サンドラッグ

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52,49645,95760,48770,23980,69986,49589,33080,87269,69864,95670,523
売掛金6,8277,5379,6469,67614,81018,41419,10822,22426,74029,99432,330
商品60,46763,37265,34267,41268,84372,36372,41582,70090,97098,413110,065
貯蔵品-------327322261257
未収入金11,38511,56112,18811,91413,07813,09514,35215,28415,90018,39019,166
その他2,7653,0173,1733,3493,6943,7534,2094,5034,6104,7625,721
貸倒引当金-10-10-12-11-20-3-4-5---
原材料及び貯蔵品5042392880143126----
繰延税金資産2,5092,2472,443--------
流動資産合計136,493133,724153,310162,609181,187194,262199,537205,907208,243216,777238,064
固定資産
有形固定資産
建物及び構築物53,30958,83463,90269,63273,32883,80194,904117,370136,203154,450169,687
減価償却累計額-22,810-25,175-27,811-30,743-33,690-37,018-39,947-46,028-51,182-57,344-64,020
建物及び構築物(純額)30,49933,65936,09138,88839,63746,78254,95771,34185,02097,106105,666
工具、器具及び備品--------70,01481,53090,550
減価償却累計額---------46,322-53,752-61,739
工具、器具及び備品(純額)--------23,69127,77828,811
土地7,8557,8267,9017,9018,0998,0747,6397,7578,5148,6168,470
その他28,32031,12935,27837,44140,09145,00551,30462,2354,1034,2046,804
減価償却累計額-19,075-21,092-23,663-26,834-29,635-32,693-36,046-41,085-793-999-1,265
その他(純額)9,24410,03711,61510,60710,45612,31215,25721,1493,3093,2055,539
有形固定資産合計47,59851,52355,60757,39658,19367,16977,855100,248120,536136,706148,487
無形固定資産
のれん39030721195301621,6711,5561,4401,325
その他4,4614,3974,5294,5455,0995,2875,9517,4337,5877,2286,775
無形固定資産合計4,8524,7054,7404,6415,1305,3045,9549,1049,1438,6698,101
投資その他の資産
投資有価証券59674676874836930029633435,80834,01332,762
長期貸付金6,2967,0437,3897,4107,0197,1727,7047,0606,8156,8546,473
関係会社長期貸付金-------945830510480
繰延税金資産----5,9156,3756,4357,1828,1559,0169,159
再評価に係る繰延税金資産-----992856796796820783
敷金及び保証金17,38118,45020,63021,84223,48324,73025,20726,82527,82828,41128,879
その他2,2272,9492,3802,5892,9822,2251,9262,3422,1492,2312,314
貸倒引当金-4-6-206-6-5-5-4-75-98-40
繰延税金資産1,5901,8011,9984,962-------
投資その他の資産合計28,08730,98532,96137,54739,76541,79142,42045,41182,28481,85380,851
固定資産合計80,53987,21393,30999,585103,089114,265126,230154,764211,964227,229237,440
資産合計217,032220,938246,619262,195284,276308,528325,768360,672420,208444,007475,505
負債の部
流動負債
買掛金54,74856,37559,09559,12964,69465,29767,02974,00677,37179,73182,707
短期借入金--------35,0001,0001,000
1年内返済予定の長期借入金---------3,8005,139
未払法人税等7,5615,8477,2936,1476,6777,5665,1998,2497,5478,1808,504
契約負債------4,3015,0245,9826,9937,812
その他12,57713,09515,70815,66615,45718,33819,51425,96829,56528,80128,872
ポイント引当金2,8533,0383,2973,5713,5883,914-----
流動負債合計77,74078,35785,39584,51490,41795,11696,045113,249155,466128,507134,035
固定負債
長期借入金---------33,86642,076
役員退職慰労引当金-------303315281284
退職給付に係る負債8149641,0231,1471,3571,4811,6961,9932,1582,1022,220
資産除去債務2,6572,9073,1613,4073,5804,8095,3006,1566,6447,0298,454
その他2,5152,3542,1912,0502,0791,9632,1332,6412,5332,5052,433
再評価に係る繰延税金負債1919191919------
固定負債合計6,0066,2456,3956,6247,0368,2549,13011,09511,65145,78555,468
負債合計83,74784,60291,79091,13997,454103,371105,175124,344167,118174,293189,504
純資産の部
株主資本
資本金3,9313,9313,9313,9313,9313,9313,9313,9313,9313,9313,931
資本剰余金7,4097,4097,4097,4097,4147,4147,4307,4307,4967,5337,577
利益剰余金138,770156,732175,191166,883182,744200,007215,145230,658247,272263,754279,859
自己株式-13,602-28,542-28,545-3,988-3,977-3,977-3,939-3,940-3,894-3,868-3,843
株主資本合計136,508139,530157,986174,236190,112207,376222,567238,080254,806271,350287,524
その他の包括利益累計額
その他有価証券評価差額金60889883315956821391724
繰延ヘッジ損益----------0
土地再評価差額金-3,260-3,260-3,260-3,260-3,260-2,248-1,940-1,805-1,805-1,782-1,702
退職給付に係る調整累計額-80-96-84-76-127-106-120-58-50128154
その他の包括利益累計額合計-3,280-3,268-3,246-3,253-3,356-2,295-2,003-1,781-1,716-1,636-1,523
新株予約権5773887365752829---
純資産合計133,284136,335154,828171,055186,822205,156220,592236,328253,090269,713286,001
負債純資産合計217,032220,938246,619262,195284,276308,528325,768360,672420,208444,007475,505