大和ハウス工業

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192,571216,749330,806279,859281,434425,980337,632358,086450,129333,198434,371
受取手形・完成工事未収入金等281,755315,275360,395390,922433,053401,314407,430454,341493,205474,790552,672
リース債権及びリース投資資産21,44425,26133,22531,83435,02145,41189,87598,809124,906142,291150,722
不動産事業貸付金--12,42914,62518,57929,08828,47315,77125,73954,42939,743
有価証券162,0062,0408918145507,5683,570449402195
未成工事支出金36,75349,48458,62779,30547,86146,86648,51649,99353,84954,91674,010
販売用不動産----795,396852,6781,068,0111,511,2361,750,5391,906,8712,303,351
仕掛販売用不動産112,854102,608140,049194,750212,850237,659407,869487,162437,699563,275760,317
造成用土地6476476479664,4433,4213,2882,3483,9841,119710
商品及び製品15,19414,71916,28417,04618,56917,35617,90420,34119,65020,56922,342
仕掛品7,0816,5835,9226,8546,7388,0739,07310,85911,78913,9729,313
材料貯蔵品5,8705,8186,6678,4518,9847,5577,7469,73510,25110,9139,596
その他160,071188,534215,693255,910249,133292,088277,601232,876271,675309,095348,538
貸倒引当金-2,583-7,653-8,836-8,665-9,016-13,682-18,195-3,145-3,789-3,380-3,188
販売用不動産461,763444,422556,056648,291-------
繰延税金資産35,40640,72944,745--------
流動資産合計1,328,8491,405,1881,774,7561,921,0432,103,8662,354,3642,692,7943,251,9883,650,0813,882,4644,702,696
固定資産
有形固定資産
建物及び構築物819,612892,595970,7621,024,8321,044,9141,164,2301,302,7501,410,3731,453,3941,513,0941,671,419
減価償却累計額-391,565-410,518-424,425-443,094-474,828-510,841-558,140-591,582-570,297-613,770-660,178
建物及び構築物(純額)428,046482,076546,337581,738570,086653,389744,610818,791883,096899,3231,011,241
機械装置及び運搬具124,519130,458143,149151,313155,029159,424160,254166,189170,835193,306201,931
減価償却累計額-68,338-71,314-77,126-81,945-87,716-94,202-99,058-106,115-110,536-118,155-126,190
機械装置及び運搬具(純額)56,18159,14466,02369,36767,31265,22261,19660,07460,29875,15175,741
工具、器具及び備品53,63256,26961,92164,46169,91775,28079,84786,86988,98295,823105,117
減価償却累計額-41,482-42,634-45,672-47,479-51,080-56,057-59,773-64,903-63,911-69,976-77,370
工具、器具及び備品(純額)12,15013,63516,24916,98118,83619,22320,07421,96625,07025,84627,746
土地652,043759,813776,342811,205857,587870,822878,851916,871816,722858,719933,879
リース資産20,45222,54632,16250,57978,19093,235105,714105,361119,189132,139146,622
減価償却累計額-6,126-6,704-8,286-11,055-13,911-17,934-23,721-29,318-34,380-41,756-49,799
リース資産(純額)14,32515,84123,87639,52464,27875,30081,99376,04284,80990,38296,822
建設仮勘定27,95776,86872,67189,730134,361166,588174,780128,381120,057174,107178,321
その他----10,2399,6419,73314,95122,74323,95427,621
減価償却累計額-----986-1,340-2,174-3,449-4,769-6,132-8,302
その他(純額)----9,2538,3007,55911,50217,97317,82219,318
有形固定資産合計1,190,7041,407,3801,501,4991,608,5481,721,7171,858,8471,969,0662,033,6292,008,0292,141,3522,343,071
無形固定資産
のれん54,41352,89260,91672,89863,45774,04693,89594,46795,42994,656159,917
その他32,79334,09742,85251,74054,71561,57877,02299,126108,132110,419222,849
無形固定資産合計87,20686,989103,768124,639118,172135,625170,917193,594203,561205,076382,767
投資その他の資産
投資有価証券265,870270,112250,522224,689207,219231,490228,794218,834224,638220,868303,797
長期貸付金13,78813,53114,1723,7564,0535,2842,2554,5605,1349,2099,195
退職給付に係る資産--------39,115127,449237,745
敷金及び保証金205,659214,740222,053229,790241,030251,358251,053256,582252,587253,595257,030
繰延税金資産----170,274161,458159,203141,265111,804104,06970,790
その他80,44975,22080,23566,74063,37056,44749,28243,12440,126106,922108,203
貸倒引当金-2,978-2,635-2,806-2,669-2,315-1,825-1,705-1,510-1,357-1,684-2,878
繰延税金資産88,25585,35791,070157,498-------
投資その他の資産合計651,045656,326655,247679,804683,632704,214688,884662,855672,048820,430983,884
固定資産合計1,928,9552,150,6962,260,5152,412,9932,523,5222,698,6872,828,8682,890,0792,883,6403,166,8583,709,723
資産合計3,257,8053,555,8854,035,2724,334,0374,627,3885,053,0525,521,6626,142,0676,533,7217,049,3238,412,419
負債の部
流動負債
支払手形・工事未払金等368,494383,232479,451530,472360,338296,165355,936380,004361,313353,710395,523
短期借入金54,29178,94493,84397,631110,519124,584151,421133,028122,253170,293757,904
1年内償還予定の社債10,0851020,11095,00065,00040,00025,00050,000100,00075,00065,000
1年内返済予定の長期借入金31,74869,40161,57440,44165,66946,70079,589159,044117,675285,287154,993
コマーシャル・ペーパー----49,000-----179,000
リース債務2,4932,6983,4744,7196,0837,5768,8108,0749,10511,56313,586
未払金126,88393,89295,293117,363135,690129,089121,051125,73295,643106,22289,056
未払法人税等60,42952,51161,82669,94458,98057,09369,17057,25476,22299,09793,233
前受金49,41847,80261,59755,70077,071175,978199,824142,950103,529128,665140,055
未成工事受入金107,531113,850124,571165,186130,633113,186137,977183,273195,458195,231243,683
賞与引当金46,66250,01453,14556,28857,28853,27656,75960,72864,99169,17698,340
完成工事補償引当金7,0987,0968,2328,0037,4847,2307,6807,4608,2368,81113,543
工事損失引当金--------7,29118,91425,037
資産除去債務1,7181,9672,0921,9852,1592,5683,1404,1304,3944,9535,620
その他106,933120,550133,134159,112171,334225,407228,229215,166265,285306,907387,554
流動負債合計973,7901,021,9731,198,3491,401,8491,297,2541,278,8581,444,5921,526,8471,531,4001,833,8342,662,133
固定負債
社債100,010200,000287,342192,000277,000383,000408,000559,000759,000744,000714,000
長期借入金295,828292,316317,702350,573473,689677,700758,496945,507988,9091,034,4961,205,808
リース債務21,59824,12033,57251,06279,77093,780102,73197,420107,236112,189120,866
長期預り敷金保証金249,949261,343270,011276,590284,323284,946296,500307,593303,547301,383315,410
再評価に係る繰延税金負債20,72920,82320,07420,04220,03719,63419,11718,40518,28517,62416,960
退職給付に係る負債280,228271,548258,581263,018267,062246,059193,753103,617103,00398,50497,857
資産除去債務32,99837,59541,02745,33349,88153,78455,90458,00961,10063,48865,929
その他69,05879,15792,19887,482103,360120,363129,848135,605137,476127,056191,176
会員預り金31,62517,1042,8272,3671,6211,4191,3321,146---
固定負債合計1,102,0281,204,0091,323,3371,288,4701,556,7451,880,6891,965,6842,226,3052,478,5592,498,7432,728,010
負債合計2,075,8182,225,9832,521,6872,690,3202,853,9993,159,5483,410,2773,753,1534,009,9594,332,5775,390,144
純資産の部
株主資本
資本金161,699161,699161,699161,699161,699161,699161,699161,845161,957162,216162,602
資本剰余金311,226311,393311,910310,879307,154304,595301,982303,741301,318299,395293,897
利益剰余金591,850734,242903,5501,066,7051,217,4071,339,5581,486,9001,710,5821,903,3262,132,8162,387,104
自己株式-4,617-8,450-4,630-8,316-7,588-33,019-29,081-20,327-88,320-188,335-185,546
株主資本合計1,060,1581,198,8841,372,5281,530,9681,678,6711,772,8341,921,5002,155,8422,278,2812,406,0942,658,058
その他の包括利益累計額
その他有価証券評価差額金84,98388,64275,25751,01636,99659,40464,01754,70155,34245,84864,810
繰延ヘッジ損益35-5-35-21-1010-860-118-1,9162,315-794
土地再評価差額金7023,4956,1886,45310,25110,62410,6429,27710,23410,79911,520
為替換算調整勘定24,39917,27320,5997,5741,087-7,67724,85764,50895,919149,181163,148
その他の包括利益累計額合計110,119109,405102,01065,02348,32362,36198,657128,369159,580208,144238,685
非支配株主持分11,66921,49538,92947,61046,29258,21691,227104,70185,900102,507125,531
新株予約権3811511511410191-----
純資産合計1,181,9861,329,9011,513,5851,643,7171,773,3881,893,5042,111,3852,388,9142,523,7622,716,7453,022,275
負債純資産合計3,257,8053,555,8854,035,2724,334,0374,627,3885,053,0525,521,6626,142,0676,533,7217,049,3238,412,419