3.財務諸表及び主な注記
(1)貸借対照表
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(単位:千円)
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前事業年度
(2024年3月31日)
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当事業年度
(2025年3月31日)
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資産の部
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流動資産
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現金及び預金
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1,611,678
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1,295,569
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受取手形
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34,960
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16,859
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レンタル未収金
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765,457
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697,730
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売掛金
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161,406
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138,069
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貯蔵品
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10,174
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10,882
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前払費用
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23,362
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31,178
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未収入金
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30,915
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714
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未収還付法人税等
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―
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16,297
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その他
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2,139
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36,399
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貸倒引当金
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△284
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△101
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流動資産合計
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2,639,810
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2,243,600
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固定資産
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有形固定資産
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貸与資産
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賃貸用器具
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19,531,621
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19,360,907
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減価償却累計額
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△12,262,445
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△12,739,889
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賃貸用器具(純額)
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7,269,176
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6,621,017
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貸与資産合計
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7,269,176
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6,621,017
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社用資産
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建物
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458,252
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461,479
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減価償却累計額
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△162,893
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△181,926
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建物(純額)
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295,358
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279,553
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構築物
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117,992
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117,992
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減価償却累計額
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△96,337
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△98,050
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構築物(純額)
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21,654
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19,941
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機械及び装置
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231,811
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319,828
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減価償却累計額
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△118,443
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△152,947
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機械及び装置(純額)
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113,368
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166,881
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車両運搬具
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10,915
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15,665
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減価償却累計額
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△10,637
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△11,112
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車両運搬具(純額)
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277
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4,552
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工具、器具及び備品
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253,794
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244,810
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減価償却累計額
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△236,247
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△231,400
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工具、器具及び備品(純額)
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17,546
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13,410
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土地
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263,439
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263,439
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社用資産合計
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711,644
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747,777
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有形固定資産合計
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7,980,820
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7,368,795
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(単位:千円)
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前事業年度
(2024年3月31日)
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当事業年度
(2025年3月31日)
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無形固定資産
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ソフトウエア
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117,077
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62,742
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ソフトウエア仮勘定
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―
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21,227
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その他
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3,729
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3,729
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無形固定資産合計
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120,807
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87,700
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投資その他の資産
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投資有価証券
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285,000
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322,318
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長期前払費用
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456
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472
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繰延税金資産
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101,380
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56,711
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差入保証金
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76,092
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76,415
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投資その他の資産合計
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462,930
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455,917
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固定資産合計
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8,564,558
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7,912,413
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資産合計
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11,204,369
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10,156,013
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(単位:千円)
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前事業年度
(2024年3月31日)
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当事業年度
(2025年3月31日)
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負債の部
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流動負債
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買掛金
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453,257
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646,059
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短期借入金
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1,030,000
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1,030,000
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1年内返済予定の長期借入金
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663,364
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523,372
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未払金
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395,883
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303,239
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未払法人税等
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129,270
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16,161
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未払消費税等
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266,683
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―
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契約負債
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113,973
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121,103
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預り金
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1,970
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4,187
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賞与引当金
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41,566
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37,781
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流動負債合計
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3,095,968
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2,681,903
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固定負債
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長期借入金
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1,228,370
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704,998
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退職給付引当金
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22,102
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22,985
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長期未払金
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463,112
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236,654
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資産除去債務
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53,231
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50,422
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固定負債合計
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1,766,816
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1,015,060
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負債合計
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4,862,784
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3,696,964
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純資産の部
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株主資本
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資本金
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767,955
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767,955
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資本剰余金
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資本準備金
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486,455
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486,455
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資本剰余金合計
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486,455
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486,455
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利益剰余金
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利益準備金
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96,342
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96,342
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その他利益剰余金
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別途積立金
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1,499,500
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1,499,500
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繰越利益剰余金
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3,401,969
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3,529,318
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利益剰余金合計
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4,997,812
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5,125,161
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自己株式
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△18,327
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△53,769
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株主資本合計
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6,233,895
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6,325,801
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評価・換算差額等
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その他有価証券評価差額金
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107,689
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133,247
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評価・換算差額等合計
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107,689
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133,247
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純資産合計
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6,341,584
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6,459,049
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負債純資産合計
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11,204,369
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10,156,013
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NIPPON PALLET POOL CO.,LTD.
通期第2号参考様式 [日本基準](非連結)
Japan GAAP
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