ミロク

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

2015-10千円
2016-10千円
2017-10千円
2018-10千円
2019-10千円
2020-10千円
2021-10千円
2022-10千円
2023-10千円
2024-10千円
2025-10千円
資産の部
流動資産
現金及び預金1,531,0851,906,1362,121,0102,256,9432,851,1102,883,8503,124,1471,814,9041,389,5531,299,6381,663,732
受取手形及び売掛金2,339,9382,206,8331,789,4731,982,0992,064,6571,527,4731,447,7321,862,1882,707,8392,134,1762,132,184
棚卸資産3,043,9583,023,1783,540,4873,876,3963,939,0794,147,2634,408,9245,085,9575,684,4226,482,4046,271,041
その他282,234341,487372,833298,776267,451367,378391,772462,461359,637574,303389,691
貸倒引当金-344-366-719-492-173-168-181-52-45-39-36
繰延税金資産119,199108,845132,807170,244-------
流動資産合計7,316,0717,586,1147,955,8928,583,9679,122,1248,925,7989,372,3959,225,45910,141,40710,490,48410,456,613
固定資産
有形固定資産
建物及び構築物(純額)1,147,6541,553,1131,473,0901,457,8311,456,8661,442,7801,393,6521,342,6671,398,0431,241,7733,743,972
機械装置及び運搬具(純額)998,1291,023,1961,234,3261,411,7711,505,4821,939,5171,888,4011,860,1332,137,4221,003,742373,306
土地1,687,9951,687,9951,687,9951,687,9951,687,9951,687,9951,687,9952,543,9182,543,9182,538,3022,538,302
建設仮勘定80,88957,46270,54748,63710,51127,842165,265409,792240,4862,504,36384,653
その他(純額)74,58693,81398,971103,489129,160131,390140,126128,664141,338122,117104,218
有形固定資産合計3,989,2544,415,5824,564,9314,709,7254,790,0175,229,5275,275,4426,285,1776,461,2107,410,3006,844,454
無形固定資産----63,36689,91685,26387,43080,89294,9096,091
投資その他の資産
投資有価証券2,532,4002,577,6252,863,0242,689,3722,767,3812,666,2292,980,0763,038,1703,645,7524,308,7564,366,673
繰延税金資産-----416,775428,264483,768424,653176,69157,435
その他677,199597,972376,855276,881238,323230,030166,318165,327163,678151,692150,881
貸倒引当金-32,271-18,014-12,987-12,980-12,980-13,180-13,091-12,991-12,991-12,980-12,980
繰延税金資産257,425221,170219,158242,071387,568------
投資その他の資産合計3,434,7543,378,7543,446,0513,195,3453,380,2933,299,8553,561,5683,674,2734,221,0934,624,1604,562,010
無形固定資産
のれん101,95067,96633,983--------
その他92,30197,94373,03351,219-------
無形固定資産合計194,251165,909107,01751,219-------
固定資産合計7,618,2607,960,2468,118,0007,956,2908,233,6778,619,2998,922,27410,046,88210,763,19512,129,37011,412,556
資産合計14,934,33215,546,36116,073,89216,540,25717,355,80217,545,09718,294,67019,272,34120,904,60222,619,85421,869,169
負債の部
流動負債
支払手形及び買掛金1,369,5041,332,5921,149,1131,020,2741,083,9621,024,3611,189,3201,201,2181,005,7001,175,4211,148,485
短期借入金---100,000100,000100,000--500,0001,100,0001,860,000
1年内返済予定の長期借入金400,000300,000-700,000-200,000200,000-300,000400,000200,000
未払法人税等181,753150,960244,850270,046186,09779,780120,967237,89076,64043,94629,238
賞与引当金108,681112,787133,861150,599156,798114,056149,246301,232305,522213,431205,007
役員賞与引当金38,55041,35041,44031,81239,29227,58522,78931,86728,7866,5065,650
その他844,700843,043762,419667,362818,196832,967853,756944,290741,265860,001855,946
流動負債合計2,943,1902,780,7332,331,6842,940,0962,384,3462,378,7492,536,0792,716,4972,957,9143,799,3074,304,327
固定負債
長期借入金300,000700,000700,000-400,000200,000300,000700,0001,250,0003,980,0005,100,000
繰延税金負債-----233,705319,820356,611478,637655,471683,174
役員退職慰労引当金197,771165,926142,207151,782166,311166,056186,666195,897207,160194,594216,910
退職給付に係る負債580,232551,921556,808607,786637,288627,960639,177648,454696,725670,092677,544
その他52,27036,05623,76011,6117,944160,600148,333---139,426
繰延税金負債199,505210,163289,092225,967245,883------
固定負債合計1,329,7801,664,0681,711,868997,1461,457,4281,388,3221,593,9981,900,9632,632,5235,500,1586,817,055
負債合計4,272,9704,444,8014,043,5533,937,2423,841,7743,767,0724,130,0784,617,4615,590,4379,299,46511,121,383
純資産の部
株主資本
資本金863,126863,126863,126863,126863,126863,126863,126863,126863,126863,126863,126
資本剰余金519,542519,602519,703519,703553,778553,778553,778553,778553,778553,778553,778
利益剰余金8,830,4319,279,54410,127,18710,826,27911,617,35111,908,04112,076,37912,472,28612,833,51210,434,2757,888,152
自己株式-74,833-75,951-78,582-79,622-30,264-30,730-31,068-31,276-31,405-31,996-32,241
株主資本合計10,138,26710,586,32211,431,43512,129,48613,003,99213,294,21613,462,21613,857,91514,219,01211,819,1859,272,815
その他の包括利益累計額
その他有価証券評価差額金336,709401,816563,196437,639480,595460,281666,256725,0281,051,5521,454,2491,427,651
為替換算調整勘定186,384113,42135,70735,88929,43823,52736,11971,93643,60046,95347,319
その他の包括利益累計額合計523,094515,237598,903473,528510,034483,809702,375796,9641,095,1521,501,2021,474,970
純資産合計10,661,36111,101,55912,030,33912,603,01513,514,02713,778,02514,164,59214,654,88015,314,16513,320,38810,747,786
負債純資産合計14,934,33215,546,36116,073,89216,540,25717,355,80217,545,09718,294,67019,272,34120,904,60222,619,85421,869,169