クラレ

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

2015-12百万円
2016-12百万円
2017-12百万円
2018-12百万円
2019-12百万円
2020-12百万円
2021-12百万円
2022-12百万円
2023-12百万円
2024-12百万円
2025-12百万円
資産の部
流動資産
現金及び預金36,99651,43760,90467,02272,014184,319151,942123,724131,144118,068104,102
受取手形、売掛金及び契約資産-------157,016161,904166,589178,330
有価証券18,80539,06438,29632,92133,3417,9243,8554,8523,4783,6244,215
商品及び製品77,58273,50484,572101,081101,62886,555103,505145,851146,924170,489178,020
仕掛品11,29312,26014,69915,22115,67914,10515,69919,07817,50219,97420,230
原材料及び貯蔵品23,31025,50428,23536,66734,69631,96838,10060,10463,60166,36570,184
その他19,43012,66911,65214,31516,66119,59621,74523,81528,04021,10924,209
貸倒引当金-611-451-436-426-455-439-443-510-869-959-889
受取手形及び売掛金102,079105,010113,876128,107121,166117,172135,768----
繰延税金資産7,5985,9747,6703,794-------
流動資産合計296,486324,974359,471398,705394,732461,202470,174533,933551,727565,262578,403
固定資産
有形固定資産
建物及び構築物(純額)53,95954,34359,26774,18279,62984,60488,80194,745110,214118,633116,992
機械装置及び運搬具(純額)127,962162,963164,803204,215205,974200,152200,500219,200270,408292,153262,474
土地18,50819,52619,67122,70722,06222,20422,64823,26422,61819,01618,154
建設仮勘定56,60929,90438,18749,46882,07197,451117,319137,42480,34459,82496,662
その他(純額)4,9785,0905,2666,83725,05524,97825,99737,92643,39050,75754,828
有形固定資産合計262,019271,827287,196357,411414,793429,391455,266512,562526,977540,385549,112
無形固定資産
のれん28,56426,25624,56766,48561,35751,10552,63556,05855,38653,59152,212
顧客関係資産32,24428,88026,07036,26333,06228,80029,17630,43229,14927,72023,868
その他23,16724,40126,38741,40035,51431,14332,24334,99335,96534,58634,549
無形固定資産合計83,97679,53777,024144,150129,934111,049114,055121,484120,501115,898110,630
投資その他の資産
投資有価証券46,05734,02335,41729,50928,77025,47725,68923,19423,96629,89023,523
退職給付に係る資産7918271,9631,1011,9772,0973,0662,1043,2274,0205,942
繰延税金資産-----14,65213,98016,71816,53021,48520,291
その他5,8876,9297,7346,8407,2727,5978,68611,45811,50914,38815,920
貸倒引当金-50-43-42-40-28-24-26-20-95-93-311
長期貸付金23926022921818914012197140--
繰延税金資産6,3617,0976,7399,22013,506------
投資その他の資産合計59,28749,09352,04246,84951,68849,94151,51753,55355,27869,69265,366
固定資産合計405,284400,458416,263548,411596,416590,382620,839687,600702,757725,975725,108
資産合計701,770725,433775,735947,116991,1491,051,5841,091,0141,221,5331,254,4851,291,2381,303,511
負債の部
流動負債
支払手形及び買掛金38,33136,42439,86445,40839,88336,16149,64152,71749,12459,56158,490
短期借入金7,1877,6267,86446,54034,86434,50934,48034,48040,01423,85045,120
コマーシャル・ペーパー----24,00020,000-10,000--11,000
1年内償還予定の社債-----20,000-10,000-10,000-
1年内返済予定の長期借入金------55,01330,43424,69818,14632,612
未払費用10,46810,71913,09012,20150,49117,95619,86321,07516,73420,39423,557
未払法人税等14,6927,63513,5948,4744,3076,62113,13311,37011,03310,0943,410
賞与引当金5,2595,2966,0006,6816,5786,7457,9969,13210,27510,7729,495
その他19,48028,43027,63125,21241,31752,85639,24642,00848,69045,41344,543
その他の引当金314826622620289111---
流動負債合計95,45096,136108,053144,785201,670195,053219,464221,330200,571198,231228,229
固定負債
社債10,00010,00010,00050,00050,00060,00060,00060,00060,00050,00050,000
長期借入金42,25742,17242,099120,049128,001206,881157,945179,491157,312142,286146,187
繰延税金負債-----11,21812,02217,27918,75424,38523,243
退職給付に係る負債11,24711,54214,59718,06522,20325,44925,62925,62629,48731,41732,146
その他10,96611,17810,36711,18528,27329,37630,78743,27545,86463,12768,529
資産除去債務3,6154,1924,4695,0704,6714,3834,8215,3036,338--
役員退職慰労引当金185209224237347375375294---
環境対策引当金3533,5806,1845,7163,6923,364365397---
繰延税金負債24,10225,44215,25124,97213,743------
固定負債合計102,729108,318103,193235,297250,933341,050291,947331,668317,757311,216320,106
負債合計198,180204,454211,247380,083452,604536,103511,411552,998518,329509,448548,335
純資産の部
株主資本
資本金88,95588,95588,95588,95588,95588,95588,95588,95588,95588,95588,955
資本剰余金87,14787,17887,21987,20787,19787,17887,16687,15287,14687,12455,949
利益剰余金278,899304,277343,666364,841348,289336,050359,898399,910426,290396,752386,853
自己株式-4,319-3,972-6,110-9,746-16,286-16,006-15,885-25,735-25,654-1,462-1,623
株主資本合計450,682476,439513,730531,257508,156496,177520,134550,282576,737571,369530,135
その他の包括利益累計額
その他有価証券評価差額金10,80810,91313,0077,8227,9226,8477,2735,7696,8568,6846,458
繰延ヘッジ損益-4-110-6031-263-376219611-53127-78
為替換算調整勘定39,37730,05433,68120,38214,5751,47034,64890,555131,269183,693203,014
退職給付に係る調整累計額-4,801-4,336-3,836-4,025-5,238-5,321-2,291-468-5241363,091
その他の包括利益累計額合計45,38036,52042,24824,18116,9952,62039,85096,467137,548192,642212,485
新株予約権831719539587663328414341341270229
非支配株主持分-7,3007,96811,00712,72916,35419,20321,44321,52917,50712,325
少数株主持分6,695----------
純資産合計503,589520,978564,487567,033538,545515,481579,602668,534736,156781,790755,175
負債純資産合計701,770725,433775,735947,116991,1491,051,5841,091,0141,221,5331,254,4851,291,2381,303,511