戸田建設

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54,76866,38680,59797,450106,45395,037120,53896,840113,81082,96466,687
受取手形・完成工事未収入金等211,237133,206135,438225,685163,440209,347208,892282,828222,602271,023268,045
有価証券11924,74920,029-20,06410,10010,3007006006,20119,866
販売用不動産15,8307,9747,4009,16210,05211,0808,30115,61635,89059,38946,792
未成工事支出金16,12019,88112,44916,71916,48811,0109,68012,10213,27314,11324,422
その他の棚卸資産9908671,6692,0293,9498,0315,1242,70912,0545,09514,298
その他14,09311,49417,44215,33617,50229,78824,88723,80725,83722,30942,045
貸倒引当金-1,608-1,200-1,071-1,548-1,110-1,248-1,188-3,032-2,143-2,716-2,807
繰延税金資産1954,1785,846--------
流動資産合計311,747267,538279,802364,835336,841373,147386,536431,573421,924458,380479,351
固定資産
有形固定資産
建物・構築物(純額)11,56014,13517,06718,95329,04640,55247,91254,24047,088120,182116,216
機械、運搬具及び工具器具備品(純額)6255854,4452,8073,2096,11911,01911,25610,96113,27948,651
土地59,74370,00171,67082,19983,92086,49387,65287,18781,41674,79988,150
リース資産(純額)15910291521388359205354698835
建設仮勘定2554,3002,1115,4207,95911,62215,29425,78570,49236,8358,303
有形固定資産合計72,34489,12595,386109,434124,274144,871161,938178,675210,313245,795262,157
無形固定資産
のれん--6585895196087011,3759412,1221,032
その他--8,2847,3737,9768,87611,25510,68911,91211,59110,898
無形固定資産合計--8,9427,9628,4959,48411,95612,06512,85413,71411,930
投資その他の資産
投資有価証券154,840168,738174,775178,643157,659200,290192,650185,072208,268185,721220,780
長期貸付金6145554894347828428177956,5497,1438,861
退職給付に係る資産2408241,4841,9301,2231,9662,1291,9535,5486,0039,671
繰延税金資産----731637677921864945856
その他2,9232,9003,0514,1324,6354,7444,5854,5815,8556,2415,155
貸倒引当金-463-131-262-234-87-194-91-81-118-372-365
繰延税金資産389154323582-------
投資その他の資産合計158,544173,041179,862185,489164,945208,285200,768193,243226,967205,682244,960
無形固定資産6,0756,878---------
固定資産合計236,964269,044284,191302,886297,715362,642374,663383,983450,135465,191519,047
資産合計548,711536,582563,994667,722634,557735,789761,199815,556872,060923,572998,399
負債の部
流動負債
支払手形・工事未払金等149,638100,36688,499115,318105,305114,00097,728111,28397,14093,177104,298
短期借入金34,58829,85525,49629,45144,49948,29759,96981,56874,10365,57252,839
コマーシャル・ペーパー---50,000-20,00020,000--5,000-
1年内償還予定の社債----5,000-15,1905,0503010,16510,050
未払法人税等2,7743,5233,7239,8827,3748,5256,1756,3297,6959,9206,149
未成工事受入金38,45528,58029,65730,05930,02227,77928,36933,40838,14258,71570,188
賞与引当金6,3206,7547,3716,5966,4096,9576,0715,1156,2387,65210,234
完成工事補償引当金2,2374,0894,0894,3904,4103,6413,8193,3053,6723,4466,517
工事損失引当金2,4213,2894443,6013,2002,7532,6669,4344,0614,1282,981
預り金18,13417,93323,32426,35528,61832,71738,46536,48638,73248,79164,672
その他13,49727,66125,22118,17218,22917,00920,66018,03425,65923,74923,772
訴訟損失引当金-----------
流動負債合計268,069222,054207,827293,829253,070281,681299,116310,016295,476330,319351,704
固定負債
社債10,00010,00020,00025,00030,10050,10045,24550,19563,16563,05053,000
長期借入金35,13130,42129,97927,57332,20132,64338,99174,72489,272111,681113,702
繰延税金負債----11,83324,49622,69019,24431,54623,79536,766
再評価に係る繰延税金負債7,7087,2727,2727,2356,7916,3896,1246,0695,8315,2024,857
役員退職慰労引当金14914417018020720523998109127123
役員株式給付引当金----1882362404656768311,281
関係会社整理損失引当金4001881044236281,1931,141131713
環境・エネルギー事業損失引当金--------8211,474-
退職給付に係る負債22,51522,08421,87221,44621,26321,47021,84922,93222,00023,48921,170
資産除去債務1821,0951,0891,1831,7121,9992,2072,2422,1142,7384,237
その他2,9103,0613,1393,4413,6564,0034,2585,1655,5087,6478,379
繰延税金負債24,22413,30223,02318,424-------
役員株式給付引当金-60120172-------
固定負債合計103,22487,633106,772104,699107,991141,573143,041182,278221,059240,055243,533
負債合計371,293309,687314,600398,529361,061423,255442,157492,295516,536570,374595,237
純資産の部
株主資本
資本金23,00123,00123,00123,00123,00123,00123,00123,00123,00123,00123,001
資本剰余金25,58725,68225,68125,74326,25926,25926,45726,78626,78627,24026,773
利益剰余金76,825116,816136,336155,875176,564189,217199,155200,996208,849223,857243,469
自己株式-8,236-8,233-9,437-9,438-9,392-9,388-8,462-7,625-12,599-17,249-19,814
株主資本合計117,178157,267175,582195,182216,433229,089240,152243,159246,037256,849273,430
その他の包括利益累計額
その他有価証券評価差額金55,03863,51366,96967,33051,95479,47473,43572,79092,80573,32397,375
繰延ヘッジ損益-251-328-13108385111424479776
土地再評価差額金6,6655,6765,6765,5924,5843,6743,0733,0872,7414,1007,760
為替換算調整勘定-545-542-658-955-805-2,174-391-1,5673,1525,0315,279
退職給付に係る調整累計額-3,292-1,957-1,249-1,021-1,292-153-81-3273,3572,4436,195
その他の包括利益累計額合計57,84066,69170,73470,97454,42780,92876,42174,094102,48185,377117,388
非支配株主持分2,3982,9373,0783,0352,6352,5152,4676,0077,00410,97012,343
純資産合計177,417226,895249,394269,193273,496312,533319,042323,261355,524353,197403,161
負債純資産合計548,711536,582563,994667,722634,557735,789761,199815,556872,060923,572998,399