FACT BOOK
2024年4月1日 ~ 2025年3月31日
株式会社ニトリホールディングス Nitori Holdings Co., Ltd. 目次
01. 連結累計損益実績 Consolidated Statements of Income | 2 | ||
02. 連結四半期損益実績 Consolidated Statements of Quarterly Income | 2 | ||
03. 連結貸借対照表 Consolidated Balance Sheets | 3 | ||
04. 連結キャッシュ・フロー計算書 Consolidated Statements of Cash Flows | 4 | ||
05. 販売 | 5 | ||
06. 連結設備投資額 Consolidated Capital Expenditure | 5 | ||
07. 平均決済レート Average Exchange Rate | 5 | ||
08. 連結主要財務指標 Consolidated Financial Highlights | 5 | ||
09. 株式指標 Stock Information | 5 | ||
10. 店舗数・売場面積 Number of Stores & Sales Floor Space | 6 |
【注意事項 DISCLAIMER】 |
・本資料には、監査を受けていない参考数値が含まれます。 |
(This material contains both audited and non-audited information.) |
・本資料の金額は、百万円未満切捨て、その他単位未満四捨五入で表示しております。 |
(Amounts less than one million yen are rounded down and other figures are rounded off less than a unit.) |
1
01. 連結累計損益実績 Consolidated Statements of Income (Cumulative) | ||
売上高 | Net sales | |
売上原価 | Cost of sales | |
売上総利益 | Gross profit | |
販売 | Selling, general and administrative expenses | |
営業利益 | Operating profit | |
営業外収益 | Non-operating income | |
営業外 | Non-operating expenses | |
経常利益 | Ordinary profit | |
特別利益 | Extraordinary income | |
特別損失 | Extraordinary losses | |
税金等調整前四半期純利益 | Profit before income taxes | |
法人税等 | Income taxes | |
親会社株主に帰属する四半期純利益 | Profit attributable to owners of parent | |
包括利益 | Comprehensive income | |
2022年度 | ||
2022.2.21-2023.3.31 | ||
百万円 M of Yen | 構成比 Share | 前期比 YOY |
948,094 | - | 116.8% |
469,988 | 49.6% | 121.9% |
478,106 | 50.4% | 112.3% |
338,029 | 35.7% | 117.5% |
140,076 | 14.8% | 101.3% |
4,760 | 0.5% | 107.8% |
751 | 0.1% | 89.4% |
144,085 | 15.2% | 101.6% |
17 | 0.0% | 2.1% |
5,189 | 0.5% | 597.4% |
138,913 | 14.7% | 98.0% |
43,783 | 4.6% | 97.2% |
95,129 | 10.0% | 98.4% |
99,881 | - | 95.1% |
2023年度 | ||
2023.4.1-2024.3.31 | ||
百万円 M of Yen | 構成比 Share | 前期比 YOY |
895,799 | - | 94.5% |
439,850 | 49.1% | 93.6% |
455,949 | 50.9% | 95.4% |
328,223 | 36.6% | 97.1% |
127,725 | 14.3% | 91.2% |
5,349 | 0.6% | 112.4% |
697 | 0.1% | 92.9% |
132,377 | 14.8% | 91.9% |
1,784 | 0.2% | 10,482.9% |
10,257 | 1.1% | 197.7% |
123,904 | 13.8% | 89.2% |
37,381 | 4.2% | 85.4% |
86,523 | 9.7% | 91.0% |
94,931 | 95.0% | |
2024年度 | ||
2024.4.1-2025.3.31 | ||
百万円 M of Yen | 構成比 Share | 前期比 YOY |
928,950 | - | 103.7% |
455,378 | 49.0% | 103.5% |
473,572 | 51.0% | 103.9% |
353,199 | 38.0% | 107.6% |
120,372 | 13.0% | 94.2% |
7,358 | 0.8% | 137.6% |
1,512 | 0.2% | 216.9% |
126,218 | 13.6% | 95.3% |
35 | 0.0% | 2.0% |
12,051 | 1.3% | 117.5% |
114,201 | 12.3% | 92.2% |
37,315 | 4.0% | 99.8% |
76,891 | 8.3% | 88.9% |
85,778 | 90.4% | |
2024年度 業績予想 | |
FY2024 Plan | |
百万円 M of Yen | 前期比 YOY |
960,000 | 107.2% |
451,200 | 102.6% |
508,800 | 111.6% |
379,100 | 115.5% |
129,600 | 101.5% |
- | - |
- | - |
134,000 | 101.2% |
- | - |
- | - |
133,000 | 107.3% |
- | - |
92,000 | 106.3% |
- | - |
02. 連結四半期損益実績 Consolidated Statements of Quarterly Income | ||
売上高 | Net sales | |
売上原価 | Cost of sales | |
売上総利益 | Gross profit | |
販売 | Selling, general and administrative expenses | |
営業利益 | Operating profit | |
営業外収益 | Non-operating income | |
営業外 | Non-operating expenses | |
経常利益 | Ordinary profit | |
特別利益 | Extraordinary income | |
特別損失 | Extraordinary losses | |
税金等調整前四半期純利益 | Profit before income taxes | |
法人税等 | Income taxes | |
親会社株主に帰属する四半期純利益 | Profit attributable to owners of parent | |
2024年度 1Q | ||
2024.4.1-2024.6.30 | ||
百万円 M of Yen | 構成比 Share | 前期比 YOY |
232,819 | - | 106.6% |
113,529 | 48.8% | 105.7% |
119,290 | 51.2% | 107.4% |
84,801 | 36.4% | 108.6% |
34,488 | 14.8% | 104.6% |
1,826 | 0.8% | 151.7% |
270 | 0.1% | 41.1% |
36,044 | 15.5% | 107.5% |
15 | 0.0% | 3,668.7% |
1,028 | 0.4% | 303.1% |
35,032 | 15.0% | 105.6% |
10,818 | 4.6% | 105.4% |
24,213 | 10.4% | 105.7% |
2024年度 2Q | ||
2024.7.1-2024.9.30 | ||
百万円 M of Yen | 構成比 Share | 前期比 YOY |
212,948 | - | 107.4% |
103,887 | 48.8% | 106.4% |
109,061 | 51.2% | 108.3% |
85,576 | 40.2% | 109.1% |
23,485 | 11.0% | 105.8% |
1,361 | 0.6% | 121.8% |
263 | 0.1% | - |
24,584 | 11.5% | 105.0% |
3 | 0.0% | 11.8% |
434 | 0.2% | 2,392.5% |
24,153 | 11.3% | 103.2% |
7,910 | 3.7% | 95.5% |
16,243 | 7.6% | 107.4% |
2024年度 3Q | ||
2024.10.1-2024.12.31 | ||
百万円 M of Yen | 構成比 Share | 前期比 YOY |
259,177 | - | 105.0% |
127,995 | 49.4% | 107.4% |
131,181 | 50.6% | 102.7% |
90,241 | 34.8% | 106.2% |
40,940 | 15.8% | 95.9% |
1,948 | 0.8% | 126.2% |
267 | 0.1% | - |
42,620 | 16.4% | 96.1% |
0 | 0.0% | 14.4% |
212 | 0.1% | 126.5% |
42,408 | 16.4% | 96.0% |
12,846 | 5.0% | 93.9% |
29,566 | 11.4% | 97.0% |
2024年度 4Q | ||
2025.1.1-2025.3.31 | ||
百万円 M of Yen | 構成比 Share | 前期比 YOY |
224,004 | - | 96.5% |
109,965 | 49.1% | 95.2% |
114,039 | 50.9% | 97.9% |
92,580 | 41.3% | 106.8% |
21,458 | 9.6% | 71.9% |
2,221 | 1.0% | 149.8% |
711 | 0.3% | 302.6% |
22,968 | 10.3% | 73.8% |
15 | 0.0% | 0.9% |
10,376 | 4.6% | 106.6% |
12,607 | 5.6% | 54.5% |
5,740 | 2.6% | 111.6% |
6,867 | 3.1% | 38.2% |
2
03. 連結貸借対照表 Consolidated Balance Sheets | |
現金及び預金 | Cash and deposits |
受取手形及び売掛金 | Notes and accounts receivable - trade |
商品及び製品 | Merchandise and finished goods |
その他 | Other |
流動資産合計 | Total current assets |
建物及び構築物(純額) | Buildings and structures, net |
土地 | Land |
その他 | Other |
有形固定資産合計 | Total property, plant and equipment |
のれん | Goodwill |
その他 | Other |
無形固定資産合計 | Total intangible assets |
差入保証金 | Guarantee deposits |
敷金 | Leasehold deposits |
繰延税金資産 | Deferred tax assets |
その他 | Other |
投資その他の資産合計 | Total investments and other assets |
固定資産合計 | Total non-current assets |
資産合計 | Total assets |
支払手形及び買掛金 | Notes and accounts payable - trade |
短期借入金 | Short-term borrowings |
未払法人税等 | Income taxes payable |
未払金 | Accounts payable - other |
契約負債 | Contract liabilities |
賞与引当金 | Provision for bonuses |
ポイント引当金 | Provision for point card certificates |
その他 | Other |
流動負債合計 | Total current liabilities |
長期借入金 | Long-term borrowings |
リース債務 | Lease obligations |
退職給付に係る負債 | Retirement benefit liability |
資産除去債務 | Asset retirement obligations |
その他 | Other |
固定負債合計 | Total non-current liabilities |
負債合計 | Total liabilities |
資本金 | Share capital |
資本剰余金 | Capital surplus |
利益剰余金 | Retained earnings |
自己株式 | Treasury shares |
その他の包括利益累計額 | Total accumulated other comprehensive income |
非支配株主持分 | Non-controlling interests |
純資産合計 | Total net assets |
負債純資産合計 | Total liabilities and net assets |
2022年度 期末 |
2023.3.31 |
百万円 M of Yen |
131,928 |
57,408 |
112,401 |
28,615 |
330,353 |
203,356 |
377,009 |
69,113 |
649,479 |
19,619 |
13,386 |
33,005 |
16,893 |
30,313 |
21,765 |
51,959 |
120,932 |
803,417 |
1,133,771 |
38,459 |
83,068 |
28,351 |
24,058 |
23,774 |
8,380 |
11 |
15,665 |
221,769 |
57,330 |
4,598 |
5,886 |
14,800 |
11,289 |
93,905 |
315,674 |
13,370 |
30,711 |
771,743 |
△ 10,111 |
12,382 |
- |
818,096 |
1,133,771 |
2023年度 期末 |
2024.3.31 |
百万円 M of Yen |
137,943 |
79,247 |
101,206 |
29,339 |
347,736 |
255,847 |
403,228 |
77,821 |
736,897 |
17,060 |
14,101 |
31,162 |
16,646 |
30,982 |
21,513 |
53,740 |
122,882 |
890,942 |
1,238,679 |
48,294 |
107,557 |
20,366 |
45,933 |
29,091 |
6,604 |
11 |
18,478 |
276,336 |
30,000 |
4,519 |
5,558 |
14,748 |
11,207 |
66,033 |
342,370 |
13,370 |
30,715 |
841,541 |
△ 10,113 |
20,790 |
4 |
896,308 |
1,238,679 |
2024年度 期末 | |
2025.3.31 | |
百万円 M of Yen | 増減 Change |
161,923 | 23,979 |
71,871 | △ 7,375 |
110,054 | 8,848 |
26,985 | △ 2,353 |
370,834 | 23,097 |
279,987 | 24,140 |
466,231 | 63,002 |
76,524 | △ 1,297 |
822,743 | 85,846 |
14,501 | △ 2,559 |
15,575 | 1,474 |
30,077 | △ 1,085 |
14,921 | △ 1,725 |
31,404 | 422 |
23,405 | 1,891 |
57,244 | 3,504 |
126,976 | 4,093 |
979,796 | 88,854 |
1,350,631 | 111,952 |
40,051 | △ 8,243 |
173,138 | 65,581 |
21,964 | 1,598 |
27,750 | △ 18,183 |
30,538 | 1,447 |
6,534 | △ 69 |
11 | 0 |
19,787 | 1,309 |
319,775 | 43,439 |
20,000 | △ 10,000 |
7,074 | 2,555 |
5,104 | △ 454 |
22,467 | 7,719 |
10,856 | △ 350 |
65,502 | △ 531 |
385,278 | 42,908 |
13,370 | - |
30,715 | △0 |
901,706 | 60,165 |
△ 10,118 | △ 5 |
29,678 | 8,888 |
- | △ 4 |
965,352 | 69,043 |
1,350,631 | 111,952 |
3
2022年度 | 2023年度 | 2024年度 | ||
2022.2.21-2023.3.31 | 2023.4.1-2024.3.31 | 2024.4.1-2025.3.31 | ||
百万円 増減 M of Yen Change | 百万円 増減 M of Yen Change | 百万円 増減 M of Yen Change |
Consolidated Statements of Cash Flows
税金等調整前四半期純利益 | Income before income taxes | 138,913 | △ 2,866 | 123,904 | △ 15,008 | 114,201 | △ 9,703 | ||||
減価償却 | Depreciation and amortization | 26,186 | 2,401 | 27,111 | 924 | 31,186 | 4,075 | ||||
減損損失 | Loss on impairment of long-lived assets | 4,769 | 4,189 | 10,230 | 5,461 | 11,019 | 789 | ||||
売上債権の増減額(△は増加) | Decrease (increase) in trade receivables | △ 39,324 | △ 41,618 | △ 24,050 | 15,273 | 12,047 | 36,098 | ||||
たな卸資産の増減額 (△は増加) | Decrease (increase) in inventories | △ 33,301 | △ 29,243 | 12,592 | 45,894 | △ 8,335 | △ 20,927 | ||||
仕入債務の増減額(△は減少) | Increase (decrease) in trade payables | △ 414 | 8,771 | 9,184 | 9,599 | △ 10,422 | △ 19,606 | ||||
契約負債の増減額(△は減少) | Increase (decrease) in contract liability | 23,799 | 23,799 | 5,246 | △ 18,553 | 1,303 | △ 3,942 | ||||
法人税等の支払額 | Income taxes paid | △ 40,043 | 21,519 | △ 47,946 | △ 7,903 | △ 38,742 | 9,203 | ||||
その他 | Other, net | 10,813 | 18,879 | 27,320 | 16,507 | △ 188 | △ 27,509 | ||||
営業活動によるキャッシュ・フロー | Net cash provided by operating activities | 91,398 | 5,832 | 143,593 | 52,195 | 112,069 | △ 31,523 | ||||
定期預金の預入による支出 | Payments into time deposits | △ 5,789 | △ 5,732 | △ 20,793 | △ 15,004 | △ 56,180 | △ 35,386 | ||||
定期預金の払戻による収入 | Proceeds from withdrawal of time deposits | 2,502 | △ 27,682 | 7,193 | 4,690 | 53,561 | 46,368 | ||||
有形固定資産の取得による支出 | Purchase of property, plant and equipment | △ 113,933 | △ 12,413 | △ 118,664 | △ 4,731 | △ 123,596 | △ 4,931 | ||||
無形固定資産の取得による支出 | Purchase of intangible assets | △ 2,471 | △ 828 | △ 3,297 | △ 825 | △ 3,892 | △ 595 | ||||
敷金・差入保証金の差入による支出 | Payments for guarantee and lease deposits | △ 3,227 | △ 1,287 | △ 1,897 | 1,330 | △ 2,227 | △ 330 | ||||
敷金・差入保証金の回収による収入 | Proceeds from collection of guarantee and lease deposits | 2,318 | 97 | 2,414 | 95 | 2,680 | 266 | ||||
子会社株式の取得による支出 | Purchase of shares of subsidiaries | - | 48,942 | - | - | - | - | ||||
その他 | Other, net | △ 11,938 | △ 13,652 | 3,221 | 15,159 | △ 259 | △ 3,480 | ||||
投資活動によるキャッシュ·フロー | Net cash used in investing activities | △ 132,538 | △ 12,557 | △ 131,824 | 714 | △ 129,913 | 1,910 | ||||
短期借入金の純増減額(△は減少) | Net increase (decrease) in short-term loans payable | 40,000 | 86,715 | 40,222 | 222 | 82,665 | 42,443 | ||||
長期借入れによる収入 | Proceeds from long-term loans payable | 50,000 | △ 50,000 | - | △ 50,000 | - | - | ||||
長期借入金の返済による支出 | Repayments of long-term debt | △ 35,068 | △ 16,534 | △ 43,068 | △ 8,000 | △ 27,330 | 15,738 | ||||
自己株式の取得による支出 | Purchase of treasury stock | △ 2 | 6 | △ 2 | △0 | △ 5 | △ 3 | ||||
配当金の支払額 | Dividends paid | △ 16,064 | △ 704 | △ 16,713 | △ 649 | △ 16,715 | △ 1 | ||||
その他 | Other, net | △ 1,961 | △ 309 | △ 1,044 | 917 | △ 2,528 | △ 1,484 | ||||
財務活動によるキャッシュ・フロー | Net cash provided by (used in) financing activities | 36,903 | 19,174 | △ 20,606 | △ 57,509 | 36,085 | 56,692 | ||||
現金及び現金同等物に係る換算差額 | Effect of exchange rate change on cash and cash equivalents | 2,276 | △ 660 | 1,035 | △ 1,241 | 1,896 | 861 | ||||
現金及び現金同等物の増減額(△は減少) | Net increase (decrease) in cash and cash equivalents | △ 1,960 | 11,788 | △ 7,801 | △ 5,841 | 20,138 | 27,940 | ||||
現金及び現金同等物の期首残高 | Cash and cash equivalents, beginning of year | 127,076 | 1,588 | 125,115 | △ 1,960 | 117,313 | △ 7,801 | ||||
連結子会社の決算期変更に伴う 現金及び現金同等物の増減額(△は減少) | Increase/decrease in cash and cash equivalents due to changes in the accounting period of consolidated subsidiaries | - | △ 15,337 | - | - | - | - | ||||
現金及び現金同等物の四半期末残高 | Cash and cash equivalents, end of the quarter | 125,115 | △ 1,960 | 117,313 | △ 7,801 | 137,452 | 20,138 |
05. 販売費及び一般管理費の主な明細 Selling, General and Administrative Expenses | |
発送配達 | Customer delivery expenses |
広告宣伝 | Advertising |
人件 | Personnel expenses |
賃借料 | Rents |
減価償却 | Depreciation and amortization |
業務委託 | Outsourcing |
その他 | Other |
合計 | Total |
2022年度 | ||
2022.2.21-2023.3.31 | ||
百万円 M of Yen | 構成比 Share | 前期比 YOY |
37,935 | 4.0% | 151.3% |
20,328 | 2.1% | 122.8% |
102,138 | 10.8% | 112.3% |
51,707 | 5.5% | 111.3% |
22,272 | 2.3% | 109.1% |
19,814 | 2.1% | 109.3% |
83,833 | 8.8% | 119.6% |
338,029 | 35.7% | 117.5% |
2023年度 | ||
2023.4.1-2024.3.31 | ||
百万円 M of Yen | 構成比 Share | 前期比 YOY |
31,873 | 3.6% | 84.0% |
21,381 | 2.4% | 105.2% |
99,334 | 11.1% | 97.3% |
48,779 | 5.4% | 94.3% |
22,078 | 2.5% | 99.1% |
18,613 | 2.1% | 93.9% |
86,163 | 9.6% | 102.8% |
328,223 | 36.6% | 97.1% |
2024年度 | ||
2024.4.1-2025.3.31 | ||
百万円 M of Yen | 構成比 Share | 前期比 YOY |
34,251 | 3.7% | 107.5% |
21,091 | 2.3% | 98.6% |
110,468 | 11.9% | 111.2% |
49,314 | 5.3% | 101.1% |
26,936 | 2.9% | 122.0% |
19,193 | 2.1% | 103.1% |
91,943 | 9.9% | 106.7% |
353,199 | 38.0% | 107.6% |
増減 | |
Change | |
百万円 M of Yen | 構成比 Share |
2,378 | 0.1pt |
△ 289 | △0.1pt |
11,134 | 0.8pt |
535 | △0.1pt |
4,857 | 0.4pt |
579 | △0.0pt |
5,780 | 0.3pt |
24,975 | 1.4pt |
06. 連結設備投資額 Consolidated Capital Expenditure | |
百万円 | Millon of Yen |
前期増減 | Change |
2022年度 |
2022.2.21- 2023.3.31 |
117,328 |
15,873 |
2023年度 |
2023.4.1- 2024.3.31 |
132,146 |
14,818 |
2024年度 |
2024.4.1- 2025.3.31 |
126,092 |
△ 6,054 |
07. 平均決済レート Average Exchange Rate | |
円/$ | Yen per dollar |
前期差 | Change |
2022年度 |
2022.2.21- 2023.3.31 |
132.23 |
21.07 |
2023年度 |
2023.4.1- 2024.3.31 |
146.60 |
14.37 |
2024年度 |
2024.4.1- 2025.3.31 |
152.54 |
5.94 |
08. 連結主要財務指標 Consolidated Financial Highlights | 2022年度 | 2023年度 | |||
2022.2.21- 2023.3.31 | 2023.4.1- 2024.3.31 | ||||
自己資本当期純利益率 | ROE | 12.3 % | 10.1 % | ||
総資本経常利益率 | ROA | 13.6 % | 11.2 % | ||
自己資本比率 | Shareholder's equity ratio | 72.2 % | 72.4 % | ||
1株当たり純資産*1 | Net assets per share*1 | 7,239 円/Yen | 7,931 円/Yen | ||
1株当たり当期純利益*2 | Net income per share*2 | 842 円/Yen | 766 円/Yen | ||
1株当たり配当金 | Cash dividends per share | 146 円/Yen | 147 円/Yen | ||
*1 自己株式を除く発行済株式数により算出 Calculated based on the number of issued shares (After deduction of the number of treasury stock) | |||||
*2 自己株式を除く期中平均株式数により算出 Calculated based on the number of average shares (After deduction of the number of treasury stock) | |||||
2024年度 |
2024.4.1- 2025.3.31 |
8.3 % |
9.7 % |
71.5 % |
8,542 円/Yen |
680 円/Yen |
152 円/Yen |
09. 株式指標 Stock Information | |
期末日株価 (終値) | Stock price |
期末時価総額 | Total market value |
2022年度 |
2023.3.31 |
15,930 円/Yen |
1,823 十億円/B of Yen |
2023年度 |
2024.3.31 |
23,600 円/Yen |
2,700 十億円/B of Yen |
2024年度 |
2025.3.31 |
14,830 円/Yen |
1,697 十億円/B of Yen |
10. 店舗数・売場面積 Number of Stores & Sales Floor Space | |
店舗数 | Number of stores |
国内 - ニトリ | Japan - Nitori |
国内 - デコホーム | Japan - Deco Home |
国内 - Nプラス | Japan - N Plus |
国内 - 島忠 | Japan - Shimachu |
国内計 | Japan Total |
海外 - 台湾 | Taiwan |
海外 - 中国大陸 | Mainland China |
海外 - 米国 | USA |
海外 - マレーシア | Malaysia |
海外 - シンガポール | Singapore |
海外 - タイ | Thailand |
海外 - 香港 | Hong Kong |
海外 - 韓国 | South Korea |
海外 - ベトナム | Vietnam |
海外 - フィリピン | Phillipines |
海外 - インドネシア | Indonesia |
海外 - インド | India |
海外計 | Overseas Total |
合計 | Total |
2022年度 | ||
2022.2.21-2023.3.31 | ||
出店 Open | 退店 Close | 期末 End of year |
店舗数 Number | ||
43 | 14 | 523 |
33 | 6 | 167 |
13 | 1 | 30 |
- | 3 | 53 |
89 | 24 | 773 |
10 | 1 | 53 |
21 | - | 67 |
- | 1 | 1 |
6 | - | 7 |
1 | - | 1 |
- | - | - |
- | - | - |
- | - | - |
- | - | - |
- | - | - |
- | - | - |
- | - | - |
38 | 2 | 129 |
127 | 26 | 902 |
2023年度 | ||
2023.4.1-2024.3.31 | ||
出店 Open | 退店 Close | 期末 End of year |
店舗数 Number | ||
41 | 8 | 556 |
17 | 10 | 174 |
15 | 7 | 38 |
1 | - | 54 |
74 | 25 | 822 |
10 | 2 | 61 |
30 | 2 | 95 |
- | 1 | - |
4 | - | 11 |
1 | - | 2 |
5 | - | 5 |
1 | - | 1 |
3 | - | 3 |
1 | - | 1 |
- | - | - |
- | - | - |
- | - | - |
55 | 5 | 179 |
129 | 30 | 1,001 |
2024年度 | ||
2024.4.1-2025.3.31 | ||
出店 Open | 退店 Close | 期末 End of year |
店舗数 Number | ||
24 | 14 | 566 |
15 | 17 | 172 |
10 | 4 | 44 |
- | 1 | 53 |
49 | 36 | 835 |
8 | 1 | 68 |
23 | 18 | 100 |
- | - | - |
1 | - | 12 |
2 | - | 4 |
5 | - | 10 |
2 | - | 3 |
3 | 1 | 5 |
2 | - | 3 |
4 | - | 4 |
3 | - | 3 |
1 | - | 1 |
54 | 20 | 213 |
103 | 56 | 1,048 |
売場面積 | Sales floor space |
国内 - ニトリ | Japan - Nitori |
国内 - デコホーム | Japan - Deco Home |
国内 - Nプラス | Japan - N Plus |
国内 - 島忠 | Japan - Shimachu |
海外 | Overseas |
合計 | Total |
期末 End of year | |
店舗数 Number | 面積 Space [㎡] |
523 | 2,140,628 |
167 | 103,770 |
30 | 5,211 |
53 | 515,781 |
129 | 196,001 |
902 | 2,961,391 |
期末 End of year | |
店舗数 Number | 面積 Space [㎡] |
556 | 2,246,826 |
174 | 107,121 |
38 | 6,041 |
54 | 518,909 |
179 | 270,009 |
1,001 | 3,148,905 |
期末 End of year | |
店舗数 Number | 面積 Space [㎡] |
566 | 2,275,582 |
172 | 103,342 |
44 | 6,595 |
53 | 499,851 |
213 | 314,545 |
1,048 | 3,199,915 |
(売場面積別) | Sales floor space |
6,001㎡~ | |
4,501㎡~6,000㎡ | |
3,001㎡~4,500㎡ | |
1,501㎡~3,000㎡ | |
~1,500㎡ | |
合計 | Total |
136 |
158 |
142 |
171 |
295 |
902 |
138 |
159 |
155 |
205 |
344 |
1,001 |
137 |
160 |
160 |
214 |
377 |
1,048 |
