ニプロ

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126,667123,188141,940129,43895,92590,27495,34289,67899,667106,66897,835
受取手形及び売掛金113,235121,038140,511148,970152,462140,521140,285160,271160,240166,858175,740
契約資産---------22618
商品及び製品68,68378,24188,71095,103106,284113,109118,315137,774150,391170,857182,044
仕掛品10,16710,78412,66612,34712,41814,11715,02817,42720,75721,10522,563
原材料及び貯蔵品23,85126,30327,84130,47434,57736,99342,80152,59255,91559,14959,369
その他20,11522,19418,85427,86732,49827,53427,50635,70142,55556,31764,985
貸倒引当金-983-1,378-1,437-1,248-1,137-1,182-1,821-4,157-5,362-6,764-7,726
繰延税金資産6,3806,4046,959--------
流動資産合計368,117386,775436,047442,953433,030421,368437,459489,289524,166574,418594,832
固定資産
有形固定資産
建物及び構築物184,037199,471207,198220,205241,755247,413264,032287,677337,409350,245378,377
減価償却累計額及び減損損失累計額-84,826-90,929-98,987-105,317-116,799-124,785-136,425-147,531-156,680-171,399-185,950
建物及び構築物(純額)99,211108,541108,211114,887124,956122,627127,606140,145180,729178,845192,426
機械装置及び運搬具217,074236,514258,817273,467297,856301,050328,271360,642408,015459,621490,680
減価償却累計額及び減損損失累計額-154,911-164,778-180,543-193,732-214,021-223,584-244,162-265,162-288,780-326,411-354,533
機械装置及び運搬具(純額)62,16271,73678,27379,73483,83577,46684,10895,480119,235133,210136,147
土地21,12323,98732,07936,48047,00452,10051,77647,12347,06148,28841,207
リース資産3,2293,8553,7075,30311,88830,52531,89235,94740,14945,29842,985
減価償却累計額-2,208-2,642-2,746-3,069-3,656-6,444-9,233-13,115-16,778-20,679-21,225
リース資産(純額)1,0211,2129602,2338,23124,08122,65922,83123,37124,61921,760
建設仮勘定27,64325,95337,53736,63827,64442,19970,281103,33683,28488,97578,960
その他46,97650,23254,42359,62066,83172,42280,97889,858101,983113,597122,722
減価償却累計額及び減損損失累計額-34,382-37,441-41,213-45,112-50,952-54,991-59,660-66,224-74,156-83,709-90,657
その他(純額)12,59412,79113,21014,50815,87917,43021,31823,63327,82629,88732,064
有形固定資産合計223,756244,222270,273284,483307,551335,906377,752432,550481,508503,827502,566
無形固定資産
のれん28,87627,99627,35819,32714,73813,56515,06014,51415,60714,09932,296
リース資産2,4692,2632,3663,6694,1333,3382,9052,3021,9211,8801,452
その他13,56613,57516,26816,40114,53012,90014,84417,18717,60919,52517,960
無形固定資産合計44,91343,83645,99439,39833,40129,80332,81034,00435,13835,50551,709
投資その他の資産
投資有価証券58,56068,88862,93661,36539,29247,19945,00837,22032,94515,28718,902
退職給付に係る資産253227------942,2785,314
繰延税金資産----12,67012,07712,39310,37713,11617,21617,175
その他15,62511,65112,6449,1079,05013,80931,05230,26729,99027,84229,183
貸倒引当金-6,292-4,221-4,844-2,822-3,131-5,768-6,154-6,309-7,139-5,814-6,392
繰延税金資産3,9471,4593,70611,335-------
投資その他の資産合計72,09478,00474,44378,98657,88267,31882,29971,55569,00756,81264,183
固定資産合計340,764366,063390,711402,867398,835433,028492,862538,109585,655596,145618,458
資産合計708,882752,839826,759845,821831,865854,396930,3211,027,3991,109,8211,170,5641,213,290
負債の部
流動負債
支払手形及び買掛金56,18557,58762,10569,64669,53967,21973,54476,14181,50283,80285,345
短期借入金125,848117,933117,666139,297135,416133,987150,675130,570160,367156,174186,007
コマーシャル・ペーパー10,00010,00010,000----10,00020,000-10,000
1年内償還予定の社債2,26215,1601,2153,6001,6001,6002,2002,0004,7001,0001,000
1年内償還予定の転換社債型新株予約権付社債----25,000-----30,030
リース債務1,0441,1071,1981,6933,0804,8653,8854,4404,7486,6535,039
未払金12,00413,50916,46117,49913,14722,58824,60123,15325,83730,97930,511
未払法人税等4,2664,3044,9935,3503,3943,2185,5284,8976,1255,92213,220
契約負債---------1,0352,332
賞与引当金3,7334,0754,3644,5064,6265,0655,2395,95511,4369,05814,754
設備関係支払手形12,75310,35011,3047,9315,6147,4475,88210,1915,5914,7992,745
その他23,57917,31321,41724,23727,98324,02037,73834,54245,43951,11947,550
前受金------2,115426368--
前受収益------284578345--
役員賞与引当金7910513112501621661311--
災害損失引当金-----1,327130----
未払役員賞与389343328388-------
流動負債合計252,147251,792251,186274,277289,404271,501311,993302,910366,475350,545428,537
固定負債
社債18,3305,2155,00011,40027,50075,90078,70076,70082,000103,000103,252
転換社債型新株予約権付社債25,00025,00025,00025,000--30,27030,21030,15030,090-
長期借入金224,945281,181350,517349,112332,956294,290267,614316,555302,819309,987279,399
リース債務3,1322,8692,5445,03410,15427,19425,62625,26525,31225,17023,579
繰延税金負債----2282156171,2761,6192,0181,713
退職給付に係る負債5,0175,1264,5305,1016,4215,8465,9275,1645,6757,2448,434
役員退職慰労引当金553592647703686682697686557584616
訴訟損失引当金188820214711380102153227276313
その他2,2452,7972,8613,0083,1634,6208,89326,29125,18430,02432,671
役員株式給付引当金-----8111110--
繰延税金負債1,9851,766783204-------
固定負債合計281,227324,639392,087399,712381,223408,841418,460482,315473,557508,397449,980
負債合計533,375576,431643,273673,990670,628680,343730,453785,225840,032858,942878,518
純資産の部
株主資本
資本金84,39784,39784,39784,39784,39784,39784,39784,39784,39784,39784,397
利益剰余金73,06778,42283,57090,71974,76887,32694,66795,521104,321104,783114,797
自己株式-1,475-6,243-6,004-10,826-10,827-10,748-10,748-10,748-10,749-10,749-10,749
資本剰余金----54--0--
株主資本合計155,990156,577161,963164,291148,344160,980168,316169,170177,970178,431188,445
その他の包括利益累計額
その他有価証券評価差額金-3,3471,589-712-5,1737319,0809,7897,1629,7042,7415,336
繰延ヘッジ損益-12-141-69-54-69-34-108-47-50176122
為替換算調整勘定14,1878,64011,4042,625341-9,3216,88528,71643,51668,92076,718
退職給付に係る調整累計額-821-58236-199-5633193561,3151,5242,1723,494
その他の包括利益累計額合計10,0079,50410,658-2,8024404516,92237,14754,69574,01085,671
新株予約権---------4-
非支配株主持分9,50910,32510,86310,34112,45213,02714,62835,85637,12359,17560,655
純資産合計175,507176,408183,485171,830161,237174,053199,867242,173269,788311,621334,772
負債純資産合計708,882752,839826,759845,821831,865854,396930,3211,027,3991,109,8211,170,5641,213,290