ヤクルト本社JP:2267

時価総額
¥1.07兆
PER
23.7倍
乳製品、清涼飲料、健康食品の製造販売、輸送事業、海外事業、化粧品販売、プロ野球興行を手がける。
2012年
3月31日
2013年
3月31日
2014年
3月31日
2015年
3月31日
2016年
3月31日
2017年
3月31日
2018年
3月31日
2019年
3月31日
2020年
3月31日
2021年
3月31日
2022年
3月31日
2023年
3月31日
2024年
3月31日
現金及び預金-90,576110,081120,349121,846132,030151,788156,484175,638176,254202,941241,185255,257
受取手形及び売掛金-53,16957,00255,85356,28554,43756,47952,88051,83250,30752,58160,13961,218
売掛金----------52,54860,09761,200
商品及び製品-7,5227,9988,4268,1458,6419,0899,40410,23210,01810,31210,3839,963
仕掛品-2,2352,5872,7873,4012,7252,4492,1432,1652,1752,1702,5782,436
原材料及び貯蔵品-17,67718,79820,41716,50917,15916,59817,56516,37415,54018,16623,74124,689
その他-7,2679,33613,20910,6099,2609,1299,4219,81412,71214,46316,45219,330
流動資産-185,133211,276225,959221,629228,795250,341247,637265,806266,800300,398354,195372,161
貸倒引当金--323-327-254-204-229-254-262-249-209-236-285-733
流動資産-185,133211,276225,959221,629228,795250,341247,637265,806266,800300,398354,195372,161
建物-----------27,33032,668
建物及び構築物-108,597129,686151,621159,081161,843165,406165,641174,174176,573180,802197,724213,274
減価償却累計額--55,470-58,549-63,374-66,857-71,932-78,019-82,887-88,092-92,208-96,663-103,953-112,558
建物及び構築物(純額)-53,12671,13688,24792,22489,91187,38782,75386,08184,36584,13993,771100,715
構築物-----------2,0642,320
機械装置及び運搬具-109,119118,943140,258142,363145,084151,058151,994163,974165,873180,412201,814227,351
減価償却累計額--72,300-80,138-87,893-89,636-94,494-102,099-106,095-110,416-114,537-127,447-139,305-156,169
機械装置及び運搬具(純額)-36,81938,80452,36452,72750,58948,95845,89853,55751,33652,96462,50871,182
機械及び装置-----------12,65716,585
土地-38,14837,83237,67037,23341,93044,56144,41544,29344,06543,08446,05464,795
車両運搬具-----------4143
リース資産-19,28118,32818,83320,29518,84217,99317,40524,57625,59628,06130,69932,660
減価償却累計額--11,689-10,946-9,612-10,171-10,763-10,812-11,218-13,146-15,051-16,614-18,226-19,879
リース資産-7,5917,3819,22010,1248,0787,1806,18711,43010,54511,44612,47312,780
工具、器具及び備品-----------1,0661,220
建設仮勘定-11,95423,66213,2324,5333,8039,40617,4685,1549,23715,8646,1517,093
土地-38,14837,83237,67037,23341,93044,56144,41544,29344,06543,08446,05464,795
その他-19,54522,31423,47524,63224,93525,69225,89826,67427,02428,68430,50332,606
減価償却累計額--16,573-16,923-18,615-19,677-20,949-21,989-22,550-23,195-23,528-25,028-26,339-28,176
その他(純額)-2,9725,3904,8604,9543,9853,7033,3483,4793,4953,6554,1644,430
リース資産-7,5917,3819,22010,1248,0787,1806,18711,43010,54511,44612,47312,780
有形固定資産-150,612184,207205,595201,798198,299201,198200,071203,996203,045211,156225,122260,998
建設仮勘定-11,95423,66213,2324,5333,8039,40617,4685,1549,23715,8646,1517,093
有形固定資産-150,612184,207205,595201,798198,299201,198200,071203,996203,045211,156225,122260,998
ソフトウエア-4,0024,4694,0553,1532,7383,0502,4632,1212,5912,4472,2692,887
その他-2,2991,6202,4262,2282,7262,6762,3182,3282,7892,9383,3003,682
無形固定資産-6,3026,0896,4825,3815,4645,7274,7824,4505,3805,3865,5706,569
投資有価証券-87,512108,704131,558139,992143,822163,591155,306139,78080,23867,62866,00078,573
関係会社株式-----------100,317100,599
関連会社株式--------62,74765,32773,04479,67387,126
前払年金費用-----------7,1468,437
繰延税金資産-------2,5604,9074,1563,8224,0526,429
その他-7,0736,9767,0776,6577,1357,9187,6138,5027,8468,0447,9628,245
退職給付に係る資産--872533084466386755282,3943,4586,92713,266
貸倒引当金--524-526-217-133-142-129-114-101-87-84-85-83
その他-7,0736,9767,0776,6577,1357,9187,6138,5027,8468,0447,9628,245
投資損失引当金------------3,266-3,131
貸倒引当金--524-526-217-133-142-129-114-101-87-84-85-83
投資その他の資産-96,127117,997141,307148,724153,182174,823166,040153,617159,875155,913164,531193,558
固定資産-253,042308,294353,384355,904356,945381,749370,895362,064368,301372,456395,224461,125
資産-438,175519,570579,344577,534585,741631,241618,532627,871635,102672,855749,419833,286
電子記録債務-----------8,4234,275
支払手形及び買掛金-24,37124,99123,71824,65224,61829,52827,98326,21022,72926,03928,95825,338
買掛金-----------17,06719,762
短期借入金-16,32130,52536,62535,41841,07141,64334,59827,27215,3724,8223,20841,834
短期借入金-16,32130,52536,62535,41841,07141,64334,59827,27215,3724,8223,20841,834
1年内返済予定の長期借入金-40,4332,9635,6728,6715,59845,5705,5425,4675,4675,41745,8395,565
1年内返済予定の長期借入金-40,4332,9635,6728,6715,59845,5705,5425,4675,4675,41745,8395,565
リース債務-2,6872,4732,5592,5562,1452,0981,9893,5363,3723,3593,2563,436
リース債務-2,6872,4732,5592,5562,1452,0981,9893,5363,3723,3593,2563,436
未払法人税等-2,7303,2893,2012,8353,9073,4043,9844,4304,9614,32411,5396,672
未払金-----------4,0426,103
賞与引当金-4,8164,7384,9795,3745,6075,8406,0235,8796,0006,2116,7846,352
未払費用-----------14,68613,585
設備関係支払手形-5,2216,6302,0301,3931,1871,6331,7762,1393,0362,2942,4407,150
未払法人税等-2,7303,2893,2012,8353,9073,4043,9844,4304,9614,32411,5396,672
その他-23,88733,14636,83830,59630,01632,07933,55634,12732,60636,81145,61849,218
預り金-----------5,8275,773
流動負債-121,218108,922115,721111,613114,152161,800115,455109,06293,54689,281147,645145,567
賞与引当金-4,8164,7384,9795,3745,6075,8406,0235,8796,0006,2116,7846,352
その他-23,88733,14636,83830,59630,01632,07933,55634,12732,60636,81145,61849,218
流動負債-121,218108,922115,721111,613114,152161,800115,455109,06293,54689,281147,645145,567
長期借入金-1,80270,15769,22063,22357,49141,89876,34470,68365,71660,29814,55930,335
リース債務-4,3714,1215,6146,5345,3644,6143,7126,9926,2896,7487,8378,208
繰延税金負債-------21,07517,52820,69922,42524,53532,843
資産除去債務-8568879119179739669811,6761,6361,6741,6931,740
役員退職慰労引当金-348327466499501395392359368345360254
その他-3,6893,4092,8232,3003,0053,1832,8293,0752,7262,8663,0113,872
退職給付に係る負債--18,6517,4809,4717,4715,3465,4636,4084,3584,2804,2794,517
固定負債-29,858102,615101,410100,45694,70882,767110,798106,725101,79498,63956,27781,772
資産除去債務-8568879119179739669811,6761,6361,6741,6931,740
その他-3,6893,4092,8232,3003,0053,1832,8293,0752,7262,8663,0113,872
固定負債-29,858102,615101,410100,45694,70882,767110,798106,725101,79498,63956,27781,772
負債-151,077211,537217,131212,069208,860244,567226,253215,788195,341187,920203,922227,340
資本金-31,11731,11731,11731,11731,11731,11731,11731,11731,11731,11731,11731,117
資本準備金-----------40,65940,659
その他資本剰余金-----------268388
資本剰余金-41,50741,58441,53641,53441,58141,52841,74241,47540,93741,11641,57242,090
資本剰余金-41,50741,58441,53641,53441,58141,52841,74241,47540,93741,11641,57242,090
利益準備金-----------7,7797,779
固定資産圧縮積立金-----------1,3121,302
別途積立金-----------140,500162,500
繰越利益剰余金-----------47,89655,423
その他利益剰余金-----------189,708219,226
利益剰余金-223,040241,617268,076290,723314,101318,580347,740379,948411,359446,331484,243519,641
利益剰余金-223,040241,617268,076290,723314,101318,580347,740379,948411,359446,331484,243519,641
自己株式--7,658-40,549-40,731-41,213-40,446-52,322-54,833-54,933-52,725-64,395-81,927-111,235
株主資本-288,006273,769299,999322,162346,354338,903365,767397,607430,688454,169475,006481,613
その他有価証券評価差額金-6,47111,14120,75024,48526,11735,21530,46519,95024,77318,32720,41730,920
評価・換算差額等--26,1631,06025,0149,634-2,85113,274-8,495-24,228-25,737-8,10123,65267,671
為替換算調整勘定--32,634-8,1675,096-11,217-26,598-20,721-36,304-40,150-48,482-24,0863,99134,198
退職給付に係る調整累計額---1,913-832-3,633-2,370-1,218-2,655-4,028-2,028-2,342-7562,552
評価・換算差額等--26,1631,06025,0149,634-2,85113,274-8,495-24,228-25,737-8,10123,65267,671
純資産252,242287,098308,033362,212365,464376,880386,674392,279412,082439,761484,935545,496605,946
非支配株主持分---37,19933,66733,37834,49535,00738,70234,81038,86746,83756,661
純資産252,242287,098308,033362,212365,464376,880386,674392,279412,082439,761484,935545,496605,946
負債純資産-438,175519,570579,344577,534585,741631,241618,532627,871635,102672,855749,419833,286