古林紙工

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

2016-03千円
2017-03千円
2018-03千円
2019-03千円
2019-12千円
2020-12千円
2021-12千円
2022-12千円
2023-12千円
2024-12千円
2025-12千円
資産の部
流動資産
現金及び預金1,426,6831,322,3391,507,3291,326,9801,501,2261,237,7781,228,1471,613,9821,909,4342,078,3121,771,614
受取手形-------169,830179,403206,089192,542
売掛金-------4,934,3235,038,4925,373,3125,134,951
商品及び製品632,430653,585678,297711,497594,792608,021609,290557,547732,427728,643742,172
仕掛品261,554279,547322,795291,390299,850265,625297,159204,486372,079396,851406,344
原材料及び貯蔵品352,536256,546303,207313,391322,969195,017208,112285,941291,172333,034361,830
その他142,875109,964164,275110,072183,368191,148225,796222,819258,007237,544169,236
貸倒引当金-12,961-11,707-15,553-23,480-4,116-1,290-1,153-1,153-1,153-1,356-1,169
受取手形及び売掛金4,521,0774,512,1574,801,4525,003,8374,988,8154,559,9334,803,347----
繰延税金資産57,72455,08065,166--------
流動資産合計7,381,9187,177,5117,826,9687,733,6887,886,9037,056,2327,370,6987,987,7758,779,8619,352,4308,777,522
固定資産
有形固定資産
建物及び構築物(純額)883,334790,377772,497717,308694,314532,560801,243742,036751,433731,744665,009
機械装置及び運搬具(純額)2,013,3021,816,1832,091,9111,856,5501,675,5961,534,1321,692,1571,510,8841,493,6852,756,9332,383,712
土地1,688,8081,688,8081,688,8081,688,8081,688,8081,688,8081,688,8081,688,8081,688,8081,827,4871,827,487
リース資産(純額)211,265114,18469,03542,66360,26242,60729,36414,1507,37627,90332,095
建設仮勘定204,948250,65214,31095,376160,429461,00049,88751,300880,15148,3909,144
その他(純額)96,65471,34186,40783,75680,29462,30370,46963,76560,25180,50472,162
有形固定資産合計5,098,3114,731,5454,722,9684,484,4604,359,7024,321,4094,331,9274,070,9434,881,7045,472,9604,989,609
無形固定資産100,46082,29876,57071,88364,6304,764136,401168,805156,904144,271105,723
投資その他の資産
投資有価証券4,189,4874,444,7965,244,3175,601,6395,623,2155,063,9144,168,5153,821,5004,234,0394,658,4765,021,011
関係会社出資金-----223,939223,939223,939223,939223,939523,939
退職給付に係る資産51,827109,081296,929332,003368,785306,182246,439258,291300,294378,613490,734
繰延税金資産-----17,21331,83638,04416,02214,31112,545
その他354,781347,718352,993383,748379,285517,532497,451444,835422,164407,327449,196
貸倒引当金-1,160-1,160-1,160-1,160-1,160-1,160----145-145
繰延税金資産---22,86624,435------
投資その他の資産合計4,594,9354,900,4355,893,0796,339,0966,394,5616,127,6205,168,1804,786,6085,196,4595,682,5226,497,280
固定資産合計9,793,7069,714,27910,692,61710,895,43910,818,89210,453,7939,636,5099,026,35610,235,06711,299,75311,592,611
繰延資産
社債発行費6,6214,5842,547509-------
繰延資産合計6,6214,5842,547509-------
資産合計17,182,24516,896,37418,522,13118,629,63618,705,79517,510,02517,007,20717,014,13119,014,92720,652,18220,370,133
負債の部
流動負債
支払手形及び買掛金3,408,3303,400,5143,737,0753,900,1374,167,4413,730,6413,677,9394,449,6664,543,2884,647,1444,142,993
短期借入金1,110,0001,089,9001,290,064990,008860,0001,081,4431,282,685760,0001,010,0001,230,000980,000
1年内返済予定の長期借入金810,000720,000616,000601,000751,000604,750592,250512,500631,250785,656748,754
リース債務52,96059,05460,13662,42856,24416,13718,09513,2945,8819,17510,927
未払法人税等101,38274,339167,389106,854105,68574,82327,683142,33969,12759,740146,684
未払金635,468665,093747,800738,671826,552716,473746,357817,884896,697650,231884,635
賞与引当金115,326127,850131,650133,24043,90027,25025,64047,64047,43051,34052,520
その他433,906254,915250,661215,618271,377253,372482,839325,987620,494592,097308,444
設備関係未払金-----233,087-----
1年内償還予定の社債---600,000-------
流動負債合計6,667,3726,391,6657,000,7747,347,9557,082,1996,737,9756,853,4887,069,3097,824,1688,025,3847,274,957
固定負債
長期借入金1,472,5001,316,2501,085,0001,029,000997,000906,0001,041,250865,0001,121,2501,588,5661,348,737
リース債務197,174138,12086,86856,10547,48230,35520,9097,6166,24024,12825,252
繰延税金負債-----644,215352,469231,817382,584575,952742,918
退職給付に係る負債96,581102,416108,917107,820104,525103,888107,36395,78997,93893,16385,993
資産除去債務2,7752,8202,8202,8202,8202,8202,8202,8202,8202,8202,820
その他55,60355,60355,60355,60351,853-198,743164,501130,243100,38564,025
長期未払金-----225,674-----
繰延税金負債379,420470,742706,221785,307834,224------
社債600,000600,000600,000--------
固定負債合計2,804,0522,685,9512,645,4292,036,6542,037,9041,912,9521,723,5541,367,5431,741,0752,385,0142,269,745
負債合計9,471,4249,077,6169,646,2039,384,6089,120,1038,650,9278,577,0428,436,8539,565,24210,410,3989,544,702
純資産の部
株主資本
資本金2,151,2402,151,2402,151,2402,151,2402,151,2402,151,2402,151,2402,151,2402,151,2402,151,2402,151,240
資本剰余金1,382,7041,382,7041,382,7041,392,9251,393,2221,410,2001,410,3461,415,3101,424,2021,435,1301,441,691
利益剰余金1,503,8701,793,6442,145,0802,546,9283,017,8613,133,4193,208,8653,482,4143,865,5694,050,2354,304,972
自己株式-951,036-967,021-967,507-943,569-942,196-922,529-940,919-924,723-933,246-937,033-949,025
株主資本合計4,086,7784,360,5674,711,5175,147,5245,620,1275,772,3315,829,5326,124,2426,507,7656,699,5726,948,879
その他の包括利益累計額
その他有価証券評価差額金1,660,8891,836,4172,386,2472,632,4332,647,7672,257,5951,634,0251,391,4561,676,1461,993,7582,214,784
為替換算調整勘定591,232401,522462,784332,590278,874137,073313,208383,465454,048588,624639,843
退職給付に係る調整累計額206,507177,755242,434156,812126,18868,469-8,207-15,31832,63497,949194,386
その他の包括利益累計額合計2,458,6292,415,6943,091,4653,121,8353,052,8292,463,1381,939,0261,759,6032,162,8292,680,3313,049,012
新株予約権28,81332,23833,30714,61412,6097,8026,9721,992996996-
非支配株主持分1,136,6011,010,2591,039,639961,055900,126615,827654,635691,442778,095860,885827,540
純資産合計7,710,8217,818,7578,875,9289,245,0289,585,6928,859,0988,430,1658,577,2799,449,68510,241,78410,825,431
負債純資産合計17,182,24516,896,37418,522,13118,629,63618,705,79517,510,02517,007,20717,014,13119,014,92720,652,18220,370,133