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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9,9437,8587,1244,0049,62517,30319,42214,11116,75316,34212,130
受取手形、売掛金及び契約資産------23,23225,52727,42829,57432,598
商品及び製品106,660106,243107,941109,805109,119114,131115,646124,468128,500130,116132,401
原材料及び貯蔵品186184264275512259246238327303294
前払費用1,4291,7751,5321,9481,6242,0511,7072,1491,7522,1831,895
その他6,3554,7384,3734,4315,4814,1004,6214,3934,4834,1015,006
貸倒引当金-215-225-242-357-534-668-784-872-1,050-1,137-1,126
受取手形及び売掛金12,91514,44316,07817,69819,82120,935-----
繰延税金資産1,1341,1731,167--------
有価証券3----------
流動資産合計138,413136,192138,240137,806145,651158,114164,092170,014178,194181,484183,200
固定資産
有形固定資産
建物及び構築物197,778207,554222,917233,682236,612247,537253,939259,122266,800279,514295,462
減価償却累計額-100,415-105,733-111,567-117,851-124,258-130,555-136,400-143,130-150,148-156,652-163,649
建物及び構築物(純額)97,362101,821111,349115,830112,353116,981117,539115,992116,652122,862131,812
機械装置及び運搬具13,06313,59513,79814,62614,77314,95214,96815,19515,38615,77917,460
減価償却累計額-9,354-10,039-10,626-11,303-11,923-12,392-12,786-13,113-13,511-13,841-14,307
機械装置及び運搬具(純額)3,7083,5553,1723,3232,8502,5602,1822,0821,8751,9373,153
土地29,30928,99831,07732,97634,35535,34036,03337,33738,22438,00437,584
リース資産11,23010,1819,8139,6028,3918,0348,6578,8588,9359,9789,820
減価償却累計額-6,250-6,030-5,699-5,479-4,876-4,136-4,391-4,454-4,361-5,084-4,874
リース資産(純額)4,9804,1514,1134,1223,5153,8974,2654,4034,5744,8934,945
建設仮勘定3,8293,7163,4462,5713,1411,5048811,7183,4048,1552,937
その他12,88813,21813,83814,44613,25113,93214,64815,49516,20817,14318,053
減価償却累計額-10,965-11,395-11,958-12,575-10,960-11,587-12,297-12,998-13,829-14,738-15,356
その他(純額)1,9221,8231,8791,8702,2902,3452,3502,4962,3782,4042,696
有形固定資産合計141,112144,066155,038160,694158,505162,629163,252164,029167,109178,258183,130
無形固定資産
借地権4,7714,9115,1705,3365,3495,7835,8045,8475,8956,0556,106
その他2,3682,5202,4432,4642,6942,8353,1303,5753,3453,0643,335
無形固定資産合計7,1407,4327,6137,8018,0438,6188,9349,4239,2419,1209,441
投資その他の資産
投資有価証券1,2681,4422,0921,8201,3221,9091,6381,5441,6481,6992,198
長期前払費用9141,0071,0971,1431,0161,0721,0549669761,0541,046
繰延税金資産----7,8207,7427,2696,8617,3207,1627,313
敷金及び保証金9,3339,2558,5058,3798,2187,2687,4327,2757,0727,0737,022
その他6775865314995638061,1141,2721,2901,6121,846
貸倒引当金-36000-2-20-1-1-805-1,005
繰延税金資産6,6726,5786,6518,290-------
投資その他の資産合計18,82918,87118,87820,13318,93918,79618,50817,91918,30617,79718,422
固定資産合計167,082170,369181,531188,629185,489190,044190,695191,372194,656205,176210,994
資産合計305,496306,562319,771326,435331,140348,159354,788361,387372,851386,661394,194
負債の部
流動負債
支払手形及び買掛金48,51028,32527,02625,76228,01229,68728,70329,15828,37528,97931,205
電子記録債務-22,38323,40325,86326,45429,80031,74132,17932,52630,16825,559
短期借入金18,7007,20020010,0008,500--6,0008,50014,50011,500
1年内返済予定の長期借入金7,1974,48017,16912,1694,16912,56913,9336,7757,6896,3021,977
未払金5,7766,3559,5948,0337,7288,8529,8378,8589,4158,66310,424
未払費用272239308299268278250238276634
リース債務1,8111,6181,6041,5791,3701,4361,5291,5581,6661,8111,799
未払法人税等2,8363,2233,5893,7363,4386,9233,6234,4923,9113,9194,365
未払消費税等1,6728589981,7412,7222,2801,8137881,1411,6261,471
契約負債------3,5894,8634,4094,7275,401
賞与引当金1,9201,6631,5731,6811,8181,9561,8501,6871,5251,4221,324
役員賞与引当金3718191919202119232321
ポイント引当金462581656682739814139161177188176
災害損失引当金1190438208051103
設備関係支払手形2,4991,9292,8831,0111,6526941,2731,655512390-
その他3,0663,0833,4483,8364,1004,7403,0523,0542,9603,0093,309
店舗閉鎖損失引当金9174444444------
役員退職慰労引当金-53---------
流動負債合計94,85682,09192,53096,46291,044100,094101,568101,492103,623105,74098,575
固定負債
長期借入金44,44147,64839,47932,30938,64027,87019,93712,76112,6698,95912,584
リース債務3,9403,3333,2053,1162,6182,9003,1283,1933,2163,3593,382
役員退職慰労引当金178124124124124124120120120120120
役員株式給付引当金----152183184207228247254
退職給付に係る負債9,58210,26510,95011,5035,4145,7686,1616,4016,6815,9285,996
長期預り保証金1,6541,7061,6911,5971,5581,4831,4661,4511,4181,4241,390
資産除去債務4,5255,7106,2866,8627,0717,7187,7357,8788,16914,12514,463
繰延税金負債-----6139---52
その他5943633284332,5241,391605533475439394
繰延税金負債1227621556-------
固定負債合計65,04069,22962,28356,00458,10547,50239,37932,54732,97934,60438,639
負債合計159,896151,321154,813152,466149,149147,597140,947134,039136,603140,345137,214
純資産の部
株主資本
資本金18,80218,80218,80218,80218,80218,80218,80218,80218,80218,80218,802
資本剰余金25,26025,26025,26025,26025,26025,26025,26025,26025,26025,26023,670
利益剰余金111,776120,919129,901138,811148,676166,934182,463197,180208,401219,570231,582
自己株式-9,145-9,147-9,126-9,126-11,239-11,241-13,197-14,276-16,616-18,328-18,342
株主資本合計146,693155,835164,838173,747181,499199,756213,327226,966235,847245,304255,713
その他の包括利益累計額
その他有価証券評価差額金6016258640172461347288376408740
退職給付に係る調整累計額-1,152-823-580-3283903381549324603526
繰延ヘッジ損益-100-53-9-27511----
その他の包括利益累計額合計-1,192-714-3724918055133814001,0111,266
新株予約権97120123148-------
純資産合計145,599155,241164,958173,968181,990200,561213,840227,347236,248246,316256,979
負債純資産合計305,496306,562319,771326,435331,140348,159354,788361,387372,851386,661394,194