大林組

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
現金預金164,829194,585190,055168,698315,027258,549265,042419,405339,188394,728430,885
受取手形・完成工事未収入金等715,023720,361760,371859,096773,694744,473902,244832,9391,036,5141,139,6241,083,224
電子記録債権8,86621,07515,53111,89512,68021,32712,16221,18940,71715,17215,112
有価証券2,6062,5194,6156,9807,1034,4015,9887,2858,43011,4109,791
販売用不動産17,15116,73911,68212,20911,93712,16019,43615,87415,23631,30124,103
未成工事支出金37,75839,88145,55535,36938,14169,19843,82335,42840,12138,39949,758
不動産事業支出金24,44824,20025,41622,16315,17122,82628,30030,40535,53038,00638,274
PFI等棚卸資産45,51442,40646,14844,10853,50038,09510,1276,6104,8473,1411,545
その他の棚卸資産6,2667,87210,6559,7348,7448,2069,18212,12015,78816,01312,568
未収入金71,05978,00979,42392,55475,12564,50178,43398,866127,32396,95489,594
その他17,80016,69418,69520,20422,74925,81220,93825,57232,70932,13230,555
貸倒引当金-157-142-160-150-118-147-162-147-7,270-7,425-6,871
繰延税金資産17,59917,44320,381--------
流動資産合計1,128,7681,181,6451,228,3721,282,8661,333,7571,269,4051,395,5171,505,5511,689,1371,809,4601,778,543
固定資産
有形固定資産
建物・構築物(純額)92,26592,587103,153125,103120,866117,083121,482142,968191,208207,945230,151
機械、運搬具及び工具器具備品(純額)30,98529,55445,70755,74655,27450,84668,71679,25280,15581,66483,082
土地305,588308,241351,060355,925367,701385,157378,270408,031413,163424,354453,952
リース資産(純額)2252282592892361,0814934,8235,1756,0017,223
建設仮勘定12,53928,98626,0907,49328,11255,08754,34357,47046,21217,61118,557
有形固定資産合計441,604459,597526,270544,558572,190609,256623,306692,545735,914737,577792,967
無形固定資産6,4046,5585,0384,9976,3676,4378,64817,93236,46537,11663,111
投資その他の資産
投資有価証券342,021346,245372,308360,627290,719340,079337,976306,570422,583311,557339,322
長期貸付金2,1702,0248761,7672,1091,7692,0961,3122,6372,8123,070
繰延税金資産----1,8462,1262,1295,1373,2563,0312,152
退職給付に係る資産68682413--352,9007,4828,71813,688
その他29,10718,11815,54218,13023,49643,73052,54978,148119,721132,675150,811
貸倒引当金-266-249-231-210-191-177-175-170-152-171-217
繰延税金資産2,0291,9876591,761-------
投資その他の資産合計375,130368,194389,179382,090317,981387,528394,612393,899555,529458,624508,827
固定資産合計823,139834,350920,488931,646896,5391,003,2221,026,5671,104,3771,327,9101,233,3181,364,906
繰延資産0----------
資産合計1,951,9072,015,9962,148,8612,214,5122,230,2972,272,6282,422,0852,609,9293,017,0473,042,7783,143,449
負債の部
流動負債
支払手形・工事未払金等486,533485,408524,712551,181536,863466,213500,757526,734676,252678,719594,367
電子記録債務122,697150,289133,770119,956118,976106,456128,960145,520144,61595,23287,635
短期借入金150,46589,49888,68658,71354,82354,63462,78567,17068,14297,53275,203
1年内返済予定のノンリコース借入金6,8586,8329,55710,0797,6317,44514,1228,6118,2529,4968,510
1年内償還予定の社債10,00025,00010,00010,000---20,00010,000-66
リース債務7885901038397402941,4252,1052,7092,950
未払法人税等17,85630,53329,69524,79027,20913,4159,98222,37510,39849,08541,810
未成工事受入金122,802106,541110,534116,424109,216127,845137,174132,979191,909193,434299,979
預り金76,454102,707103,408108,952121,611121,289143,850158,487202,026177,156195,692
完成工事補償引当金2,4913,0484,1144,3654,3132,9753,1383,0043,1553,3332,977
工事損失引当金12,8087,7515,2091,96812,69413,55153,14643,20533,14916,7268,575
その他63,63970,58588,52878,32491,84578,35774,39096,91983,510129,931111,757
独占禁止法関連損失引当金--10,52910,3244,145------
繰延税金負債51440270--------
コマーシャル・ペーパー-----------
流動負債合計1,073,2001,078,6841,118,9051,095,1841,090,170992,9251,128,6021,226,4341,433,5171,453,3581,429,526
固定負債
社債55,00030,00020,00030,00040,00040,00040,00050,00040,10760,09160,009
長期借入金51,00055,83666,03884,34778,104101,72294,590124,051131,507127,589144,299
ノンリコース借入金73,01566,19282,44679,07667,99362,15168,93768,08765,87568,05655,977
リース債務1311261692004422961445,0186,9158,1609,464
繰延税金負債----5,33621,22910,2224,05347,05114,55823,859
再評価に係る繰延税金負債21,31321,09119,60418,95318,89318,64418,44518,42117,93118,12417,736
役員株式給付引当金----433401436599625686703
退職給付に係る負債52,12651,02949,47350,80952,59847,75847,97751,83551,91452,09550,528
その他20,54620,09124,71325,47225,58425,49323,78825,52226,76529,85534,877
環境対策引当金88261631327423926262323--
不動産事業等損失引当金993993993993-------
繰延税金負債41,83046,95654,41730,667-------
役員株式給付引当金209301259381-------
固定負債合計317,049293,235318,430321,178289,627317,723304,569347,613388,719379,218397,457
負債合計1,390,2491,371,9191,437,3361,416,3621,379,7981,310,6481,433,1711,574,0481,822,2361,832,5771,826,983
純資産の部
株主資本
資本金57,75257,75257,75257,75257,75257,75257,75257,75257,75257,75257,752
資本剰余金41,75241,75243,13542,54042,82542,64142,64141,96242,00241,32841,288
利益剰余金255,750334,957404,840498,195587,012661,512677,559728,087773,841853,125905,459
自己株式-1,958-1,964-1,929-2,132-2,121-2,090-2,808-2,754-2,711-14,828-9,514
株主資本合計353,297432,497503,798596,355685,469759,816775,144825,047870,884937,378994,986
その他の包括利益累計額
その他有価証券評価差額金140,328140,246159,159150,115104,775138,542136,235118,057205,623126,640147,730
繰延ヘッジ損益-47-283-1,6431,1136,8377,4718,64210,13015,34115,26821,776
土地再評価差額金20,93720,43519,51819,21419,07620,37923,05223,62722,77721,54521,278
為替換算調整勘定822-365758-331,3061,3499,72818,43732,30453,13565,396
退職給付に係る調整累計額7601,6293,2442,1784263,4492,8871,8084,6984,2777,255
その他の包括利益累計額合計162,801161,662181,037172,588132,422171,191180,546172,061280,745220,867263,438
非支配株主持分45,55949,91626,68829,20432,60630,97033,22238,77243,18051,95658,041
純資産合計561,658644,076711,525798,149850,498961,979988,9131,035,8811,194,8101,210,2011,316,466
負債純資産合計1,951,9072,015,9962,148,8612,214,5122,230,2972,272,6282,422,0852,609,9293,017,0473,042,7783,143,449