不二越

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

2015-11百万円
2016-11百万円
2017-11百万円
2018-11百万円
2019-11百万円
2020-11百万円
2021-11百万円
2022-11百万円
2023-11百万円
2024-11百万円
2025-11百万円
資産の部
流動資産
現金及び預金22,11620,79623,43622,36321,51240,11841,77136,04234,61934,26332,204
受取手形、売掛金及び契約資産-------67,96658,80554,04953,561
電子記録債権--------8,3378,7008,559
商品及び製品21,63420,25223,14223,68726,37722,34126,74336,02937,62332,06534,624
仕掛品12,96612,66312,58614,45315,84311,29613,24614,64114,79912,34712,302
原材料及び貯蔵品11,27811,43516,19618,19617,08014,51317,39126,24827,70722,74921,365
未収還付法人税等5782,111610769338743604531,708677698
未収消費税等3,0743,2223,7699419854751,3691,8821,1954841,042
その他3,2042,6823,0393,4943,0572,5973,6954,2874,8595,2414,494
貸倒引当金-59-62-43-35-41-64-119-188-250-139-163
受取手形及び売掛金48,58448,42353,56158,37856,77745,93855,100----
繰延税金資産3,3172,2103,0091,860-------
流動資産合計126,695123,736139,308144,109141,930137,960159,258187,363189,406170,438168,690
固定資産
有形固定資産
建物及び構築物(純額)29,01730,94031,59830,58230,46629,60329,25431,32133,45732,18931,749
機械装置及び運搬具(純額)54,25562,57464,17766,23968,08765,65063,81171,78272,57364,60258,004
土地8,1528,0539,4839,4419,6159,4739,4659,94110,22810,21810,603
リース資産(純額)2,5631,6881,5501,3431,1561,9821,4712,7044,2733,2372,904
建設仮勘定7,5344,3405,1323,1234,8474,1368,2765,4164,2712,5692,839
その他(純額)2,0822,4142,9252,9032,6642,2391,9802,3412,8152,7462,772
有形固定資産合計103,606110,011114,867113,634116,838113,085114,260123,508127,620115,563108,875
無形固定資産
ソフトウエア7961,0111,0681,0681,1251,9211,4691,1948902,5773,552
ソフトウエア仮勘定---27185396011,5462,6391,565359
その他2141941,096993877727714756141139113
のれん--47041128717076----
リース資産4028194-------
無形固定資産合計1,0511,2332,6542,7493,1442,8282,8613,4973,6724,2824,025
投資その他の資産
投資有価証券24,48922,65829,36224,43825,69726,07127,77728,35734,12427,10229,619
長期貸付金231581087614596645953
退職給付に係る資産8,3777,5548,3077,4808,2008,0869,6138,8499,92211,26013,922
繰延税金資産-----1,5611,8052,0591,6992,2112,235
その他2,5142,8493,4303,4713,3683,3973,5973,7333,8243,8473,881
貸倒引当金-6-10-8-7-12-7-8-8-9-7-9
繰延税金資産1,3591,3891,2231,3131,574------
投資その他の資産合計36,75834,45742,32436,70638,83739,18542,93143,08849,62544,47349,703
固定資産合計141,416145,702159,846153,090158,820155,099160,053170,094180,917164,319162,604
資産合計268,112269,438299,155297,200300,751293,060319,312357,457370,324334,757331,295
負債の部
流動負債
支払手形及び買掛金41,98841,41448,10549,92351,90633,50947,82655,06019,09415,39615,478
電子記録債務--------26,02123,30516,891
短期借入金19,11211,2896,89010,96111,35024,1877,34718,15223,0638,8245,712
コマーシャル・ペーパー------5,0005,00010,00010,00010,000
1年内返済予定の長期借入金18,71521,41622,64323,44224,22224,08521,86122,97122,12719,38515,513
リース債務1,1496053543313098076378161,0499361,165
未払費用8,1177,5678,6359,1398,3034,4168,9429,3008,4186,0637,801
未払法人税等2,3341,3183,6912,1361,5955003,0103,0257091,7701,218
その他6,9896,8118,7618,3047,1905,4208,71910,7449,0858,1656,914
繰延税金負債0----------
1年内償還予定の社債-----------
流動負債合計98,40790,42399,083104,240104,87992,926103,344125,072119,56993,84880,696
固定負債
長期借入金35,02649,78253,92549,17850,81054,85256,26653,70354,57852,85351,987
リース債務1,2877046906295591,0478331,9563,3392,3581,943
繰延税金負債-----7,8748,7738,50911,5559,86411,772
役員退職慰労引当金3233311822232824293232
株式給付引当金-----175332476561567649
退職給付に係る負債11,00610,79210,86610,54310,50110,1489,7549,5339,3178,6628,066
その他6,0726,9995,6243,7832,3101,7521,7661,8141,8521,9031,895
繰延税金負債6,9736,2879,5327,7316,869------
負ののれん-----------
固定負債合計60,39874,59980,67171,88371,07475,87477,75576,01881,23476,24376,347
負債合計158,805165,023179,755176,124175,953168,800181,100201,090200,804170,091157,044
純資産の部
株主資本
資本金16,07416,07416,07416,07416,07416,07416,07416,07416,07416,07416,074
資本剰余金11,65011,12111,13711,22111,25211,24311,40111,40811,40811,54313,347
利益剰余金67,11868,56275,82482,53788,29788,12396,875106,758110,593111,352114,300
自己株式-932-239-251-262-2,269-2,139-4,924-5,892-6,681-8,343-12,021
株主資本合計93,91195,519102,785109,571113,354113,302119,427128,349131,395130,628131,701
その他の包括利益累計額
その他有価証券評価差額金10,4759,21313,78710,32911,26511,78613,07913,61617,54713,49915,444
為替換算調整勘定-1,070-5,573-3,225-4,333-5,825-7,603-2,7377,89114,40814,50821,375
退職給付に係る調整累計額-763-1,089-447-1,027-561-591334-951-6361982,075
その他の包括利益累計額合計8,6412,55110,1134,9684,8783,59110,67620,55631,31928,20538,895
非支配株主持分-6,3446,5006,5366,5637,3668,1077,4606,8045,8313,652
少数株主持分6,752----------
純資産合計109,306104,415119,399121,076124,797124,259138,211156,367169,520164,665174,250
負債純資産合計268,112269,438299,155297,200300,751293,060319,312357,457370,324334,757331,295