北野建設

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

2016-03千円
2017-03千円
2018-03千円
2019-03千円
2020-03千円
2021-03千円
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
現金及び預金9,183,99415,111,0348,977,02610,434,0649,425,80012,998,12914,90626,13226,32618,75013,239
受取手形・完成工事未収入金等18,801,96216,724,17425,073,32018,805,99214,753,98818,975,60415,44312,66213,32914,50420,704
有価証券--35,04550,08724,00616,012628-22-
販売用不動産3,567,3083,564,8393,535,8743,477,8953,260,9383,242,3153,2323,2303,2883,2893,405
未成工事支出金349,382707,633674,013611,4871,029,2021,307,5713851,11910012392
開発事業等支出金41,17041,17041,170-67,32678,855-507633,2854,406
その他の棚卸資産86,02890,97699,20281,37859,91353,21555405247135188
その他947,4941,259,6242,514,1792,142,3232,322,3102,192,3021,6791,3461,2471,4231,724
貸倒引当金-246,944-51,034-40,687-31,316-33,451-29,090-14-14-30-16-12
繰延税金資産478,943510,326441,200--------
流動資産合計33,209,33737,958,74241,350,34635,571,91230,910,03538,834,91535,69544,96045,27241,51943,748
固定資産
有形固定資産
建物及び構築物11,140,97212,031,25412,370,41512,053,10112,491,11416,196,78415,96516,67517,03217,68417,193
機械装置及び運搬具2,875,3482,840,4692,766,9552,732,5752,721,6862,649,0932,9153,0683,1633,3063,095
工具、器具及び備品2,743,6432,768,7302,832,5282,807,6832,935,6672,980,4253,0483,1493,1813,2873,174
コース勘定770,729770,729770,729770,729770,729770,729770770770784784
土地6,234,0536,338,7066,380,1186,657,80110,032,77610,073,40510,07310,07310,07310,0737,074
建設仮勘定30,6169,7709181,789518,909532--433,042
その他46,55046,55043,02746,55073,11097,9379797949494
減価償却累計額-9,969,186-10,210,173-10,624,053-11,034,504-11,501,123-11,770,038-12,151-13,706-14,417-15,743-15,472
有形固定資産合計13,872,72514,596,03514,539,81114,115,72718,042,87020,998,86820,72020,12919,90219,49118,986
無形固定資産
その他225,290227,551274,454249,777233,611201,898188244315638741
無形固定資産合計225,290227,551274,454249,777233,611201,898188244315638741
投資その他の資産
投資有価証券5,122,4746,128,4796,793,3016,344,3955,534,2606,729,3926,1406,5349,36010,95413,349
長期貸付金25,67225,46923,45519,78265,54175,3916454433548
退職給付に係る資産--287,529537,672569,428923,2039138961,0241,0101,473
繰延税金資産----51,15530,3771718161816
その他1,354,6261,374,7731,400,3231,569,2161,588,9121,888,2121,7921,9541,9221,9491,993
貸倒引当金-32,327-32,324-33,481-33,094-33,850-33,150-31-31-27-27-27
繰延税金資産412,274345,090279,79948,214-------
投資その他の資産合計6,882,7197,841,4878,750,9288,486,1877,775,4489,613,4278,8969,42612,33813,94116,854
固定資産合計20,980,73422,665,07323,565,19422,851,69126,051,93130,814,19429,80529,80132,55634,07036,581
資産合計54,190,07160,623,81564,915,54158,423,60456,961,96669,649,11065,50074,76177,82975,58980,330
負債の部
流動負債
支払手形・工事未払金等14,160,45914,402,78518,670,20813,715,91912,979,92211,094,7009,89112,56810,1939,4448,480
電子記録債務-----6,773,9774,1108,0657,3913,8314,466
未払法人税等683,1341,362,050707,942959,25560,8611,046,1342381,3055273421,594
未成工事受入金4,397,4676,571,6725,391,5564,900,7284,972,8574,741,0074,0247,9368,1456,7694,505
開発事業等受入金-2944977245,93610,78966111,1291,125
賞与引当金310,929419,342325,178328,190284,253324,154323408516536748
役員賞与引当金46,00046,50047,70049,45050,30050,3005154607166
完成工事補償引当金40,63766,94587,38888,15940,24229,0954665485305555
その他1,726,3381,680,4741,650,0991,335,1451,220,3681,974,9972,0281,6672,1581,5381,640
短期借入金-----4,000,0004,000----
社屋建替損失引当金---229,67835,824------
工事損失引当金-83,257---------
流動負債合計21,364,96424,633,31926,880,57021,607,25219,650,56630,045,15524,72132,07729,49023,96823,183
固定負債
会員預託金2,508,1002,370,4002,208,1002,060,7001,950,0001,836,9001,7561,7011,6641,6191,576
繰延税金負債----749,8921,000,8011,1671,0291,8742,4222,831
退職給付に係る負債365,50246,65378,32771,21560,74260,0466562687381
その他235,359193,834215,336218,098290,430303,191288275284276506
債務保証損失引当金-------753753--
繰延税金負債1,314,3001,633,7501,709,918805,415-------
固定負債合計4,423,2614,244,6374,211,6823,155,4293,051,0663,200,9403,2783,8224,6454,3914,996
負債合計25,788,22528,877,95631,092,25324,762,68222,701,63233,246,09527,99935,89934,13528,36028,180
純資産の部
株主資本
資本金9,116,4929,116,4929,116,4919,116,4919,116,4919,116,4919,1169,1169,1169,1169,116
資本剰余金5,502,0725,707,3685,716,3813,188,6283,188,6283,188,6283,1883,1883,188653659
利益剰余金12,985,86015,685,63118,525,96720,677,57722,201,15123,384,37724,44325,81129,06031,45834,280
自己株式-1,262,421-1,266,241-2,260,425-1,725,198-1,918,211-1,938,312-1,951-2,554-3,189-897-873
株主資本合計26,342,00329,243,25031,098,41531,257,49932,588,06033,751,18634,79635,56238,17540,33143,182
その他の包括利益累計額
その他有価証券評価差額金1,085,3291,806,8892,004,6371,687,5091,132,8821,985,6601,8202,1324,1075,1686,918
繰延ヘッジ損益1,0018,773-1,877--25,52816,926390--84
為替換算調整勘定414,598355,187271,752208,880166,08326,2382385817571,1221,115
退職給付に係る調整累計額-215,994-94,177-8,12031,786-91,238124,31488429346353
その他の包括利益累計額合計1,284,9342,076,6722,266,3901,928,1761,182,1982,153,1392,1862,7564,9596,3298,391
非支配株主持分774,909425,937458,481475,245490,074498,689517543558568576
純資産合計28,401,84631,745,85933,823,28733,660,92134,260,33336,403,01537,50138,86143,69347,22952,150
負債純資産合計54,190,07160,623,81564,915,54158,423,60456,961,96669,649,11065,50074,76177,82975,58980,330