ナガセ

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

2016-03千円
2017-03千円
2018-03千円
2019-03千円
2020-03千円
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21,847,43917,185,29120,167,81117,624,71117,004,15321,87221,47219,53326,46918,57020,850
売掛金-----3,0513,0202,9823,9764,5523,606
商品及び製品322,823391,810355,728318,712305,173285339364354330329
教材88,08683,38063,82170,50874,7497469105887962
仕掛品2432551,0095981,383001110
原材料及び貯蔵品72,46182,88490,56399,729112,090103969997124134
前払費用1,035,4961,022,5661,051,7651,058,4001,083,0861,1551,1071,2231,2161,3691,473
その他305,953730,995292,156274,961577,776292236309464433489
貸倒引当金-24,716-45,904-43,067-21,685-24,077-20-48-48-50-66-63
受取手形及び売掛金2,292,7362,337,7853,355,5343,391,7222,646,845------
繰延税金資産400,721355,514353,972--------
流動資産合計26,341,24722,144,57925,689,29522,817,65821,781,18126,81626,29524,57132,61725,39626,883
固定資産
有形固定資産
建物及び構築物17,856,14121,047,25820,938,33422,680,27821,982,47222,34725,50426,94227,16235,08035,597
減価償却累計額-9,114,483-9,742,933-10,144,668-10,733,005-10,226,725-10,906-13,596-14,595-15,289-20,723-21,626
建物及び構築物(純額)8,741,65711,304,32410,793,66511,947,27311,755,74611,44011,90712,34611,87314,35713,971
工具、器具及び備品5,396,5775,552,7624,969,6345,176,7735,144,0715,1905,4715,6815,8196,8027,024
減価償却累計額-4,657,435-4,690,704-4,252,415-4,423,845-4,496,352-4,591-4,876-5,003-5,148-5,897-6,099
工具、器具及び備品(純額)739,141862,058717,219752,927647,719599595678671905924
土地13,833,54513,912,91213,465,20914,772,24115,353,49915,19916,64815,14115,46315,46316,072
建設仮勘定2,168,24654022,287285,15218,045-150-328451
その他855,429898,602889,141927,144917,5879249361,1051,1351,1541,100
減価償却累計額-640,711-716,379-743,557-762,575-763,689-786-820-972-978-1,023-1,013
その他(純額)214,718182,222145,583164,568153,89713811513215713086
有形固定資産合計25,697,30926,262,05825,143,96627,922,16227,928,90827,37829,41628,29928,16830,88531,507
無形固定資産
施設利用権205,985205,856198,149178,657176,707170170164153153152
のれん------1,0103,1582,7993,1262,622
その他1,766,9931,705,6451,598,3351,649,6311,882,2362,2262,5582,5622,2883,2163,399
無形固定資産合計1,972,9781,911,5011,796,4841,828,2882,058,9442,3963,7395,8855,2406,4966,173
投資その他の資産
投資有価証券5,404,4347,033,5578,093,7007,550,3578,781,4308,87610,51112,25315,48019,36025,417
長期貸付金629,472582,760797,611743,553460,499624526337412510560
長期前払費用810,948950,371975,840683,828603,339255307410492461512
敷金及び保証金4,732,8834,691,8584,528,9324,507,8974,450,8184,4404,9915,2815,0466,0425,898
繰延税金資産----612,618797642570689810784
その他333,909336,445334,237220,063215,170207206563196208197
貸倒引当金-122,561-117,025-108,787-87,211-80,416-85-72-68-58-65-52
繰延税金資産728,347546,023484,477938,486-------
投資その他の資産合計12,517,43414,023,99215,106,01314,556,97415,043,45915,11617,11319,34722,25927,32933,318
固定資産合計40,187,72242,197,55342,046,46444,307,42645,031,31244,89150,26953,53255,66864,71070,999
資産合計66,528,96964,342,13267,735,75967,125,08566,812,49471,70876,56478,10488,28690,10797,882
負債の部
流動負債
買掛金-----416432442392426413
1年内償還予定の社債--------7,132532532
1年内返済予定の長期借入金----------1,792
未払金3,372,1353,510,1453,637,4153,919,0413,177,1164,4453,9783,6673,2823,4863,784
未払費用670,122660,768697,776730,893680,4917541,0251,1041,1061,1391,219
未払法人税等2,049,4041,692,5371,444,669599,737903,0771,2848981,1489769541,413
前受金4,031,7283,951,1604,481,2544,445,8784,919,4235,3886,6156,3846,0057,2677,701
預り金3,207,5583,302,1863,028,9582,857,7433,572,0134,0413,9783,6203,8574,5684,939
賞与引当金482,749475,345478,702452,676473,470329424428416473480
役員賞与引当金74,44068,64760,51936,25053,325445954474559
その他2,922,6981,862,3742,371,7523,191,5122,636,2332,6062,1152,6007991,0651,113
短期借入金888,400464,180492,180680,480659,5806596496421,942792-
返品調整引当金28,71728,52229,42530,13319,26518-----
支払手形及び買掛金455,990482,302448,385423,930427,461------
流動負債合計18,183,94416,498,17017,171,03917,368,27817,521,45819,98920,17820,09325,95520,75023,450
固定負債
社債21,025,50020,357,90020,806,30019,882,50017,975,50016,06815,70913,6926,5606,0285,496
長期借入金7,495,9908,231,8108,739,6309,059,1508,399,57011,23912,59011,94820,00622,62620,834
役員退職慰労引当金480,259480,709480,709476,659476,659295295295284288288
退職給付に係る負債1,532,9441,540,7631,621,9581,647,2281,636,5721,6972,0322,1292,1772,4532,209
資産除去債務1,210,5651,454,8701,344,8531,442,0941,426,5671,5921,8742,3102,3352,7062,749
繰延税金負債--------1,9043,6935,555
その他370,154362,909290,413304,915271,9892327741,188295389353
固定負債合計32,115,41432,428,96233,283,86432,812,54730,186,85731,12533,27631,56333,56438,18437,486
負債合計50,299,35948,927,13350,454,90350,180,82547,708,31651,11553,45451,65759,52058,93460,936
純資産の部
株主資本
資本金2,138,1382,138,1382,138,1382,138,1382,138,1382,1382,1382,1382,1382,1382,138
資本剰余金2,141,1512,141,1512,141,1512,141,1512,141,1512,1412,1412,1412,1412,1412,141
利益剰余金13,320,41714,760,16516,217,48916,080,89917,856,81519,14320,63922,88422,85422,17823,529
自己株式-1,640,404-4,377,020-4,377,382-4,457,972-4,857,843-4,858-4,858-4,858-4,858-4,858-4,858
株主資本合計15,959,30414,662,43516,119,39715,902,21717,278,26218,56420,05922,30522,27521,59922,950
その他の包括利益累計額
その他有価証券評価差額金165,641674,7141,096,127922,9651,782,9551,9662,8823,8876,2059,29313,467
為替換算調整勘定101,27674,16389,51682,78534,35891174215281281379
退職給付に係る調整累計額3,3883,686-24,18536,2908,601-29-6374-2149
その他の包括利益累計額合計270,306752,5641,161,4581,042,0411,825,9152,0283,0504,1416,4919,57313,995
純資産合計16,229,61015,414,99917,280,85516,944,25919,104,17720,59223,11026,44728,76631,17236,946
負債純資産合計66,528,96964,342,13267,735,75967,125,08566,812,49471,70876,56478,10488,28690,10797,882