ニチレイ

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13,16920,51218,29920,82925,93328,93323,41327,84331,27939,36952,108
受取手形及び売掛金76,83676,46485,10387,21982,26981,74990,965101,275105,811101,430107,809
商品及び製品35,39935,69237,13237,53539,20138,49841,07742,74137,82939,63739,503
仕掛品4534188359358899951,1899871,2742,5821,839
原材料及び貯蔵品6,6576,2367,2907,2637,8438,3729,86111,21612,22112,77415,738
その他4,3934,7724,9896,88914,30311,13113,90412,76113,1699,24213,284
貸倒引当金-94-79-86-118-131-109-112-130-150-110-159
繰延税金資産2,5672,2552,316--------
流動資産合計139,383146,273155,881160,554170,308169,572180,299196,695201,434204,925230,124
固定資産
有形固定資産
建物及び構築物229,774230,871237,546244,223252,672259,690261,489276,952290,828302,316319,124
減価償却累計額-157,596-161,658-167,080-170,409-174,989-179,049-179,393-186,834-195,296-202,192-210,866
建物及び構築物(純額)72,17769,21370,46573,81477,68280,64182,09590,11895,531100,123108,257
機械装置及び運搬具88,41689,21697,465102,216106,589115,963125,441137,180149,726163,158182,070
減価償却累計額-65,568-68,239-71,955-75,347-78,832-82,434-88,650-95,987-105,760-114,230-124,730
機械装置及び運搬具(純額)22,84720,97725,51026,86927,75633,52836,79041,19243,96548,92757,339
土地33,69434,21535,64335,66436,00738,68341,07541,43345,75546,45749,167
リース資産41,40741,16537,47538,12137,32337,19936,26733,59231,50331,48625,975
減価償却累計額-23,473-23,454-20,682-22,267-22,724-22,517-22,777-20,197-18,567-19,139-12,819
リース資産(純額)17,93317,71116,79215,85414,59814,68113,49013,39412,93512,34613,155
建設仮勘定6579712,2616574,5343,7164,9044,7684,4796,0279,077
その他9,0509,3329,96010,80911,50912,11712,86615,36116,62418,70320,720
減価償却累計額-6,948-7,291-7,840-8,213-8,855-9,407-10,117-11,195-12,208-13,347-14,325
その他(純額)2,1022,0402,1192,5952,6532,7102,7484,1654,4165,3556,394
有形固定資産合計149,413145,129152,792155,456163,233173,962181,106195,073207,084219,238243,392
無形固定資産
のれん2,7682,4422,3073,2542,7541,4936,7006,6876,9067,35610,560
その他3,8644,2355,7556,3156,3976,9018,0807,6328,8778,9369,171
無形固定資産合計6,6326,6788,0629,5699,1528,39414,78114,31915,78316,29219,732
投資その他の資産
投資有価証券34,07438,11941,22540,54335,78040,50638,10638,28146,85845,03646,910
退職給付に係る資産27635455657524938384052
繰延税金資産----1,9122,2602,6072,7262,6902,9203,341
その他7,9989,1319,8509,7509,82811,21511,02410,59711,72610,90613,905
貸倒引当金-303-299-372-287-268-245-369-399-459-139-218
繰延税金資産1,0231,1251,1901,612-------
投資その他の資産合計43,06848,11451,93851,67647,31053,78951,41951,24460,85458,76463,991
固定資産合計199,114199,921212,794216,703219,696236,146247,307260,637283,723294,295327,117
資産合計338,497346,195368,675377,257390,004405,719427,606457,333485,157499,221557,242
負債の部
流動負債
買掛金24,04921,45627,94425,54725,52124,64526,77828,42329,76927,13727,472
電子記録債務4,9985,8692,4172,1942,9393,4272,4761,7101,570993543
短期借入金2,4202,4116,2377,3364,2926,94813,49016,9196,7086,34821,098
コマーシャル・ペーパー--3,0002,0002,000-2,0006,0002,0003,00011,000
1年内償還予定の社債10,000-10,000-10,00010,000-10,000-10,00010,000
1年内返済予定の長期借入金6,1917,3234,0165,2029564,79714,7982,27710,6439,713878
リース債務3,6243,4703,5793,5783,6053,5723,3953,4623,5693,5683,378
未払費用28,58231,96632,78230,91934,89335,48334,90937,53540,59740,35141,056
未払法人税等3,8235,0824,5524,3685,2995,9114,7794,0497,5414,8118,089
役員賞与引当金290319290215228238198185234216215
その他11,22610,91615,67118,19818,68313,48117,94719,52020,89122,94225,566
流動負債合計95,20888,816110,49099,561108,419108,506120,775130,086123,525129,083149,299
固定負債
社債30,00040,00030,00040,00030,00030,00040,00030,00040,00030,00030,000
長期借入金26,83921,13226,59124,38533,42029,01019,88234,86724,53933,66937,848
リース債務15,58015,44114,32113,44912,07612,09311,14911,05210,4939,95510,552
繰延税金負債----2,8304,2655,8536,1459,4258,56512,706
役員退職慰労引当金15013615115417513110265576369
退職給付に係る負債1,5471,6701,8881,8932,0141,9962,0292,1212,2082,1582,291
資産除去債務3,1683,1983,4483,8843,9354,0374,1804,6434,7684,9255,344
長期預り保証金2,9053,0403,0723,0633,0442,1212,1812,3271,9942,2852,339
その他2,0141,8202,1541,9222,6983,1293,5482,5102,2012,5482,352
繰延税金負債5,5586,1906,8755,138-------
固定負債合計87,76592,63188,50493,89090,19686,78688,92893,73395,68994,171103,504
負債合計182,973181,447198,995193,451198,615195,293209,703223,819219,214223,255252,803
純資産の部
株主資本
資本金30,30730,30730,30730,30730,35930,41830,47230,51230,56330,60830,660
資本剰余金18,23718,2377,6177,6175,7505,7955,4955,4925,5135,5585,610
利益剰余金97,319112,734126,510142,274156,953172,436172,369187,333203,783203,435218,613
自己株式-6,197-15,189-17,432-17,443-17,642-17,648-11,841-16,847-16,856-11,749-11,752
株主資本合計139,667146,090147,002162,756175,421191,002196,494206,490223,003227,853243,132
その他の包括利益累計額
その他有価証券評価差額金11,14413,58015,45113,9979,01612,34411,98412,34219,15517,25419,923
繰延ヘッジ損益-87326-7396618021,6392,3601,4362,168-3683,527
為替換算調整勘定503-5561,014-594-736-1,6603294,1739,07615,30119,761
その他の包括利益累計額合計10,77413,05015,72614,0639,08212,32314,67417,95230,40032,18743,212
非支配株主持分5,0815,6066,9516,9856,8847,1006,7339,07012,53715,92518,093
純資産合計155,523164,747169,680183,805191,388210,426217,903233,513265,942275,966304,438
負債純資産合計338,497346,195368,675377,257390,004405,719427,606457,333485,157499,221557,242