大日本印刷

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171,694210,454242,781268,046373,013301,162287,334246,438228,765254,995298,135
受取手形------46,63546,78048,59043,65740,397
売掛金------277,912282,560299,193297,305294,027
契約資産------298421646612589
商品及び製品101,23984,28682,69779,80978,19975,54080,38585,02688,30186,29887,118
仕掛品29,68629,13031,67230,07432,23127,81030,98033,89036,60737,73335,505
原材料及び貯蔵品25,02123,89623,17823,18723,84923,42030,25535,94639,58841,69546,181
その他36,10333,87947,15948,22629,27934,97533,80449,81950,78962,87258,159
貸倒引当金-1,349-1,627-1,690-1,515-1,361-716-693-688-664-478-678
有価証券----18,00019,00017,90022,8007,500--
受取手形及び売掛金348,585341,805354,241351,450330,798324,625-----
繰延税金資産10,74415,31419,713--------
流動資産合計721,724737,140799,753799,280884,010805,817804,813802,995799,318824,692859,436
固定資産
有形固定資産
建物及び構築物584,013567,661566,445549,251520,307533,513529,948555,484572,978555,618562,938
減価償却累計額-366,497-361,465-367,135-365,373-362,218-369,464-369,441-373,274-394,367-404,119-407,347
建物及び構築物(純額)217,516206,196199,310183,878158,089164,049160,506182,209178,611151,499155,591
機械装置及び運搬具771,660760,117736,596708,330696,459699,897684,070678,617710,091703,763719,921
減価償却累計額-682,111-679,427-655,894-640,815-631,443-626,186-613,240-612,663-633,477-642,690-646,727
機械装置及び運搬具(純額)89,54980,68980,70267,51465,01673,71070,83065,95476,61461,07273,194
土地155,532155,114151,521147,924141,423141,808139,573139,907142,404141,787142,920
リース資産24,64324,32426,96825,82818,29615,14415,63814,85918,06320,72420,934
減価償却累計額-11,799-9,774-13,225-16,036-9,794-7,862-9,087-7,735-9,452-10,722-11,228
リース資産(純額)12,84414,54913,7429,7918,5027,2826,5507,1238,61110,0019,706
建設仮勘定14,94618,3267,16011,76016,42813,23825,64020,28423,75117,60713,706
その他116,668113,519113,396112,432113,366113,590112,733115,097123,795126,626128,858
減価償却累計額-93,900-91,229-91,435-92,182-93,460-93,651-93,958-94,148-100,648-102,799-103,209
その他(純額)22,76722,28921,96020,25019,90619,93918,77520,94923,14723,82725,649
有形固定資産合計513,156497,166474,397441,120409,367420,029421,875436,429453,139405,795420,768
無形固定資産
のれん8,7656,4744,2412,4891,1872,4262,3172,4234,10110,29530,554
ソフトウエア24,91125,94226,68625,04420,23721,04823,55626,10923,73827,06830,926
その他2,1252,0191,9251,3801,2911,7321,8731,8272,8569,02910,347
無形固定資産合計35,80234,43632,85328,91422,71625,20727,74730,36030,69746,39371,828
投資その他の資産
投資有価証券362,654380,323401,414393,104298,894422,799410,266341,215374,659393,125369,504
退職給付に係る資産45,84357,08967,83871,38064,689111,933166,130174,781248,389194,597255,583
繰延税金資産----13,8889,97711,7707,7498,7189,4348,377
その他32,35428,12730,93832,46830,44331,99536,00238,88243,59246,18850,526
貸倒引当金-6,424-4,057-3,632-2,315-2,286-2,741-1,957-2,029-2,885-2,388-1,915
繰延税金資産6,7317,2866,93411,068-------
長期貸付金6,7924,390---------
投資その他の資産合計447,952473,160503,493505,707405,629573,964622,210560,598672,474640,956682,077
固定資産合計996,9111,004,7631,010,745975,742837,7131,019,2011,071,8341,027,3891,156,3101,093,1451,174,674
資産合計1,718,6361,741,9041,810,4981,775,0221,721,7241,825,0191,876,6471,830,3841,955,6291,917,8382,034,110
負債の部
流動負債
支払手形及び買掛金255,585247,562248,993246,138238,066226,606236,188224,418223,873215,474191,394
短期借入金55,31643,03544,79442,47439,05137,32133,99030,30138,26131,74732,963
1年内返済予定の長期借入金7,7647,5604,2922,7317,0082,5452,5671,2434,4785,8196,569
未払法人税等6,0147,15210,0427,44816,6217,12310,05110,49211,64252,95611,643
賞与引当金17,33317,05617,12818,14518,94519,28420,36720,43321,29021,74822,970
その他81,29974,15183,71680,06587,83193,98585,68994,131102,224108,034114,638
補修対策引当金-18,67929,58019,16220,63617,68817,25217,5497,157--
1年内償還予定の社債---51,49052,4903,570-----
流動負債合計423,313415,198438,548467,655480,651408,125406,108398,571408,928435,780380,179
固定負債
社債107,560109,640108,60059,610107,120103,550102,500100,000100,000100,000200,000
長期借入金18,1908,65810,12710,0455,97711,56914,25413,77223,40324,44124,028
リース債務10,37011,1999,3995,6306,5705,8695,1447,82111,74513,75212,695
退職給付に係る負債34,16735,14935,21634,73335,68735,17455,88854,74056,19054,60751,937
繰延税金負債----42,82195,997102,27584,659111,65473,00390,079
その他12,90714,62417,79315,21419,65916,62714,02613,0667,0197,4738,083
補修対策引当金--7,54370,21154,66049,49128,0369,506---
繰延税金負債48,88466,14780,71765,300-------
固定負債合計232,080245,418269,399260,745272,497318,279322,125283,567310,013273,278386,824
負債合計655,394660,617707,948728,400753,149726,405728,233682,139718,941709,059767,004
純資産の部
株主資本
資本金114,464114,464114,464114,464114,464114,464114,464114,464114,464114,464114,464
資本剰余金144,283144,280144,264144,765145,024145,024145,143145,112145,118145,034145,036
利益剰余金717,029695,720681,976626,949676,346683,784740,183737,699782,000824,329740,585
自己株式-81,024-69,636-62,908-62,898-122,911-122,920-133,123-88,212-126,367-135,347-16,116
株主資本合計894,752884,829877,797823,281812,923820,352866,667909,064915,215948,481983,970
その他の包括利益累計額
その他有価証券評価差額金123,478149,574168,155170,073110,051202,017192,994138,781161,863106,68189,465
繰延ヘッジ損益-6-2-3-151145-2126-166
為替換算調整勘定3,050-2,2191,410-2,398-3,448-5,0824,22014,14320,85030,30938,272
退職給付に係る調整累計額-3,8491,6836,2415,208-3,75126,67827,93225,53567,97150,39178,789
その他の包括利益累計額合計122,672149,035175,803172,881102,856223,624225,193178,439250,711187,366206,534
非支配株主持分45,80047,42248,95050,45952,79454,63656,55260,74170,76072,93076,602
新株予約権16----------
純資産合計1,063,2411,081,2861,102,5501,046,622968,5741,098,6131,148,4131,148,2451,236,6871,208,7781,267,106
負債純資産合計1,718,6361,741,9041,810,4981,775,0221,721,7241,825,0191,876,6471,830,3841,955,6291,917,8382,034,110