クリップコーポレーション

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
2020-03千円
2021-03千円
2022-03千円
2023-03千円
2024-03千円
2025-03千円
2026-03千円
資産の部
流動資産
現金及び預金5,420,6075,135,2685,004,6924,923,7894,076,5213,651,5803,794,6973,399,7703,171,9552,998,9612,838,568
受取手形及び売掛金19,30415,85819,27920,69916,45713,42612,66312,35919,08921,84530,134
商品及び製品100,555113,158116,907172,544183,360183,064126,557233,588267,677354,798404,452
原材料及び貯蔵品20,10613,96715,75612,95110,1519,8707,59911,3335,4689,1495,029
その他69,26737,99516,85337,43838,53061,50023,23886,49181,91187,11264,636
前払費用54,38155,66350,98249,54153,19550,62653,715----
繰延税金資産26,19725,65432,269--------
流動資産合計5,710,4195,397,5665,256,7425,216,9654,378,2173,970,0704,018,4713,743,5423,546,1023,471,8663,342,822
固定資産
有形固定資産
建物及び構築物483,373444,142508,783498,305482,846452,249453,062478,452519,039494,042475,890
減価償却累計額-254,710-256,878-289,847-279,397-281,941-276,179-284,224-298,499-333,483-310,654-322,124
建物及び構築物(純額)228,662187,263218,935218,908200,904176,070168,838179,952185,555183,387153,765
土地130,646130,646131,417130,646126,646126,646126,646126,646126,646126,646126,646
その他93,30381,37888,18790,01793,46991,15296,358111,062120,168123,617133,104
減価償却累計額-67,265-67,929-77,449-79,740-82,833-74,999-80,758-94,147-100,466-106,664-111,157
その他(純額)26,03813,44910,73810,27610,63516,15315,60016,91419,70116,95221,946
有形固定資産合計385,348331,359361,090359,831338,187318,870311,085323,514331,904326,986302,358
無形固定資産
ソフトウエア10,1516,5988,7846,6274,2731,9925175,84613,2559,7136,798
のれん--81,67658,23543,676--68,364172,297101,70564,236
顧客関連資産-------2,5008,883833-
その他36,98529,24724,89021,70820,12519,96419,85521,34621,34621,34621,346
無形固定資産合計47,13635,846115,35086,57168,07621,95620,37398,057215,782133,59892,381
投資その他の資産
投資有価証券230,724363,847228,488179,358818,6581,018,1051,085,5961,125,1611,193,0641,072,5581,314,423
関係会社株式---23,58320,84917,43410,31111,38411,50421,98322,279
長期貸付金14,04221,74224,26829,50631,41634,78940,25835,52831,08735,79440,536
長期前払費用18,24410,31414,0067,5405,45936,86325,50924,04017,25517,81010,876
繰延税金資産----50,88043,95953,62556,31565,00043,008218
投資不動産--111,24498,81196,18593,55978,47076,00573,53971,07468,609
敷金及び保証金233,857228,390238,415221,980210,330194,061183,611195,522188,769184,611166,818
保険積立金158,634159,885148,437101,18779,79082,36585,28289,79090,74495,72998,211
その他47325,7005,03410,4774,7723,0853,1033,0504,3644,324296
貸倒引当金-----------16,945
繰延税金資産15,68819,04023,05550,683-------
投資その他の資産合計671,666828,922792,951723,1301,318,3431,524,2241,565,7691,616,7981,675,3311,546,8951,705,325
固定資産合計1,104,1501,196,1281,269,3931,169,5341,724,6061,865,0511,897,2282,038,3702,223,0182,007,4812,100,066
資産合計6,814,5696,593,6956,526,1356,386,4996,102,8245,835,1225,915,7005,781,9135,769,1215,479,3475,442,888
負債の部
流動負債
支払手形及び買掛金40,30934,06935,49137,88135,08230,05332,63024,35835,10730,39319,217
短期借入金250,000250,000250,000250,000200,000140,000150,000140,000140,000180,000180,000
1年内返済予定の長期借入金--74,672----10,00810,00810,00810,008
未払金29,36329,62143,57132,41229,14627,55523,13829,19424,05526,37933,067
未払法人税等43,47836,86865,91557,08067,72914,98170,89815,42040,2965,44716,317
未払消費税等26,27525,06925,22020,26941,18322,30536,73116,32718,29737,48733,998
未払費用93,71893,154100,710106,043101,03699,29990,24991,182105,52791,42797,946
前受金81,17589,29578,50988,15578,16893,58391,22193,41792,99781,83483,474
賞与引当金56,82255,73751,39547,83943,16442,32341,56341,02436,32636,92236,900
役員賞与引当金---------572577
その他9,24111,49415,45230,74318,85218,67110,21312,61614,5179,8429,043
店舗閉鎖損失引当金3,250-------6,000--
資産除去債務--979--------
流動負債合計633,633625,310741,916670,425614,363488,772546,646473,550523,134510,315520,551
固定負債
長期借入金-------39,99229,98419,97610,802
退職給付に係る負債67,16776,018108,261105,927102,108103,478108,358107,672111,706102,464100,846
資産除去債務22,79316,24418,72918,51618,29217,58916,71923,39025,86026,47826,014
繰延税金負債-------8392,99627928,948
その他13,09412,80313,1389,62914,86832,84029,43527,28727,38620,86516,163
繰延税金負債7,19124,657246--------
固定負債合計110,246129,723140,376134,073135,268153,907154,513199,182197,934170,064182,775
負債合計743,880755,033882,292804,498749,632642,680701,160672,732721,069680,380703,326
純資産の部
株主資本
資本金212,700212,700212,700212,700212,700212,700212,700212,700212,700212,700212,700
資本剰余金29,70029,70029,70029,70029,70029,70029,70029,70029,70029,70029,700
利益剰余金5,915,1005,758,7675,757,3815,733,0975,768,8585,705,3125,759,1905,700,6255,622,9845,385,6115,136,940
自己株式-143,953-238,853-370,992-370,992-631,962-736,402-736,402-736,402-804,592-804,592-804,592
株主資本合計6,013,5465,762,3145,628,7895,604,5045,379,2955,211,3095,265,1875,206,6225,060,7914,823,4194,574,747
その他の包括利益累計額
その他有価証券評価差額金34,26057,920-4,511-40,340-46,743-35,138-68,621-117,287-33,742-49,723141,773
為替換算調整勘定22,88118,42619,56517,83617,27716,27117,97319,84621,00325,27123,041
その他の包括利益累計額合計57,14276,34715,054-22,503-29,465-18,867-50,648-97,441-12,739-24,451164,814
非支配株主持分----3,362------
純資産合計6,070,6895,838,6615,643,8435,582,0015,353,1925,192,4425,214,5395,109,1815,048,0524,798,9674,739,562
負債純資産合計6,814,5696,593,6956,526,1356,386,4996,102,8245,835,1225,915,7005,781,9135,769,1215,479,3475,442,888