カーリット

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
2018-03百万円
2019-03百万円
2020-03百万円
2021-03百万円
2022-03百万円
2023-03百万円
2024-03百万円
2025-03百万円
2026-03百万円
資産の部
流動資産
現金及び預金4,871,8814,262,8644,3164,3574,7305,5473,7683,9662,9214,9453,994
受取手形、売掛金及び契約資産------10,1459,95712,0429,6499,497
商品及び製品1,884,2041,864,0672,1362,3652,3331,9582,6933,0563,5883,5033,453
仕掛品672,497544,313656774696732500514579628605
原材料及び貯蔵品1,657,4671,425,9301,4221,4521,4311,2581,5772,3091,9592,0451,858
その他1,289,870928,6777378441,1108572,1072,2362,4452,1462,122
貸倒引当金-18,694-10,269-2-2-2-7-8-13-18-12-8
受取手形及び売掛金10,100,55210,885,87713,67413,42810,23910,399-----
繰延税金資産368,503299,448424--------
流動資産合計20,826,28320,200,91023,36623,22020,53920,74620,78522,02723,51822,90621,524
固定資産
有形固定資産
建物及び構築物(純額)7,738,6987,972,4458,4109,5029,2559,1238,6928,2608,2807,9509,706
機械装置及び運搬具(純額)4,375,2304,415,6754,1924,1143,6523,3113,2073,0492,9433,2803,643
土地5,386,0015,360,4675,5375,5335,5275,5275,8685,8685,8685,7515,751
リース資産(純額)---1,5981,4491,4271,2481,071914759663
建設仮勘定-1,586,5302,7282624081961074008511,4842,457
その他(純額)532,446626,543583234249288236247257257412
有形固定資産合計18,032,37619,961,66321,45321,24520,54219,87419,36118,89819,11619,48222,635
無形固定資産
ソフトウエア仮勘定----------847
その他92,10287,59071505977968518748063
のれん684,751493,18426695476-----
無形固定資産合計776,854580,774337145107839685187480910
投資その他の資産
投資有価証券6,254,2607,862,1938,4838,1136,5628,9798,5839,06611,0298,63111,095
繰延税金資産----561671595539512541376
退職給付に係る資産---87565204425608
その他699,238703,654664646606594651692636565528
貸倒引当金-3,599-3,599-3-3-2-2-2-84-59-21-5
繰延税金資産143,255133,245159335-------
投資その他の資産合計7,093,1548,695,4939,3039,1017,73510,2489,83410,21812,32310,14212,603
固定資産合計25,902,38529,237,93131,09430,49228,38530,20729,29329,20231,62730,10536,150
資産合計46,728,66949,438,84154,46153,71248,92450,95350,07851,23055,14653,01257,674
負債の部
流動負債
支払手形及び買掛金5,681,3905,939,7518,0927,3545,1775,3106,2175,5846,8675,1644,332
短期借入金3,165,0003,268,4003,1493,2283,1403,10730215789-3,500
1年内返済予定の長期借入金2,295,7081,845,8432,0411,7411,6341,505977847470235257
未払法人税等492,042198,8805194501014254885946791,347325
賞与引当金474,795505,686543584597635660676716815816
その他1,939,8082,319,2563,6852,1951,9521,8502,4542,1682,3252,3722,277
繰延税金負債13,34475---------
役員賞与引当金-----------
流動負債合計14,062,08914,077,89218,03215,55512,60212,83411,10010,02911,1499,93511,509
固定負債
長期借入金4,135,1064,787,9414,0473,9063,2711,7651,788941470235348
リース債務---1,5131,3561,319410933768660528
繰延税金負債----2,5313,2983,2073,4314,0712,9393,685
株式給付引当金--------124257
役員株式給付引当金----509507585111150
退職給付に係る負債1,085,4011,182,2931,1851,2081,2621,2311,1131,218471342343
その他2,082,8212,224,4092,0571,7201,6291,5051,4911,4141,3411,2651,258
環境対策引当金126,000101,57780761210105---
繰延税金負債2,779,9153,110,0253,3352,916-------
役員株式給付引当金19,95034,6503262-------
固定負債合計10,229,19411,440,89610,73911,40410,1129,1428,0748,0217,2215,5976,372
負債合計24,291,28325,518,78928,77226,96022,71521,97619,17418,05118,37015,53317,881
純資産の部
株主資本
資本金2,099,5302,099,5302,0992,0992,0992,0992,0992,0992,0992,0992,099
資本剰余金1,192,4871,192,4871,1921,1921,1921,1921,1921,1901,1901,190-
利益剰余金17,031,71017,557,26718,82420,11420,51721,46023,50925,37127,49129,27131,148
自己株式-216,364-210,102-208-208-195-155-166-241-333-333-525
株主資本合計20,107,36320,639,18221,90823,19723,61324,59726,63428,42030,44832,22832,722
その他の包括利益累計額
その他有価証券評価差額金2,478,3193,519,4343,9633,7402,7854,4584,1904,7586,1364,8386,677
繰延ヘッジ損益-21,155-10,319-703323182-108
為替換算調整勘定138,36087,46497746870111137158198217
退職給付に係る調整累計額-265,502-315,710-272-259-260-182-64-14529224166
その他の包括利益累計額合計2,330,0223,280,8703,7803,5552,5964,3794,2694,7586,3275,2517,070
純資産合計22,437,38523,920,05225,68826,75226,20928,97730,90333,17936,77537,47939,793
負債純資産合計46,728,66949,438,84154,46153,71248,92450,95350,07851,23055,14653,01257,674