ミクニ

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5,6715,9995,0606,0464,6724,2535,0603,7123,1141,7562,056
受取手形------2211341117228
売掛金------18,57219,93020,87121,68121,216
契約資産------261091618186
電子記録債権9431,3091,7861,7311,8811,9291,7662,0902,3252,1561,470
商品及び製品7,4006,8416,1059,4259,60312,55811,66612,75214,44117,72814,890
仕掛品2,5183,8634,1373,8554,3374,5186,5716,4417,0106,7595,582
原材料及び貯蔵品1,1881,5321,5931,6892,0432,0013,1343,3003,5763,3512,941
その他2,5152,7262,0724,4962,8222,9434,0675,0725,6437,3067,223
貸倒引当金-90-67-87-65-56-81-76-143-74-112-121
受取手形及び売掛金18,20218,50819,74218,92417,87518,350-----
繰延税金資産1,072818881--------
流動資産合計39,42341,53141,29246,10443,17846,47451,01053,40257,03660,71855,474
固定資産
有形固定資産
建物及び構築物30,57831,01131,77932,11232,00232,03833,04233,86536,58436,06537,072
減価償却累計額-20,315-20,775-21,587-22,156-22,910-23,522-24,674-25,430-26,523-27,254-27,589
建物及び構築物(純額)10,26310,23610,1919,9569,0928,5158,3678,43510,0618,8109,483
機械装置及び運搬具43,24544,75546,24747,75849,53350,15053,09454,71355,58059,53860,729
減価償却累計額-34,229-34,649-35,394-35,891-36,839-37,341-40,231-42,864-43,902-47,979-49,960
機械装置及び運搬具(純額)9,01610,10610,85311,86612,69312,80812,86211,84911,67811,55810,768
工具、器具及び備品18,59718,12718,27319,07419,54519,82819,92121,20720,97321,22422,035
減価償却累計額-16,334-15,975-16,175-16,757-17,276-17,662-18,038-18,934-18,415-18,476-19,343
工具、器具及び備品(純額)2,2622,1512,0972,3162,2692,1651,8832,2732,5572,7482,692
土地12,05011,88811,91811,88011,83811,79711,82011,70111,59011,66011,649
建設仮勘定2,6022,0782,4863,7323,7582,3432,4323,4903,2172,7791,991
有形固定資産合計36,19436,46037,54839,75239,65237,63037,36537,74939,10537,55836,586
無形固定資産
ソフトウエア--------453383448
その他736775858898975892809797288239234
のれん23920714277--1----
無形固定資産合計9769831,001976975892810797742622682
投資その他の資産
投資有価証券5,1336,5507,3286,2684,2886,7095,8466,45312,7868,74010,043
長期貸付金816273339203453585759
繰延税金資産----7377448037338001,0041,204
その他2,3422,7522,3362,3771,6831,5751,2021,0761,1641,4081,128
貸倒引当金-200-205-162-176-160-155-156-157-157-158-161
繰延税金資産1,7111,0927791,432-------
投資その他の資産合計8,99610,20510,3099,9366,5898,8947,7298,15814,65311,05112,274
固定資産合計46,16747,65048,85850,66447,21747,41745,90646,70554,50049,23249,543
資産合計85,59089,18190,15096,76890,39693,89196,917100,108111,536109,950105,017
負債の部
流動負債
支払手形及び買掛金11,38011,81213,43415,11112,10410,95911,00010,1749,89810,1909,642
電子記録債務------8871,9292,1672,1751,861
契約負債------399770964479449
短期借入金15,00413,8198,9935,6475,6837,2616,79410,80816,73318,62214,379
1年内返済予定の長期借入金3,8197,0144,8355,0874,8504,6256,5534,1015,0566,0814,945
リース債務455475286309353384336366363470414
未払金1,4341,7431,9983,4142,5101,8682,0951,8351,9981,7741,200
未払法人税等167440445567307387349417212524278
未払費用2,1472,2652,7922,6662,2942,4222,4522,7032,5442,7393,157
賞与引当金1,2931,3911,6191,6691,3501,2301,3941,4441,7101,5881,787
製品保証引当金878204190278940275218284227181138
役員功労引当金---------238-
その他4206026778178101,8011,0711,3241,3841,2781,001
生産拠点再編引当金-------1,418---
流動負債合計37,00139,77135,27335,57231,20631,21833,55337,57943,26046,34439,257
固定負債
長期借入金10,77710,43012,57619,29123,09324,68122,01520,82517,05515,29115,775
リース債務463361303496551491454598575683584
繰延税金負債----1,7472,6422,6732,8754,6463,4163,818
再評価に係る繰延税金負債2,2582,2582,2582,2492,2492,2492,2492,2492,2492,3022,302
役員報酬BIP信託引当金1527446052506676818669
株式交付引当金-----112331192038
退職給付に係る負債5,7373,5913,5233,4723,6683,2683,1062,9792,3261,8991,413
その他5031,8061,4861,3771,0998828566947231,067974
繰延税金負債8818751,4871,293-------
固定負債合計20,63819,35121,68228,24032,46234,27631,44430,33027,67724,76824,976
負債合計57,63959,12356,95563,81363,66965,49564,99867,90970,93771,11264,234
純資産の部
株主資本
資本金2,2152,2152,2152,2152,2152,2152,2152,2152,2152,2152,215
資本剰余金1,7001,9371,9371,9231,9231,9231,9081,9541,9541,9541,954
利益剰余金14,20416,38218,61720,37115,86215,56616,88614,86315,61916,90017,237
自己株式-186-186-181-181-166-197-181-180-154-147-165
株主資本合計17,93420,34822,58824,32819,83519,50720,82718,85219,63320,92221,241
その他の包括利益累計額
その他有価証券評価差額金1,8062,8133,4192,5531,1973,1082,7093,1177,5284,6465,539
繰延ヘッジ損益-11-14-3-2251373318207307
土地再評価差額金5,2735,2735,2735,2825,2825,2825,2825,2825,2825,1835,183
為替換算調整勘定2,2171,2611,445311114-2232,0963,8315,9336,3996,551
退職給付に係る調整累計額-695-489-427-436-586-1401332731,0185701,109
その他の包括利益累計額合計8,6008,8589,6967,7086,0058,05310,23612,57920,08117,00718,691
非支配株主持分1,416850910918885835854767883907849
純資産合計27,95030,05833,19532,95526,72628,39631,91832,19940,59838,83740,783
負債純資産合計85,59089,18190,15096,76890,39693,89196,917100,108111,536109,950105,017