まんだらけ

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

2016-09千円
2017-09千円
2018-09千円
2019-09千円
2020-09千円
2021-09千円
2022-09千円
2023-09千円
2024-09千円
2025-09千円
資産の部
流動資産
現金及び預金664,994553,233732,748659,092766,573736,348845,4711,470,1941,251,747766,155
売掛金------292,343360,024268,943394,765
商品及び製品6,736,9427,024,4407,398,4608,073,0568,153,6668,538,4559,047,2929,526,93010,086,15711,109,640
仕掛品1,9984,4337,8122,1452,0802,3382,5754,7604,4504,854
原材料及び貯蔵品23,09324,10624,32723,62319,59918,67218,22819,58725,02622,793
前払費用50,63943,38240,86861,27460,47145,63251,50545,76054,94770,853
未収入金15,87621,86621,97917,39126,62337,29930,97329,74326,61313,924
その他9,62524,05330,61738,85239,99938,37953,82065,789104,30167,927
貸倒引当金-------400-1,900-1,480-530
受取手形及び売掛金155,960195,456209,161243,943264,400271,255----
未収還付法人税等----15,304-----
未収消費税等-39,248-2,647------
繰延税金資産171,162187,975207,396-------
流動資産合計7,830,2938,118,1968,673,3719,122,0269,348,7199,688,38110,341,81011,520,89011,820,70812,450,384
固定資産
有形固定資産
建物4,819,8894,974,9094,966,4034,976,3905,032,8005,065,4185,097,4405,155,5905,227,2525,327,155
減価償却累計額-1,757,108-1,828,846-1,945,921-2,081,721-2,222,929-2,314,511-2,450,587-2,576,650-2,698,637-2,816,745
建物(純額)3,062,7803,146,0623,020,4822,894,6692,809,8712,750,9072,646,8522,578,9402,528,6152,510,410
構築物252,517305,879305,879306,412306,412298,480298,480298,480298,480298,480
減価償却累計額-70,916-47,730-62,032-75,816-89,082-94,472-106,670-118,314-129,568-140,456
構築物(純額)181,601258,148243,846230,596217,330204,007191,810180,166168,912158,024
機械及び装置212,595214,231214,231214,231214,231214,231214,231214,231214,231214,231
減価償却累計額-26,619-51,833-76,389-97,147-114,706-129,567-142,967-155,895-168,434-180,781
機械及び装置(純額)185,975162,397137,841117,08399,52584,66371,26358,33545,79733,449
車両運搬具4,62912,62912,62920,12520,12520,12520,12520,12520,12520,125
減価償却累計額-4,629-6,962-9,795-13,175-16,656-17,922-18,877-19,293-19,710-20,125
車両運搬具(純額)05,6662,8336,9493,4682,2021,2488314140
工具、器具及び備品903,466914,225899,289890,571974,0851,033,1461,073,6061,213,1941,222,6951,365,741
減価償却累計額-592,396-601,324-613,101-636,725-697,712-754,145-821,148-876,405-952,715-1,023,688
工具、器具及び備品(純額)311,069312,900286,188253,846276,373279,001252,458336,789269,979342,052
土地2,212,6232,216,1362,216,1362,216,1362,216,1362,216,1362,216,1362,251,2172,251,2172,324,480
建設仮勘定102,869-1,500---2,0882,9695,50038,440
有形固定資産合計6,056,9206,101,3135,908,8285,719,2825,622,7065,536,9195,381,8585,409,2495,270,4365,406,857
無形固定資産
ソフトウエア44,82337,45123,2769,21113,38913,39131,73230,17020,50514,393
無形固定資産合計44,82337,45123,2769,21113,38913,39131,73230,17020,50514,393
投資その他の資産
投資有価証券5257197955774465616621,0391,2531,899
出資金800800800800800830830830830830
長期貸付金16,00016,00016,00016,00016,00016,00017,26018,57016,55016,060
長期前払費用12,2079,4947,04113,3336,1382,5892,98013,4609,52832,112
繰延税金資産----511,546550,015566,143579,155602,942587,139
差入保証金307,318300,017292,945294,098349,038330,049346,200365,772366,357413,667
貸倒引当金-16,000-16,000-16,000-16,000-16,000-16,000-17,260-18,570-16,550-16,060
繰延税金資産161,879164,978238,183478,968------
投資その他の資産合計482,729476,010539,766787,777867,971884,045916,816960,258980,9121,035,648
固定資産合計6,584,4746,614,7756,471,8726,516,2716,504,0676,434,3566,330,4076,399,6796,271,8536,456,900
資産合計14,414,76714,732,97215,145,24315,638,29815,852,78616,122,73716,672,21817,920,57018,092,56218,907,285
負債の部
流動負債
支払手形及び買掛金14,50314,03514,80514,45924,31118,35318,35021,40720,10222,857
短期借入金-400,000758,3331,371,0001,482,0002,016,0002,666,2002,624,4002,400,0002,400,000
1年内返済予定の長期借入金1,612,9921,488,6221,139,0031,855,9142,261,0891,268,032931,264986,918895,3321,403,228
1年内償還予定の社債148,200148,00091,00091,000131,00066,00040,00040,00040,000-
未払金187,944170,452240,787143,244199,941177,836263,732368,088396,358394,927
未払費用49,60259,95062,48553,82063,20762,50363,26186,38884,88693,260
未払法人税等64,308203,759203,350180,70526,876204,933350,356502,335434,935298,222
契約負債------94,40440,42041,09348,703
預り金33,71561,26962,84832,48749,48433,08734,67877,30444,45555,136
賞与引当金48,40640,28344,34349,71550,45654,27057,54364,36683,70197,459
株主優待引当金---61,51471,24583,87789,78482,94981,09386,807
前受金80,12223,09122,00021,01147,79968,822----
流動負債合計2,239,7952,609,4632,638,9573,874,8714,407,4124,053,7184,609,5764,894,5784,521,9584,900,602
固定負債
長期借入金5,296,7784,944,4764,755,4643,532,8832,994,4703,307,6762,731,8622,455,2941,725,9621,111,196
退職給付引当金442,270486,648731,263744,454758,247790,281818,654852,421918,015790,765
役員退職慰労引当金---------198,291
資産除去債務57,86458,59958,72758,99964,09257,64857,78761,89061,72683,774
社債447,000299,000208,000117,000186,000120,00080,00040,000--
固定負債合計6,243,9135,788,7245,753,4544,453,3374,002,8094,275,6063,688,3033,409,6062,705,7032,184,027
負債合計8,483,7098,398,1878,392,4128,328,2098,410,2218,329,3248,297,8798,304,1857,227,6627,084,630
純資産の部
株主資本
資本金837,440837,440837,440837,440837,440837,440837,440837,440837,440837,440
資本剰余金
資本準備金1,117,3801,117,3801,117,3801,117,3801,117,3801,117,3801,117,3801,117,3801,117,3801,117,380
資本剰余金合計1,117,3801,117,3801,117,3801,117,3801,117,3801,117,3801,117,3801,117,3801,117,3801,117,380
利益剰余金
利益準備金3,0003,0003,0003,0003,0003,0003,0003,0003,0003,000
その他利益剰余金
特別償却準備金333333333333333333333333333333
別途積立金1,518,0001,618,0001,818,0002,018,0002,218,0002,218,0002,318,0002,518,0002,718,0003,018,000
繰越利益剰余金2,587,6972,891,2883,109,2833,466,6933,399,2603,750,0294,230,8855,272,7236,442,5137,231,285
利益剰余金合計4,109,0304,512,6214,930,6165,488,0265,620,5935,971,3626,552,2187,794,0569,163,84610,252,618
自己株式-132,879-132,879-132,879-132,879-132,879-132,879-132,879-132,932-254,355-385,805
株主資本合計5,930,9706,334,5626,752,5577,309,9677,442,5337,793,3038,374,1599,615,94410,864,31111,821,632
評価・換算差額等
その他有価証券評価差額金87222274122311101794405881,022
評価・換算差額等合計87222274122311101794405881,022
純資産合計5,931,0586,334,7846,752,8317,310,0897,442,5657,793,4138,374,3389,616,38510,864,89911,822,655
負債純資産合計14,414,76714,732,97215,145,24315,638,29815,852,78616,122,73716,672,21817,920,57018,092,56218,907,285