白鳩

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

2016-08千円
2017-08千円
2018-08千円
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
2025-11千円
資産の部
流動資産
現金及び預金154,035292,169409,220203,859291,164548,669508,295692,314193,218554,426643,588
電子記録債権---------4552,842
売掛金309,051323,080336,786304,459261,340243,863291,052246,482282,921297,837512,357
商品711,925885,681999,0971,075,0351,161,9701,228,263973,3541,065,9281,189,3151,049,7761,377,854
貯蔵品15,67114,01918,14623,27415,15132,94622,85029,59420,72321,72327,062
前渡金1,1041,4956,1674,7937022552968735,1364,93764
前払費用16,25819,16757,83043,88826,79316,03424,15427,74350,75641,11248,324
未収入金37,88346,66255,87957,39327,97535,99531,13223,43923,13425,12234,831
未収消費税等----------15,020
その他2,2255,2721,4372,4811,412282,3872673571,5941,8122,880
貸倒引当金-1,413-1,172-1,199-906-157-536-712-687-445-411-700
繰延税金資産20,14329,63433,763--------
流動資産合計1,266,8851,616,0091,917,1291,714,2781,786,3522,387,8791,850,6922,086,0471,766,3541,996,7932,664,127
固定資産
有形固定資産
建物481,153482,380487,926487,926468,9872,747,5472,745,6602,745,6602,741,0752,741,0752,282,313
減価償却累計額-116,947-137,654-157,276-166,784-178,503-248,291-349,054-454,610-555,299-660,692-480,352
建物(純額)364,206344,726330,649321,142290,4842,499,2562,396,6062,291,0502,185,7752,080,3821,801,961
構築物18,63818,63819,67919,67917,43966,63266,63266,63266,01366,01349,193
減価償却累計額-10,679-12,084-13,218-13,740-13,840-17,109-21,937-26,542-30,591-35,156-22,974
構築物(純額)7,9586,5546,4605,9383,59949,52344,69440,09035,42130,85726,218
機械及び装置9,1369,1369,1369,1369,136744,337744,337744,337744,337744,337744,337
減価償却累計額-4,263-5,112-5,811-6,102-6,647-71,529-182,321-274,796-351,991-416,438-457,037
機械及び装置(純額)4,8734,0243,3253,0342,488672,808562,016469,541392,346327,899287,300
工具、器具及び備品54,95959,16363,50758,43960,179106,17294,51793,47495,42993,54176,481
減価償却累計額-47,285-51,931-55,616-46,139-51,147-56,464-62,879-68,606-75,458-78,085-61,963
工具、器具及び備品(純額)7,6737,2317,89012,3009,03149,70831,63824,86819,97015,45614,517
土地1,291,9281,291,9281,291,9281,291,9281,291,9281,291,9281,291,9281,291,9281,291,9281,291,928897,845
リース資産39,74139,74127,02627,02627,026------
減価償却累計額-23,788-26,040-15,577-16,703-18,955------
リース資産(純額)15,95213,70011,44810,3228,070------
建設仮勘定--7,99317,4322,000,184------
有形固定資産合計1,692,5931,668,1651,659,6961,662,0983,605,7874,563,2244,326,8834,117,4783,925,4433,746,5253,027,843
無形固定資産
商標権------2,3851,7691,120747516
ソフトウエア84,31365,44652,45847,13631,86742,24835,24227,59918,9789,42782,823
ソフトウエア仮勘定---6,64717,879---41,74475,742-
無形固定資産合計84,31365,44652,45853,78349,74642,24837,62729,36861,84485,91783,339
投資その他の資産
出資金813813813813810810810810810810810
差入保証金5,6958,2176,9667,0606,7894,5574,7915,0015,2005,1415,384
敷金5,8305,8305,8308,2069,0166,6406,6406,640810810760
破産更生債権等6485029119739632,3431,4851,1841,2162,6023,495
長期前払費用4462,6211,6583,4062,4084,3923,2031,601408-4,056
繰延税金資産-------40,173-123,312-
貸倒引当金-539-465-843-828-757-2,130-1,350-1,076-1,105-2,366-3,177
保険積立金54,378111,124128,613131,393195,736224,501253,267----
従業員に対する長期貸付金2,0901,6531,20898362164-----
繰延税金資産-38,31640,18575,583-------
投資その他の資産合計69,363168,613185,344227,591215,587241,180268,84654,3347,340130,31111,329
固定資産合計1,846,2701,902,2261,897,4991,943,4743,871,1214,846,6534,633,3584,201,1813,994,6273,962,7533,122,511
資産合計3,113,1553,518,2353,814,6293,657,7525,657,4737,234,5336,484,0506,287,2295,760,9815,959,5475,786,639
負債の部
流動負債
電子記録債務-26,846122,886120,300112,133135,262102,762100,90992,642109,007108,022
買掛金253,220284,669240,503187,950237,292127,212225,320271,399190,649167,155442,783
短期借入金200,000-151,366129,4691,155,4872,614,8282,000,0002,000,0001,000,0001,200,0001,600,000
1年内返済予定の長期借入金138,329138,329--37,50075,00075,0001,312,500128,030128,03034,050
前受金-----6,0506,0506,0506,0506,050-
前受収益-----21115834924313784
未払金131,586115,674131,237126,584138,313172,794173,494163,346175,215168,407238,233
未払費用25,64743,58645,97443,15647,23656,39765,77363,63545,94449,71571,063
未払法人税等15,64457,09337,20414,4084,8367,50512,7258,99712,99212,77498,546
未払消費税等2,67315,70624,0937,68124,479-113,7461,9781,88533,361-
預り金3,6414,6735,1404,4007,9249,9864,6614,1033,7723,3128,384
契約負債-------28,49023,86023,98019,087
賞与引当金23,93128,18331,56031,61230,75729,80130,44232,88027,33427,66513,283
その他3,8893,5185,6735,3172,4662,9391,3053,6165,3965,2217,793
支払手形140,348121,88138,72736,90437,22536,44820,0249,162---
返品調整引当金570393502399360351374----
ポイント引当金1,5453,0247,6298,4849,60715,24819,136----
受注損失引当金------17,547----
リース債務4,2624,368368--------
流動負債合計945,291847,948842,868716,6721,845,6223,290,0392,868,5244,007,4201,714,0181,934,8172,641,333
固定負債
長期借入金1,255,8391,117,510--962,5001,387,5001,312,500-1,888,4461,760,416624,250
長期未払金7,500580-----20,95220,9523,859-
繰延税金負債-----6959-215-701
その他----55,00055,00055,00055,00055,00055,000-
資産除去債務800811821826837847858869---
役員退職慰労引当金121,505125,878131,951142,545146,996141,938111,093----
繰延税金負債131---79------
リース債務4,736368---------
固定負債合計1,390,5141,245,148132,772143,3711,165,4131,585,3551,479,51176,8211,964,6141,819,276624,951
負債合計2,335,8052,093,097975,640860,0433,011,0354,875,3954,348,0354,084,2423,678,6323,754,0933,266,284
純資産の部
株主資本
資本金276,883527,6921,192,5331,192,9881,196,6541,196,6541,196,6541,196,6541,196,6541,196,6541,196,654
資本剰余金
資本準備金266,883517,6921,182,5331,182,9881,186,6541,186,6541,186,6541,186,6541,186,6541,186,6541,186,654
資本剰余金合計266,883517,6921,182,5331,182,9881,186,6541,186,6541,186,6541,186,6541,186,6541,186,6541,186,654
利益剰余金
利益準備金1,5001,5001,5001,5001,5001,5001,5001,5001,5001,5001,500
その他利益剰余金
繰越利益剰余金232,083378,293462,506420,319261,717-25,581-248,705-181,733-302,371-179,266135,635
利益剰余金合計233,583379,793464,006421,819263,217-24,081-247,205-180,233-300,871-177,766137,135
自己株式--39-84-86-87-87-87-87-87-87-87
株主資本合計777,3491,425,1382,838,9882,797,7082,646,4372,359,1382,136,0142,202,9862,082,3482,205,4532,520,355
純資産合計777,3491,425,1382,838,9882,797,7082,646,4372,359,1382,136,0142,202,9862,082,3482,205,4532,520,355
負債純資産合計3,113,1553,518,2353,814,6293,657,7525,657,4737,234,5336,484,0506,287,2295,760,9815,959,5475,786,639