ライフフーズ

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

2016-02千円
2017-02千円
2018-02千円
2019-02千円
2020-02千円
2021-02千円
2022-02千円
2023-02千円
2024-02千円
2025-02千円
2026-02千円
資産の部
流動資産
現金及び預金3,107,5373,445,4923,146,9963,175,0753,806,3124,019,4904,096,8353,509,5302,793,2972,230,6032,021,787
売掛金11,83710,0719,4739,47724,67242,34799,293120,103100,088109,418116,984
商品2682852622052341941582,9934,5554,5094,343
原材料及び貯蔵品49,44850,40550,48652,25660,31151,89353,24168,11252,62060,27759,014
前払費用167,883166,634168,225159,507160,612161,253156,794149,648133,833133,822126,630
未収入金151,065141,778141,479144,492131,88595,29987,21882,101165,68986,23569,033
その他48,62428,36115,23426,03928,089139,2449,71911,45214,7367,23230,027
繰延税金資産87,28085,83892,09981,758-------
流動資産合計3,623,9453,928,8683,624,2583,648,8114,212,1184,509,7234,503,2613,943,9423,264,8222,632,0992,427,820
固定資産
有形固定資産
建物4,376,9854,215,4034,247,2364,176,5034,123,3293,415,8443,384,6573,271,1802,889,9382,612,1702,348,711
減価償却累計額-3,049,266-2,975,818-3,045,318-3,032,079-3,009,909-2,681,890-2,698,388-2,611,321-2,523,879-2,277,108-2,065,106
建物(純額)1,327,7181,239,5851,201,9171,144,4231,113,420733,953686,269659,859366,058335,061283,604
構築物592,124556,695565,923571,976564,395485,319476,766475,757439,380389,767327,028
減価償却累計額-501,591-479,235-484,012-487,638-494,864-456,025-453,365-444,084-429,598-376,460-315,494
構築物(純額)90,53377,46081,91184,33769,53129,29423,40031,6729,78213,30611,534
機械及び装置----34,87314,00818,37415,62514,69413,07713,077
減価償却累計額-----5,812-13,116-14,114-15,124-14,694-13,077-13,077
機械及び装置(純額)----29,0618924,260501---
工具、器具及び備品534,769558,802574,977576,811581,651529,854543,428545,367517,486485,605461,027
減価償却累計額-466,586-469,481-492,950-494,280-502,260-476,573-491,711-491,226-486,783-447,389-426,047
工具、器具及び備品(純額)68,18389,32082,02782,53179,39053,28151,71654,14030,70338,21634,979
土地6,728228228228228228228228228228228
建設仮勘定-54016,956--17,147-----
有形固定資産合計1,493,1641,407,1341,383,0411,311,5211,291,632834,798765,875746,403406,773386,812330,346
無形固定資産
借地権3,95510,45510,45510,45510,45510,45510,45510,45510,45510,45510,455
ソフトウエア4,18368,63573,06060,81565,35948,60227,23220,05814,19011,51810,380
ソフトウエア仮勘定1,404------8,00046,21046,210222,098
電話加入権25,56325,56325,56325,56325,56325,56325,56325,56325,56325,56325,563
施設利用権895659522410317263225198171145-
無形固定資産合計36,001105,314109,60197,244101,69684,88463,47564,27596,59193,892268,496
投資その他の資産
投資有価証券--200,000200,000200,000200,000200,000200,000200,000200,000200,000
出資金6,1436,1436,1436,1436,1436,1736,1736,1836,1536,1536,153
長期貸付金77,85379,26076,26280,56469,22061,51256,27346,85540,18133,69629,949
破産更生債権等510510510510510510510510510510510
長期前払費用29,84321,96314,5778,67334,80627,79518,85819,29513,43141,75129,616
差入保証金938,274904,841905,823873,754841,965815,687769,586757,013610,335568,354527,047
繰延税金資産-----388,357391,071307,483-107,487103,726
貸倒引当金-510-510-510-510-510-510-510-510-510-510-510
繰延税金資産264,000239,494261,993265,455367,280------
投資その他の資産合計1,316,1151,251,7021,464,8001,434,5901,519,4161,499,5261,441,9641,336,831870,101957,442896,492
固定資産合計2,845,2812,764,1512,957,4422,843,3562,912,7442,419,2092,271,3152,147,5091,373,4661,438,1471,495,336
資産合計6,469,2266,693,0196,581,7006,492,1687,124,8636,928,9326,774,5776,091,4524,638,2884,070,2473,923,156
負債の部
流動負債
買掛金369,281351,778361,759367,886731,045468,305231,521296,062273,021268,668511,887
1年内返済予定の長期借入金60,719104,731104,742104,75472,902568,582741,606801,630783,357453,19686,548
未払金368,344369,330256,284246,075433,308419,479191,577231,351306,581260,740256,427
未払費用435,214429,640441,451451,996489,512353,129329,655346,413342,278330,359380,717
未払法人税等135,099104,07492,77575,75090,78319,38837,79237,85335,22934,08332,149
未払消費税等104,69479,25564,89979,309149,344-19,281121,456125,25384,367107,428
前受収益15,06114,22621,73416,38211,87527,96126,74626,08424,61621,15019,888
預り金17,60319,29823,91723,61144,32037,41610,19410,76514,5219,93823,333
賞与引当金116,031117,520123,330105,704112,519-68,71732,36757,19255,93659,880
1年内償還予定の社債-----------
流動負債合計1,622,0501,589,8581,490,8941,471,4702,135,6121,894,2631,657,0941,903,9861,962,0511,518,4401,478,260
固定負債
長期借入金194,725272,994168,25163,49772,2691,881,3731,884,7451,339,768556,410103,21416,666
長期未払金209,034197,156231,968215,536193,889138,066115,250137,177110,94369,38031,848
長期預り保証金113,62395,60798,71285,96150,55545,55545,55537,75548,67838,71838,716
退職給付引当金376,563417,533457,361490,413527,439571,083611,543657,119656,573617,749601,976
役員退職慰労引当金80,30886,33152,41646,44950,84830,51831,17034,24337,31640,39045,541
繰延税金負債--------8,987--
その他2,6486762,59249640731722713747--
転貸損失引当金4,4822,9221,665669-------
固定負債合計981,3861,073,2211,012,967903,023895,4102,666,9142,688,4912,206,2011,418,958869,452734,749
負債合計2,603,4362,663,0802,503,8622,374,4943,031,0224,561,1774,345,5864,110,1873,381,0092,387,8932,213,010
純資産の部
株主資本
資本金1,838,5261,838,5261,838,5261,838,5261,838,526100,000100,000100,000100,000100,000100,000
資本剰余金
資本準備金1,537,5261,537,5261,537,5261,537,5261,537,5261,537,5261,537,5261,537,5261,537,5261,305,4501,305,450
その他資本剰余金-----1,738,526884,522884,522889,80111,88811,888
資本剰余金合計1,537,5261,537,5261,537,5261,537,5261,537,5263,276,0532,422,0482,422,0482,427,3271,317,3391,317,339
利益剰余金
その他利益剰余金
繰越利益剰余金487,850652,000699,938738,845714,081-1,012,004-97,306-545,033-1,279,876402,103421,589
別途積立金146,000146,000146,000146,000146,000146,000146,000146,000146,000--
利益準備金12,00012,00012,00012,00012,00012,00012,00012,00012,000--
利益剰余金合計645,850810,000857,938896,845872,081-854,00460,693-387,033-1,121,876402,103421,589
自己株式-156,114-156,114-156,153-155,223-154,293-154,293-153,751-153,751-148,171-137,088-128,782
株主資本合計3,865,7894,029,9394,077,8374,117,6744,093,8402,367,7552,428,9911,981,2641,257,2791,682,3541,710,146
純資産合計3,865,7894,029,9394,077,8374,117,6744,093,8402,367,7552,428,9911,981,2641,257,2791,682,3541,710,146
負債純資産合計6,469,2266,693,0196,581,7006,492,1687,124,8636,928,9326,774,5776,091,4524,638,2884,070,2473,923,156