ニチコン

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

2016-03百万円
2017-03百万円
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25,85722,49824,84113,62818,44019,76617,79925,06829,38725,51924,491
受取手形、売掛金及び契約資産------37,09942,41340,15938,96342,252
電子記録債権--3,8183,9803,7203,7975,4026,6157,6155,9695,161
有価証券7,0935,0306,3263,1072,6231,044500600100100200
商品及び製品6,8437,2277,8519,3468,2138,32912,64013,82615,86814,76614,350
仕掛品5,5404,8384,3105,4375,3424,8595,8067,1196,1936,1846,633
原材料及び貯蔵品5,0835,7336,6147,3208,1258,37312,69616,25714,59712,26511,318
その他2,7323,9713,1003,2001,6631,8293,1314,0184,6334,5723,358
貸倒引当金-52-51-49-50-40-61-78-89-86-86-99
受取手形及び売掛金29,79730,32527,49129,65429,76529,928-----
繰延税金資産704676831--------
流動資産合計83,60080,25085,13575,62677,85577,86594,997115,830118,468108,254107,667
固定資産
有形固定資産
建物及び構築物(純額)12,35313,15512,84512,69612,37112,45113,89313,82416,97818,74518,397
機械装置及び運搬具(純額)5,0224,8807,1849,90412,15412,32915,96218,03420,74718,77117,913
土地4,0495,4185,2935,2765,1535,1545,1595,1635,6226,0736,077
リース資産(純額)7254734576869649501,0551,1091,1451,226904
建設仮勘定2003361,1981,8751,9073,2551,5914,4175,1835,6417,053
その他(純額)1,1131,0311,3681,3691,2151,3641,8951,7642,3052,6282,191
有形固定資産合計23,46525,29628,34631,80933,76635,50539,55644,31451,98353,08652,538
無形固定資産8087541,3421,1321,0011,0501,2951,2931,7221,9282,139
投資その他の資産
投資有価証券26,64932,74138,50728,97124,37538,60531,29327,86231,38426,68829,376
長期貸付金1,3341,2161,1981,0741,2441,7321,9951,8463,1742,8453,335
退職給付に係る資産240238190192256330410459401338920
繰延税金資産----35733626553310084517
その他701764673732754877814957905847931
貸倒引当金-291-237-237-230-230-331-543-775-1,208-1,492-1,855
繰延税金資産172180258461-------
投資その他の資産合計28,80834,90440,59031,20226,75741,55134,23630,88434,75629,31233,225
固定資産合計53,08260,95570,27864,14361,52678,10875,08976,49288,46284,32887,903
繰延資産
社債発行費----453525156--
繰延資産合計----453525156--
資産合計136,683141,206155,414139,770139,426156,008170,112192,339206,937192,582195,570
負債の部
流動負債
支払手形及び買掛金15,21018,15110,41111,20010,14711,72816,69717,75514,80314,89413,270
電子記録債務--9,21610,2368,9908,56311,55613,13815,24813,56610,027
短期借入金1,8001,8001,8001,8002,4007,00011,60010,60014,0006,7008,400
1年内返済予定の長期借入金---3,5044,6724,6721,1521,2502,5002,5002,500
未払金5,5942,13217,6073,3351,4921,8921,9095,6743,6123,5892,791
未払法人税等5747929838636735121,2801,3271,1641,2981,336
契約負債-------3,2512,9025671,124
賞与引当金9839991,0431,0911,0891,0741,1771,3601,5611,5141,521
役員賞与引当金-30--28183540403335
その他7,0067,1297,9967,3467,0145,7227,7016,1327,3766,8936,197
1年内償還予定の転換社債型新株予約権付社債--------12,016--
流動負債合計31,16931,03549,05839,37836,50641,18353,10960,53075,22451,55847,204
固定負債
長期借入金---10,4965,8241,152-8,7506,25015,75013,250
リース債務463390339492646693747822851913623
繰延税金負債----3,1277,8915,7544,6055,5844,5874,752
製品保証引当金1,0741,2821,3801,3141,4181,5381,7182,0563,0613,7864,769
退職給付に係る負債2,6432,4262,1351,8621,6771,5101,4711,4681,4151,462802
その他666644644661663683592710710709650
転換社債型新株予約権付社債----12,11212,08812,06412,040---
繰延税金負債2,2253,6436,0934,251-------
固定負債合計7,0738,38710,59319,07725,46925,55822,34930,45317,87427,20924,848
負債合計38,24339,42359,65158,45661,97666,74175,45990,98493,09878,76872,053
純資産の部
株主資本
資本金14,28614,28614,28614,28614,28614,28614,28614,28614,28614,28614,286
資本剰余金17,06817,06817,06817,06816,86016,86016,86016,86016,86016,85616,856
利益剰余金67,34669,63657,19947,71448,85448,91655,03960,93867,00260,82664,719
自己株式-10,120-10,121-10,123-10,123-11,624-11,625-11,626-11,627-11,628-3,497-3,498
株主資本合計88,58090,87078,43168,94568,37768,43874,56080,45786,52188,47192,364
その他の包括利益累計額
その他有価証券評価差額金5,2738,49214,2669,8727,83418,51213,95011,72414,49410,77213,584
為替換算調整勘定3,0006501,004360-6182363,9086,6569,88411,18813,655
繰延ヘッジ損益-------4----
その他の包括利益累計額合計8,2739,14315,27010,2327,21618,74917,85518,38024,37821,96027,239
非支配株主持分1,5851,7682,0602,1351,8562,0792,2372,5162,9393,3813,913
純資産合計98,440101,78395,76281,31377,45089,26694,652101,354113,839113,814123,517
負債純資産合計136,683141,206155,414139,770139,426156,008170,112192,339206,937192,582195,570