大光

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

2016-05千円
2017-05千円
2018-05千円
2019-05千円
2020-05千円
2021-05千円
2022-05千円
2023-05千円
2024-05千円
2025-05千円
資産の部
流動資産
現金及び預金265,638388,9061,197,823379,833419,140288,042282,763629,735585,287534,923
受取手形------3,6111,4789921,419
売掛金------5,008,7655,982,6296,243,8407,546,811
有価証券-30,288--97,835180,79850,175121,881100,010100,000
商品3,558,7443,455,8293,651,4174,292,0444,025,0363,484,5144,266,6824,612,6694,822,8585,802,782
貯蔵品14,85917,52525,30230,39943,11150,85665,21880,27812,21816,819
その他793,841771,574828,870877,6381,169,2201,321,4931,114,0061,134,6211,091,1381,182,193
貸倒引当金-7,508-8,316-7,191-3,984-1,980-4,322-1,980-4,558-6,558-6,363
受取手形及び売掛金5,131,9785,295,8315,155,5055,393,0783,253,6513,801,809----
繰延税金資産99,748100,732113,759-------
流動資産合計9,857,30210,052,37210,965,48810,969,0109,006,0159,123,19110,789,24112,558,73612,849,78815,178,585
固定資産
有形固定資産
建物及び構築物(純額)3,593,5083,276,1843,332,4133,383,7093,171,6633,286,8583,249,1713,213,1745,036,9074,740,859
機械及び装置(純額)374,753351,429448,214463,732343,970332,096311,526372,216410,227397,580
土地306,675306,675307,567307,567307,567308,558308,558289,3151,064,8672,104,867
リース資産(純額)396,184394,587391,709380,420368,769311,052262,394335,620295,345475,261
建設仮勘定1,86011,202-----583,320217,419305,231
その他(純額)190,476256,299260,935264,967240,953244,140245,524227,515306,850280,582
有形固定資産合計4,863,4584,596,3784,740,8404,800,3974,432,9234,482,7054,377,1755,021,1627,331,6188,304,382
無形固定資産52,20746,23934,29739,50739,18731,75423,18823,43632,13062,405
投資その他の資産
投資有価証券1,146,5901,279,1121,121,0071,106,9591,197,329895,465878,1401,055,6071,080,0541,338,458
繰延税金資産----484,486234,551259,393260,213570,648735,412
その他1,922,5661,952,6651,918,7771,893,2761,876,8601,884,6031,603,6531,588,7941,932,4701,847,450
貸倒引当金-474,821-479,891-477,479-471,824-471,641-467,041-12,733-8,221-8,023-7,327
繰延税金資産209,991228,102279,756456,507------
投資その他の資産合計2,804,3252,979,9892,842,0622,984,9193,087,0352,547,5782,728,4532,896,3933,575,1503,913,993
固定資産合計7,719,9907,622,6077,617,1997,824,8247,559,1467,062,0387,128,8177,940,99110,938,89812,280,781
資産合計17,577,29317,674,97918,582,68818,793,83416,565,16216,185,22917,918,05820,499,72723,788,68727,459,367
負債の部
流動負債
支払手形及び買掛金5,446,6495,969,1386,257,5506,298,7814,284,6684,622,6995,890,3746,665,2577,237,3137,724,158
短期借入金1,559,0001,709,0002,339,0002,527,0001,859,0001,593,5001,839,5001,894,0001,729,0003,520,000
1年内返済予定の長期借入金2,045,2521,764,9401,324,6191,081,640916,435848,834900,2401,136,1241,114,8161,494,458
リース債務43,72046,75151,20256,33859,92656,37152,00150,85244,52750,971
未払法人税等228,186189,812196,308107,948110,20426,680119,193240,194393,732137,102
賞与引当金187,529196,004201,759209,407217,455223,449225,970243,837263,594275,844
その他814,649900,614947,105989,415961,084868,8771,038,624174,9411,049,3501,389,335
未払金-------1,030,802--
ポイント引当金17,35822,93920,73221,78121,51321,89225,35428,851--
流動負債合計10,342,34410,799,20011,338,27811,292,3128,430,2878,262,30410,091,25911,464,86111,832,33414,591,870
固定負債
長期借入金3,586,3742,771,7281,447,1091,299,1491,732,4921,916,9141,950,0061,897,2144,174,0944,519,591
リース債務396,708394,534391,436381,278366,270309,899257,897336,393294,588514,804
役員退職慰労引当金193,229217,879237,504237,907261,517285,751298,591306,983328,236352,652
退職給付に係る負債314,550328,003338,672375,480392,895420,780428,385423,734418,494419,809
資産除去債務274,271287,370309,406449,219455,420481,506484,957514,809522,543532,252
その他52,24048,24052,35058,350159,350159,350159,350149,350149,350151,850
固定負債合計4,817,3744,047,7552,776,4802,801,3853,367,9473,574,2033,579,1893,628,4865,887,3076,490,960
負債合計15,159,71914,846,95614,114,75814,093,69811,798,23411,836,50813,670,44815,093,34717,719,64221,082,830
純資産の部
株主資本
資本金475,032475,0321,076,3721,076,3721,076,3721,076,3721,076,3721,482,0631,482,0631,482,063
資本剰余金378,830378,830980,171980,171980,171980,171980,1711,385,8621,385,8621,385,862
利益剰余金1,563,7591,905,3712,407,6612,724,0242,830,1842,269,2902,167,3222,472,2943,071,2333,403,576
自己株式-33,901-33,901-33,901-33,904-33,904-33,904-33,904-33,904-33,904-33,904
株主資本合計2,383,7202,725,3324,430,3034,746,6634,852,8244,291,9304,189,9625,306,3165,905,2556,237,598
その他の包括利益累計額
その他有価証券評価差額金59,927115,99037,971-45,652-91,35853,65369,72182,840135,124102,041
繰延ヘッジ損益-107-141827423-823-20,3724084511
退職給付に係る調整累計額-26,073-13,406-203-1,7025,0383,9618,29916,81428,62036,884
その他の包括利益累計額合計33,853102,69137,626-46,527-85,89756,79157,647100,063163,790138,937
純資産合計2,417,5732,828,0234,467,9294,700,1364,766,9274,348,7214,247,6105,406,3806,069,0456,376,536
負債純資産合計17,577,29317,674,97918,582,68818,793,83416,565,16216,185,22917,918,05820,499,72723,788,68727,459,367