
受取手形及び売掛金811,828834,184870,965870,436865,298863,216-----
電子記録債権32,77347,13359,58766,540-------
繰延税金資産28,90230,32228,857--------
流動資産合計1,281,0711,325,9261,668,9051,758,5591,366,4751,408,3231,426,8351,463,5452,077,8231,527,6731,563,874
固定資産
有形固定資産
建物及び構築物1,759,6501,803,3671,820,8941,826,1041,858,4051,908,4641,978,5562,046,2642,099,9952,165,2012,172,003
減価償却累計額-1,175,352-1,234,601-1,282,730-1,329,503-1,375,746-1,421,811-1,468,136-1,521,560-1,572,626-1,615,790-1,670,916
建物及び構築物(純額)584,298568,765538,163496,601482,658486,652510,419524,704527,368549,411501,086
機械装置及び運搬具4,008,8974,010,0344,184,4304,357,4844,444,1334,725,8754,878,5794,969,9585,089,8695,286,9355,349,909
減価償却累計額-3,480,442-3,515,040-3,637,304-3,781,414-3,828,486-3,899,350-4,052,979-4,201,455-4,314,581-4,505,702-4,709,038
機械装置及び運搬具(純額)528,455494,993547,126576,070615,647826,525825,599768,503775,288781,232640,870
土地1,187,0491,187,0491,187,0491,187,0491,356,9571,356,9571,356,9571,356,9571,356,9571,356,9571,356,957
リース資産325,567365,881398,626415,543406,190395,599385,762326,661267,992191,832144,386
減価償却累計額-161,595-170,912-190,915-199,745-209,918-218,517-215,927-186,963-166,425-122,399-99,654
リース資産(純額)163,972194,969207,711215,798196,271177,082169,835139,698101,56769,43244,732
建設仮勘定3,855----10,530-59,08041,2503,300131,227
その他199,532216,649220,627237,106263,153277,985286,348276,932288,346306,284318,319
減価償却累計額-168,504-185,890-189,981-203,791-222,328-238,507-253,349-244,133-258,059-270,053-287,964
その他(純額)31,02730,75830,64633,31440,82439,47732,99832,79930,28636,23130,355
有形固定資産合計2,498,6582,476,5352,510,6962,508,8332,692,3592,897,2242,895,8112,881,7422,832,7182,796,5652,705,228
無形固定資産27,56056,95253,02151,48653,46748,83265,22470,75954,34339,92748,400
投資その他の資産
投資有価証券170,144174,261160,746150,239143,741149,541168,860180,549215,741216,457288,952
繰延税金資産----75,53373,01072,22279,60954,55262,25148,054
その他229,102234,827242,824240,92179,25283,79487,37195,64079,55383,20084,654
貸倒引当金-153-264--235--54-----123
繰延税金資産4,62449,41747,58183,909-------
投資その他の資産合計403,717458,241451,152474,834298,527306,291328,454355,799349,847361,908421,537
固定資産合計2,929,9362,991,7293,014,8703,035,1543,044,3543,252,3493,289,4903,308,3013,236,9093,198,4013,175,167
資産合計4,211,0074,317,6564,683,7754,793,7144,410,8294,660,6734,716,3254,771,8465,314,7324,726,0754,739,041
負債の部
流動負債
買掛金267,387284,642448,192496,172281,913289,062342,394373,702732,437363,054336,775
短期借入金1,250,0001,300,0001,300,0001,250,000750,000800,000800,000800,000900,000850,000900,000
1年内返済予定の長期借入金234,996359,163217,516258,328158,328153,328183,328223,328243,328213,328193,328
リース債務55,02661,35468,07670,38368,66967,97861,17552,03940,88928,34720,239
未払金223,783277,044329,500287,357272,974259,876223,983335,625456,847267,040254,551
未払費用110,147118,176118,573118,343121,004121,296119,847115,542106,918109,321112,200
未払法人税等51,20861,43134,21058,45880,57798,56910,4551,18115,73629,64442,559
未払消費税等27,22427,44337,97539,83313,8156,29116,0458,1155,48018,53346,268
賞与引当金61,40362,73562,16862,66262,05163,79963,66059,24756,79656,68357,881
その他13,11612,12725,09621,9027,5168,2309,9099,84721,4479,4899,674
1年内償還予定の社債100,000-----100,000----
役員賞与引当金-----7,600-----
流動負債合計2,394,2932,564,1172,641,3092,663,4431,816,8511,876,0321,930,7991,978,6282,579,8821,945,4441,973,478
固定負債
長期借入金606,679347,516430,000371,672613,344560,016526,688503,360460,032496,704418,376
リース債務127,139155,766164,162171,417152,638133,077131,987107,45575,63651,47431,213
役員退職慰労引当金73,56558,10269,31580,56591,815103,815115,965128,115113,852124,402116,465
退職給付に係る負債49,54641,49136,29642,59734,91426,51343,99672,96561,93965,81255,337
その他12,9208,3033,6872,5742,6302,6872,7462,8062,8672,9302,930
社債--100,000100,000100,000100,000-----
固定負債合計869,850611,179803,461768,826995,342926,109821,383814,702714,327741,322624,322
負債合計3,264,1433,175,2973,444,7703,432,2692,812,1942,802,1422,752,1822,793,3303,294,2102,686,7672,597,800
純資産の部
株主資本
資本金222,000222,000222,000222,000222,000222,000222,000222,000222,000222,000222,000
資本剰余金134,400134,400134,400134,400134,400134,400134,400134,400134,400134,400134,400
利益剰余金2,821,0583,014,0683,120,0933,249,8253,491,6903,747,6733,853,9463,860,2083,877,9293,896,2463,948,850
自己株式-305,391-305,763-305,763-305,763-305,929-306,040-306,230-306,230-306,366-306,395-306,395
株主資本合計2,872,0673,064,7053,170,7303,300,4623,542,1613,798,0323,904,1163,910,3773,927,9623,946,2503,998,855
その他の包括利益累計額
その他有価証券評価差額金7,45310,310931-6,360-10,869-6,844-7,31679525,21625,71375,042
土地再評価差額金-1,932,656-1,932,656-1,932,656-1,932,656-1,932,656-1,932,656-1,932,656-1,932,656-1,932,656-1,932,656-1,932,656
その他の包括利益累計額合計-1,925,203-1,922,346-1,931,725-1,939,016-1,943,525-1,939,501-1,939,973-1,931,861-1,907,440-1,906,943-1,857,614
純資産合計946,8631,142,3581,239,0051,361,4451,598,6351,858,5301,964,1421,978,5152,020,5222,039,3072,141,240
負債純資産合計4,211,0074,317,6564,683,7754,793,7144,410,8294,660,6734,716,3254,771,8465,314,7324,726,0754,739,041