TOPPANHDs

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230,288242,171241,491257,367287,212513,972437,951431,722489,939768,989438,866
受取手形、売掛金及び契約資産------428,362425,233441,810439,703478,429
有価証券111,843130,20275,90369,90278,80329,41826,70273,19968,0899,6002,500
商品及び製品34,63236,70639,24941,84849,68446,79452,52161,42665,42361,78279,401
仕掛品30,94431,02632,63333,19730,72428,45128,98932,86635,12031,70737,824
原材料及び貯蔵品19,15419,99022,54123,69828,70728,32542,94748,03847,75947,13864,312
その他27,30928,12834,48828,54128,03329,70037,90739,48154,74155,08479,833
貸倒引当金-3,491-2,540-2,271-2,311-2,039-3,739-4,649-5,886-6,241-7,100-7,523
受取手形及び売掛金390,855387,251399,047411,517401,631394,071-----
繰延税金資産10,67011,99010,550--------
流動資産合計852,207884,927853,634863,760902,7581,066,9941,050,7341,106,0821,196,6421,406,9051,173,644
固定資産
有形固定資産
建物及び構築物585,991590,676589,342580,339609,852604,889600,337610,033613,053589,029592,845
減価償却累計額-346,800-359,853-361,554-363,560-375,212-385,110-386,183-398,856-400,517-393,513-380,846
建物及び構築物(純額)239,191230,823227,787216,779234,639219,779214,154211,176212,536195,516211,998
機械装置及び運搬具749,866783,235787,474765,676811,344813,508849,753871,825905,127867,894722,697
減価償却累計額-630,271-657,413-655,109-641,729-656,958-657,777-683,692-701,920-723,039-694,481-520,842
機械装置及び運搬具(純額)119,594125,821132,364123,947154,385155,730166,061169,905182,087173,413201,854
土地139,854141,582155,497155,215154,523150,863153,116158,362158,678137,210136,539
建設仮勘定26,93015,64127,47945,91031,67021,52621,46331,89042,22283,21064,354
その他73,01974,83675,68575,01094,66396,126101,257107,001112,089116,795123,941
減価償却累計額-60,612-62,125-63,165-62,886-69,355-72,247-75,797-81,035-84,099-85,146-84,926
その他(純額)12,40612,71012,52012,12325,30723,87825,45925,96627,99031,64939,014
有形固定資産合計537,977526,580555,649553,976600,528571,778580,255597,301623,514620,999653,763
無形固定資産
のれん------27,47822,93123,94222,363103,844
その他27,44125,13235,62536,87949,63848,18156,02262,41867,15464,898177,636
無形固定資産合計27,44125,13235,62536,87949,63848,18183,50085,35091,09787,261281,481
投資その他の資産
投資有価証券372,948480,845620,015639,070483,339631,766525,276393,298450,595310,633340,051
長期貸付金8,4744,9497335281,4011,4951,2551,1121,4447,76516,066
従業員に対する長期貸付金1911711261027668739911415823
繰延税金資産----27,38425,82027,56129,45338,11343,18038,352
退職給付に係る資産41,91143,44657,10662,58167,5102,8413,5654,2816,36411,30118,692
その他17,35112,75211,78412,51011,20314,87916,26822,15725,30927,11636,308
貸倒引当金-1,607-1,365-1,036-589-385-324-302-320-307-235-199
繰延税金資産19,67820,46919,09625,166-------
投資その他の資産合計458,948561,268707,825739,370590,530676,548573,697450,083521,633399,920449,295
固定資産合計1,024,3671,112,9811,299,1011,330,2261,240,6961,296,5081,237,4531,132,7341,236,2451,108,1811,384,540
資産合計1,876,5741,997,9092,152,7352,193,9872,143,4542,363,5032,288,1882,238,8172,432,8872,515,0872,558,184
負債の部
流動負債
支払手形及び買掛金177,419171,087162,407155,538142,824139,664151,743162,517146,724131,553142,871
電子記録債務94,24498,719105,501107,572108,49395,87496,44284,85359,03847,13518,297
短期借入金15,3368,43610,22432,68933,34230,58815,29927,14019,041312,764125,066
1年内返済予定の長期借入金17,39017,2732,7303,1654,46610,07410,46812,39836,41727,16017,814
未払法人税等12,44616,6897,54216,36442,89526,48728,99412,34526,72971,22213,614
賞与引当金17,85419,73620,49120,04521,28224,17626,75926,35027,92630,28738,409
役員賞与引当金477497484442560689875676620699672
株式給付引当金----------7,420
その他の引当金1,0381,6221,4141294031,2349151,1865702,0147,786
その他85,63297,43098,00891,510105,028107,277124,594139,926227,129200,046257,300
1年内償還予定の社債----30,000-40,000-30--
返品調整引当金221221268250687424-----
1年内償還予定の新株予約権付社債40,044--40,000-------
流動負債合計462,105431,712409,073467,708489,985436,492496,094467,394544,227822,884629,253
固定負債
社債90,000120,000120,000120,00090,00090,00050,00050,00050,00050,000130,000
長期借入金78,18966,12983,45078,39693,135193,581138,309134,243102,96777,672218,039
リース債務----------31,319
繰延税金負債----92,603123,977100,14158,94679,25736,49443,050
役員退職慰労引当金1,5831,6711,6991,7561,6081,7151,6511,6661,7661,5221,557
退職給付に係る負債55,02062,28250,99051,22550,00148,69749,66653,93551,43352,62541,412
株式給付引当金--------1,5634,623-
その他の引当金3518263286683,4824,4273,7513,7272,67810,5358,920
その他10,5679,5547,5527,01412,40411,44811,36516,73431,68540,12044,561
新株予約権付社債40,15040,00040,000--------
繰延税金負債71,75393,772135,966138,326-------
固定負債合計347,617394,237439,987397,390343,236473,847354,885319,253321,351273,594518,862
負債合計809,722825,950849,060865,099833,221910,339850,980786,647865,5791,096,4791,148,116
純資産の部
株主資本
資本金104,986104,986104,986104,986104,986104,986104,986104,986104,986104,986104,986
資本剰余金117,743118,065118,405120,031126,784126,793125,530120,774121,069119,984119,211
利益剰余金623,049643,452672,843700,775771,956832,978941,169987,9861,005,1291,046,962990,765
自己株式-57,381-53,837-53,903-53,932-4,295-10,886-26,469-43,360-46,207-114,304-45,227
株主資本合計788,397812,667842,331871,861999,4311,053,8711,145,2161,170,3861,184,9771,157,6291,169,735
その他の包括利益累計額
その他有価証券評価差額金138,536208,509285,308292,996186,078273,431203,794119,451170,81273,14555,987
繰延ヘッジ損益-288-257-124-368-227-176-107149-42-3,700-690
為替換算調整勘定4,9351321,380-2,511-4,210-5,74413,25633,70755,73359,46994,443
退職給付に係る調整累計額2,621-1,2267,5794,9521,5542,3403,8201,4225,2967,01117,717
その他の包括利益累計額合計145,803207,158294,143295,068183,195269,850220,764154,730231,799135,925167,457
新株予約権-------124-
非支配株主持分132,650152,133167,199161,957127,605129,44271,226127,051150,528125,04972,874
純資産合計1,066,8511,171,9581,303,6741,328,8881,310,2321,453,1641,437,2071,452,1691,567,3071,418,6081,410,067
負債純資産合計1,876,5741,997,9092,152,7352,193,9872,143,4542,363,5032,288,1882,238,8172,432,8872,515,0872,558,184