ナフコ

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23,42024,55427,11823,08824,19040,98434,11136,12332,99718,50011,523
売掛金2,6202,6972,8493,3122,9523,0343,9014,4464,5134,5364,729
商品60,88957,17956,26357,61957,06856,87160,84563,55360,56264,28266,536
貯蔵品109427131561094
前払費用1,0751,0429679409058999729899651,0031,003
未収入金12314811410410110320890785984
その他6685725265155155166935434251,839401
貸倒引当金-1-3-1-1-2-4-4-4-3-3-3
前渡金--------23--
繰延税金資産1,1801,0461,062--------
短期貸付金-500---------
流動資産合計89,98787,74888,90385,58185,738102,419100,744105,74899,57490,22884,279
固定資産
有形固定資産
建物114,842118,751121,148123,298125,493128,037129,568132,376133,710138,141138,478
減価償却累計額-49,588-52,904-56,102-58,800-61,473-64,405-67,679-70,347-73,173-76,245-79,241
建物(純額)65,25465,84665,04564,49764,01963,63161,88962,02860,53761,89559,236
構築物20,86621,80122,17922,39822,75922,98523,23123,39323,61123,93923,780
減価償却累計額-14,885-15,859-16,720-17,402-18,079-18,669-19,267-19,608-20,122-20,556-20,818
構築物(純額)5,9805,9415,4584,9964,6804,3163,9643,7853,4883,3832,962
車両運搬具259230199925544444
減価償却累計額-257-229-198-92-5-5-4-4-4-4-4
車両運搬具(純額)21000000000
工具、器具及び備品8,3758,9499,3859,95110,33110,44410,51710,65910,72510,82510,854
減価償却累計額-6,856-7,478-8,060-8,516-9,037-9,453-9,818-10,027-10,190-10,372-10,480
工具、器具及び備品(純額)1,5191,4711,3241,4351,293990698631534453374
土地46,59846,45347,93748,68548,58048,53148,51548,95249,17149,32149,321
リース資産10,66310,09110,84411,64912,44413,19215,15016,30918,46720,74421,399
減価償却累計額-7,420-6,973-7,967-8,923-9,957-10,825-11,831-12,825-14,001-15,434-16,894
リース資産(純額)3,2433,1182,8762,7262,4872,3663,3183,4844,4655,3104,505
建設仮勘定8881,0923291,0032391041711281,0136291,092
有形固定資産合計123,487123,924122,973123,344121,301119,942118,557119,010119,210120,994117,492
無形固定資産
借地権2,3312,3992,4472,4442,4812,5002,5852,5882,6072,7092,659
ソフトウエア1381037085137145160126111146445
電話加入権4747474747474747474747
リース資産353321224198287415501481385301168
その他11511610913910596786859446588
無形固定資産合計2,9872,9882,8982,9153,0593,2043,3723,3123,2103,6513,909
投資その他の資産
投資有価証券311351427393240293267283380405532
関係会社株式2121212121212121212121
出資金00000000000
破産更生債権等2211111110-
長期前払費用738601483550448341290278223213181
繰延税金資産----3,6743,5733,5853,5043,4393,5833,492
敷金及び保証金6,7926,6816,6296,4706,5216,3536,2266,2416,1816,0956,046
建設協力金26718411952331511852-
その他96667788889
貸倒引当金-2-11-10-10-10-10-10-10-10-9-9
繰延税金資産1,5361,8282,0523,175-------
長期貸付金500----------
投資その他の資産合計10,1769,6669,73110,66010,93710,59710,40110,33710,25110,32110,275
固定資産合計136,651136,579135,604136,920135,298133,744132,331132,660132,672134,966131,677
資産合計226,638224,327224,507222,501221,037236,164233,075238,408232,246225,195215,957
負債の部
流動負債
支払手形17,61816,25616,21016,41215,10416,44114,88114,13213,17711,267125
買掛金14,63314,81715,05514,08113,01213,54714,15613,01511,27011,33711,585
電子記録債務----------6,059
短期借入金22,63022,63022,63022,46520,90520,24519,58518,92518,82018,35517,695
リース債務1,3191,2861,1191,0839969461,2091,3261,4721,7491,512
未払金4,8594,3584,1984,2603,9045,0813,5674,2364,3223,8393,383
未払法人税等2,4911,4391,8381,0712,2375,8005171,670362307390
未払消費税等-1,4315032051,2042,082-4468403471,230
契約負債------3,2093,2643,0692,9782,997
予約預り金1,0261,1451,0701,1239221,1681,2681,0749439551,017
預り金311304301310338313301332310302328
前受収益1920273544435755556570
賞与引当金1,0591,0801,0551,0101,0031,0321,0431,042955936838
役員賞与引当金3434312628282831312028
設備関係支払手形10,2434,3111,7233,8612,1121,9211,7583,1832,4622,84213
前受金-------10694100734
資産除去債務--43461197--35269
その他246249245243331353358248245246245
1年内返済予定の長期借入金2,3083,0022,7241,8961,4961,084599998--
ポイント引当金1,3371,2501,2451,1991,1791,033-----
流動負債合計80,14173,61870,02469,33364,93971,13162,54563,19058,44555,70348,324
固定負債
リース債務2,5332,2241,8821,7261,7461,8082,7402,8583,7694,7053,846
退職給付引当金2,7542,9503,1643,1623,1483,0933,0633,0203,0142,9722,948
役員退職慰労引当金1,4921,5411,5549751,028367384686744774844
資産除去債務4,6035,0625,2715,4055,6205,8356,0746,4546,5386,7016,747
その他159154297442435397396375372381403
長期借入金4,0054,5724,8102,9141,7937081088---
固定負債合計15,54916,50616,98014,62813,77312,21012,76713,40414,43915,53514,790
負債合計95,69090,12487,00483,96178,71383,34275,31276,59472,88571,23963,115
純資産の部
株主資本
資本金3,5383,5383,5383,5383,5383,5383,5383,5383,5383,5383,538
資本剰余金
資本準備金4,2234,2234,2234,2234,2234,2234,2234,2234,2234,2234,223
資本剰余金合計4,2234,2234,2234,2234,2234,2234,2234,2234,2234,2234,223
利益剰余金
利益準備金3737373737373737373737
その他利益剰余金
固定資産圧縮積立金638633630627620615610605615649645
別途積立金112,000115,000118,000121,000124,000127,000137,000142,000145,000146,500146,500
繰越利益剰余金10,43610,66710,91811,33212,19519,66114,62113,66512,0879,2328,034
固定資産圧縮特別勘定積立金--------47--
利益剰余金合計123,111126,338129,586132,996136,853147,313152,268156,308157,788156,419155,216
自己株式000-2,350-2,350-2,351-2,351-2,351-6,351-10,401-10,401
株主資本合計130,872134,099137,347138,407142,263152,724157,679161,718159,198153,779152,577
評価・換算差額等
その他有価証券評価差額金7510315613260978394162177264
評価・換算差額等合計7510315613260978394162177264
純資産合計130,948134,202137,503138,540142,324152,821157,763161,813159,361153,956152,842
負債純資産合計226,638224,327224,507222,501221,037236,164233,075238,408232,246225,195215,957