大東建託

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233,631248,180246,714188,614159,930198,993259,134267,133245,758235,890275,045
完成工事未収入金等-38,29751,90867,32576,45651,88054,61058,15458,56569,84282,451
有価証券9,61718,50922,88512,5094,0281,5023,1013,9993,7983,0061,290
販売用不動産-------27,43958,58794,515139,240
仕掛販売用不動産---------100,001133,934
未成工事支出金13,32814,84114,84614,14412,09813,46013,66013,71215,09417,00717,178
棚卸不動産------15,35811,1669,3088,6318,284
その他の棚卸資産4,7685,8035,9197,4124,32910,45715,36611,9577,1958,5678,273
前払費用59,68863,02065,14466,86169,18770,23772,34774,26775,57981,74882,045
営業貸付金60,48962,73664,26293,259127,592120,980113,329106,970104,250108,449103,989
その他13,26216,93219,38718,88123,46226,69729,86334,36335,19729,31732,356
貸倒引当金-253-241-224-308-481-594-785-688-559-536-495
金銭の信託26,50522,00019,00016,00014,00013,50012,50011,50011,500--
繰延税金資産19,95519,69620,338--------
受取手形・完成工事未収入金等38,627----------
流動資産合計479,621509,778530,182484,700490,604507,115588,487619,976624,275756,441883,594
固定資産
有形固定資産
建物・構築物(純額)34,30237,23649,88251,41558,78259,34360,39261,89462,87363,56266,690
機械及び装置(純額)32,52037,31536,26734,47635,64132,91036,32048,28649,86052,17557,647
工具器具・備品(純額)1,7722,1272,2102,1172,7872,3972,0571,7531,4281,5441,823
土地43,16947,59657,57176,36476,43276,20076,97978,01378,54364,35665,114
リース資産(純額)1,3081,6211,4781,211974716640947843705682
その他(純額)8831174751,0106855771,2374861,3141,9323,092
有形固定資産合計113,957126,014147,884166,595175,304172,145177,627191,382194,864184,276195,051
無形固定資産
のれん-----12,22411,33711,35611,84912,69912,913
その他-----26,83625,16823,22321,55622,45023,129
無形固定資産合計-----39,06136,50534,57933,40635,15036,042
投資その他の資産
投資有価証券45,50938,36747,86953,16745,79948,73747,15550,40953,73744,16044,818
劣後債及び劣後信託受益権12,85712,85712,27011,14010,6429,3846,9155,1193,7883,4363,337
金銭の信託---------44,07247,692
繰延税金資産----83,23493,32295,104100,109105,199114,215116,670
その他42,92245,85144,02049,35451,54855,30960,12966,96571,45748,44648,351
貸倒引当金-3,014-3,369-3,939-4,488-5,127-5,621-6,045-6,632-6,660-7,418-8,055
繰延税金資産26,03034,29641,02671,406-------
投資その他の資産合計124,304128,003141,247180,579186,098201,132203,258215,971227,522246,914252,813
無形固定資産10,66417,63523,66327,89628,282------
固定資産合計248,927271,653312,795375,071389,684412,339417,392441,932455,794466,341483,908
資産合計728,548781,431842,978859,772880,289919,4541,005,8791,061,9091,080,0691,222,7831,367,502
負債の部
流動負債
工事未払金37,50943,67742,73945,68754,76027,58036,47950,14149,76753,21656,092
短期借入金-----690-1,026-9,31113,468
1年内返済予定の長期借入金16,69044,07430,58919,81621,64012,44413,00811,55810,98258,68138,429
リース債務241201200200210193169310203224273
未払法人税等25,67130,75128,46028,32430,08122,49322,90319,63822,06528,39327,557
未成工事受入金47,27457,01949,51948,14140,25840,81439,46641,77252,86849,75144,467
前受金68,92275,54360,34065,86789,57194,867119,761116,610102,424120,180124,765
賞与引当金21,58621,52323,17921,36314,13120,37225,21815,90623,27828,65430,848
完成工事補償引当金1,1361,0911,1211,0168195991,3761,2511,0251,0691,120
工事損失引当金-------7932,6411,308525
預り金7,6317,5957,5778,78210,00310,4049,0718,50210,38210,19811,339
その他55,21656,51152,51050,95757,04168,46744,40242,87851,30149,84154,525
1年内償還予定の社債-----1408050---
流動負債合計281,883337,990296,238290,155318,519299,066311,938310,439326,941410,833403,413
固定負債
社債-----13011,05011,00011,00011,10011,000
長期借入金54,94210,36875,01672,30061,11083,34470,58267,31857,17644,530170,458
リース債務907786802648514361388611656629544
繰延税金負債----3082464464281011,400307
一括借上修繕引当金80,70497,405115,503134,732151,862169,779187,469207,185221,824229,105234,722
退職給付に係る負債10,69810,2039,92513,38715,22814,84715,47117,63615,00113,9398,639
長期預り保証金45,18339,86836,77734,10933,64432,21231,30630,80729,35130,10230,643
その他5,6209,22811,21211,84312,94011,25911,43711,54812,21613,70811,174
繰延税金負債8494464297-------
固定負債合計198,143167,955249,700267,318275,609312,181328,152346,537347,327344,517467,490
負債合計480,026505,945545,939557,473594,128611,247640,091656,976674,268755,350870,903
純資産の部
株主資本
資本金29,06029,06029,06029,06029,06029,06029,06029,06029,06029,06029,060
資本剰余金34,54034,54034,54034,54034,54034,54034,54034,54034,54032,62132,493
利益剰余金206,509232,978253,108297,952243,349266,899319,133352,811391,255445,821493,606
自己株式-16,857-15,337-17,203-55,565-11,021-15,352-12,852-10,973-58,485-43,217-65,358
株主資本合計253,254281,243299,507305,988295,929315,148369,882405,439396,371464,286489,802
その他の包括利益累計額
その他有価証券評価差額金3,2022,5265,8826,4867673,6362,8252,3096,666269-328
繰延ヘッジ損益-943-286-294222258267127-15671481729
土地再評価差額金-7,584-7,584-7,584-7,584-7,584-7,584-7,584-7,584-7,584-7,584-7,584
為替換算調整勘定-229-1,705-2,219-3,207-3,841-5,806-1,7374,2987,1649,40710,699
退職給付に係る調整累計額-1,596-1,429-1,264-2,989-3,011-1,927-2,054-2,957-791-712,982
その他の包括利益累計額合計-7,151-8,479-5,479-7,071-13,412-11,414-8,424-4,0906,1692,1036,498
新株予約権3533984154914823883221801305650
非支配株主持分2,0652,3222,5962,8893,1614,0844,0073,4033,129986247
純資産合計248,522275,485297,039302,298286,161308,206365,787404,933405,800467,433496,598
負債純資産合計728,548781,431842,978859,772880,289919,4541,005,8791,061,9091,080,0691,222,7831,367,502