土屋HDs

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

2015-10千円
2016-10千円
2017-10千円
2018-10千円
2019-10千円
2020-10千円
2021-10千円
2022-10千円
2023-10千円
2024-10千円
資産の部
流動資産
現金預金4,967,2895,951,3854,619,2933,412,7593,569,7703,525,6725,684,2072,830,7813,317,5076,830,019
完成工事未収入金等366,731390,664368,586818,823511,201151,902448,502344,5971,464,732320,106
未成工事支出金432,464438,872589,253797,879655,231612,693741,637943,686705,001941,023
不動産事業支出金---76,500100,36559,40774,606170,484112,8991,431,123
販売用不動産3,560,3932,586,8463,469,1834,192,0954,841,1434,319,1824,409,4955,944,0128,533,0805,835,911
原材料及び貯蔵品148,556131,614120,136154,696148,002142,102151,971256,488229,847259,937
未収入金-------958,486222,91976,191
その他325,258328,524370,988443,143323,500335,394400,207417,461445,028407,839
貸倒引当金-20,822-10,262-8,601-9,379-4,060-1,681-3,465-4,334-3,461-3,936
繰延税金資産229,259174,314175,576229,833------
流動資産合計10,009,1319,991,9609,704,41710,116,35010,145,1559,144,67411,907,16411,861,66415,027,55416,098,216
固定資産
有形固定資産
建物・構築物8,625,3248,767,4628,960,9709,046,7438,928,5118,658,0228,397,5268,786,9748,773,0139,152,837
減価償却累計額-6,004,391-6,087,910-6,337,360-6,576,045-6,490,963-6,402,386-6,247,740-6,375,789-6,400,877-6,351,553
建物・構築物(純額)2,620,9332,679,5512,623,6102,470,6982,437,5482,255,6352,149,7852,411,1852,372,1352,801,284
機械装置及び運搬具1,627,9411,639,3691,635,0491,687,1991,689,6711,645,2061,567,998503,945516,477519,131
減価償却累計額-600,190-678,174-751,198-831,117-918,733-955,063-962,162-450,335-461,781-475,296
機械装置及び運搬具(純額)1,027,750961,194883,850856,082770,938690,143605,83653,60954,69643,835
土地5,747,3805,730,2355,736,2355,736,2355,717,2215,573,7845,573,7845,647,6855,557,1925,571,504
リース資産64,44466,05162,67779,87999,337105,829114,799133,891188,830230,356
減価償却累計額-32,686-27,385-40,347-52,421-63,334-56,957-71,941-89,677-109,884-138,896
リース資産(純額)31,75738,66622,32927,45736,00248,87242,85844,21478,94591,459
建設仮勘定14,26918,674-3,59846,5171,947157,40748,71750,956545,366
その他377,287377,926344,747356,725389,990403,426388,713399,719413,034422,436
減価償却累計額-360,622-364,679-327,086-336,984-351,525-354,700-359,184-374,053-389,729-398,857
その他(純額)16,66413,24717,66019,74038,46548,72529,52925,66623,30523,579
有形固定資産合計9,458,7569,441,5709,283,6859,113,8129,046,6938,619,1088,559,2018,231,0788,137,2329,077,029
無形固定資産
その他117,449124,407158,864220,725245,173273,196251,027225,636218,748196,270
無形固定資産合計117,449124,407158,864220,725245,173273,196251,027225,636218,748196,270
投資その他の資産
投資有価証券1,088,202771,074799,175843,923726,372695,922665,659564,428740,606790,826
長期貸付金119,048118,77789,59488,84389,41982,72179,08275,95170,10567,189
繰延税金資産-----293,244363,367330,595309,759262,766
その他779,079817,928688,183725,637685,215453,992451,388442,545548,679780,167
貸倒引当金-106,159-111,026-84,528-87,540-104,417-106,366-89,330-87,799-85,521-82,529
繰延税金資産78,66859,79865,857158,738321,685-----
投資その他の資産合計1,958,8391,656,5531,558,2831,729,6021,718,2741,419,5141,470,1671,325,7211,583,6311,818,420
固定資産合計11,535,04511,222,53111,000,83211,064,14011,010,14110,311,81910,280,3959,782,4379,939,61211,091,720
繰延資産
創立費--2,5662,0531,5391,026897304225145
開業費---28,39322,97915,4869,5901,7671,061605
繰延資産合計--2,56630,44624,51816,51310,4872,0721,286750
資産合計21,544,17621,214,49120,707,81721,210,93721,179,81519,473,00722,198,04721,646,17424,968,45327,190,688
負債の部
流動負債
工事未払金等2,454,5532,401,4632,602,6272,443,4152,809,6402,310,1253,178,4953,239,5362,678,3872,936,519
1年内返済予定の長期借入金--200,000------900,000
リース債務10,02425,34323,38817,95418,92618,02317,49818,84627,50728,952
未払法人税等130,291113,197143,890111,317148,17095,381246,837219,719146,126311,044
未払消費税等335,821309,417220,230305,870216,339301,750409,056285,630337,612421,663
未成工事受入金1,464,3531,468,7581,455,8342,809,1052,540,6682,072,0053,039,3512,713,3192,656,7583,410,698
完成工事補償引当金187,720211,237189,322148,672159,224122,205111,87244,54047,17852,302
その他1,182,7291,034,8231,042,6021,190,1921,145,1251,337,7471,497,9491,420,4552,130,2711,507,665
流動負債合計5,765,4945,564,2415,877,8957,026,5287,038,0946,257,2388,501,0617,942,0488,023,8419,568,846
固定負債
長期借入金200,000200,000------2,900,0003,000,000
リース債務25,87546,56528,90130,10830,18140,38331,36030,15159,71571,511
役員退職慰労引当金525,159596,259117,261126,691117,742128,934134,875137,084145,752127,778
退職給付に係る負債771,554795,851802,439818,938804,018795,277798,266688,374693,397693,729
資産除去債務59,73962,23462,83365,38370,63673,42570,66543,21546,65348,068
その他738,986712,302691,043694,504701,861707,241716,042711,358759,955753,860
繰延税金負債49,7308,64312,117-------
固定負債合計2,371,0462,421,8571,714,5971,735,6271,724,4401,745,2611,751,2091,610,1844,605,4744,694,948
負債合計8,136,5417,986,0987,592,4938,762,1558,762,5348,002,49910,252,2709,552,23212,629,31514,263,794
純資産の部
株主資本
資本金7,114,8157,114,8157,114,8157,114,8157,114,8157,114,8157,114,8157,114,8157,114,8157,114,815
資本剰余金4,427,4524,427,4524,427,4524,427,4524,427,4524,427,4524,427,4524,427,4524,427,4524,427,452
利益剰余金1,852,0231,755,1781,719,6161,127,7311,182,546244,061696,982777,421860,9411,469,446
自己株式-56,831-56,840-156,838-156,852-156,875-156,875-156,880-156,894-156,906-156,914
株主資本合計13,337,45913,240,60413,105,04512,513,14512,567,93811,629,45212,082,36912,162,79412,246,30212,854,799
その他の包括利益累計額
その他有価証券評価差額金85,160-1,07617,506-36,680-143,430-160,609-139,339-134,60935,88648,270
退職給付に係る調整累計額-14,985-11,134-7,227-27,682-7,2271,6642,74765,75756,94823,824
その他の包括利益累計額合計70,175-12,21110,278-64,363-150,657-158,945-136,592-68,85192,83572,094
純資産合計13,407,63413,228,39313,115,32412,448,78212,417,28011,470,50711,945,77612,093,94212,339,13712,926,893
負債純資産合計21,544,17621,214,49120,707,81721,210,93721,179,81519,473,00722,198,04721,646,17424,968,45327,190,688