グンゼ

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7,4719,6709,4778,1029,2679,71714,46911,54710,81810,5419,936
受取手形、売掛金及び契約資産-------27,12927,58825,01522,560
商品及び製品17,75419,97419,46820,08221,85721,09421,36124,11424,70624,23319,104
仕掛品6,6485,7515,9066,4136,6725,7146,7027,1287,4257,6067,527
原材料及び貯蔵品5,4564,5464,3874,6354,4874,3025,6307,0546,0266,6316,479
短期貸付金55858987467260458064478150107131
その他2,6972,0542,3862,7533,3932,9833,7685,8414,1953,8623,561
貸倒引当金-19-8-9-8-5-17-11-16-13-23-35
受取手形及び売掛金28,92527,80530,27730,37628,09927,71526,634----
繰延税金資産2,1131,1981,095--------
流動資産合計71,60571,58273,86573,03074,37772,09079,19983,58080,79677,97469,266
固定資産
有形固定資産
建物及び構築物112,184114,474114,993118,649119,227122,045109,634109,267110,545111,875118,281
減価償却累計額-73,316-74,399-75,887-77,536-79,527-82,355-75,769-72,610-74,354-75,092-77,958
建物及び構築物(純額)38,86740,07539,10641,11339,69939,68933,86436,65736,19136,78340,323
機械装置及び運搬具102,957100,34695,25594,90593,57694,58792,98589,44693,84790,28790,054
減価償却累計額-87,138-88,843-84,819-85,008-84,121-83,859-82,921-79,048-80,245-77,140-76,382
機械装置及び運搬具(純額)15,81911,50310,4369,8979,45510,72710,06410,39813,60113,14713,671
工具、器具及び備品7,4617,4827,6147,6817,6947,8238,3358,6499,0939,53810,169
減価償却累計額-5,869-5,910-6,014-6,167-6,224-6,430-6,068-6,183-6,631-7,049-7,610
工具、器具及び備品(純額)1,5911,5711,5991,5141,4701,3932,2662,4662,4612,4882,558
土地11,97712,93512,51613,00512,28712,17310,52610,44610,47910,2059,986
リース資産5667251,0011,1781,1891,1992,2891,3131,3491,4211,417
減価償却累計額-159-250-410-588-898-1,036-1,839-1,205-1,235-1,258-1,286
リース資産(純額)406474590589291162450107113162131
建設仮勘定1,2217126043624,7177762,3183,0417494,9772,228
有形固定資産合計69,88467,27264,85366,48367,92164,92359,49063,11763,59767,76468,899
無形固定資産
ソフトウエア9449401,0311,0868616637777571,2711,4891,264
その他3779757861,056913948566689657296121
無形固定資産合計1,3221,9161,8172,1431,7741,6121,3431,4461,9281,7861,385
投資その他の資産
投資有価証券18,52320,37623,77519,17015,59115,63811,96411,6986,8333,9243,530
長期貸付金626592581147300-44129
退職給付に係る資産------2111,3272,4162,8566,145
繰延税金資産----3,4521,5742,3711,1383,2692,3741,284
その他4,4354,7384,9585,8533,5773,8593,6863,6843,1993,0653,176
貸倒引当金-101-150-84-254-69-71-51-67-69-114-205
繰延税金資産3,4533,4301,5063,191-------
投資損失引当金--299---------
投資その他の資産合計26,93628,68830,73727,97522,56021,00418,18317,78215,64812,15114,060
固定資産合計98,14397,87797,40896,60292,25687,53979,01682,34681,17481,70284,346
資産合計169,749169,460171,273169,632166,633159,629158,216165,927161,971159,677153,612
負債の部
流動負債
支払手形及び買掛金9,1129,5949,6409,91010,2717,8308,92810,0108,2868,1387,164
短期借入金8,8988,2046,5016,4165,5134,9135,0186,077252577875
コマーシャル・ペーパー5,2004,0006,0006,2006,600500----2,000
1年内返済予定の長期借入金1,9546,9455,0772,1015607,3012,4024384622,6115,710
未払法人税等3311,3113371,3766353972,1392631,357349605
賞与引当金1,1171,1661,2291,3141,4371,4361,3611,3531,4051,4991,441
設備関係支払手形1,078721612908548969429362631,203555
事業構造改善引当金--------1,78396786
その他10,74010,3799,3608,4428,7018,38710,21110,97111,07910,0748,495
事業譲渡損失引当金------218----
流動負債合計38,43342,32338,76036,66934,26730,86331,22130,05224,89024,55127,636
固定負債
長期借入金14,3558,5629,91210,97211,9734,5812,3178,6388,2305,6685,261
関係会社事業損失引当金----------7
退職給付に係る負債4,8874,8185,2635,5345,4463,6453,7504,4943,9374,1332,603
長期預り敷金保証金4,1224,3714,2934,5004,9654,7504,3894,2203,9863,9353,913
その他1,3101,0319137846925661,631610458406443
債務保証損失引当金---10214844115220---
固定負債合計24,67618,78320,38321,89423,22713,58712,20318,18316,61314,14312,228
負債合計63,11061,10659,14358,56357,49444,45143,42548,23541,50338,69439,865
純資産の部
株主資本
資本金26,07126,07126,07126,07126,07126,07126,07126,07126,07126,07126,071
資本剰余金13,99913,99813,9426,7546,7016,6746,5666,5666,5656,5606,571
利益剰余金76,60577,50479,71882,05084,35184,45681,18478,97281,57685,29769,755
自己株式-9,108-9,111-11,152-5,293-6,727-6,904-4,399-1,044-2,974-5,273-761
株主資本合計107,567108,462108,579109,583110,397110,298109,423110,566111,239112,656101,636
その他の包括利益累計額
その他有価証券評価差額金-1,728-622,711224-2,6172,3211,3932,4642,438883979
繰延ヘッジ損益---81195716-35-14415688532
土地再評価差額金-400-67-54-54-45-45-26-13-13-13-13
為替換算調整勘定1,8381,1541,2487455073891,9642,9414,1185,1945,407
退職給付に係る調整累計額-2,117-1,333-1,261-1,011-731575183-567022643,214
その他の包括利益累計額合計-2,408-3092,561-76-2,8303,2563,4805,1917,4036,41810,120
新株予約権24628728126018715813112412411095
非支配株主持分1,233-887061,3011,3851,4651,7551,8081,7001,7961,894
純資産合計106,639108,353112,129111,068109,139115,178114,790117,691120,467120,982113,746
負債純資産合計169,749169,460171,273169,632166,633159,629158,216165,927161,971159,677153,612