積水ハウス

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

2016-01百万円
2017-01百万円
2018-01百万円
2019-01百万円
2020-01百万円
2021-01百万円
2022-01百万円
2023-01百万円
2024-01百万円
2025-01百万円
2026-01百万円
資産の部
流動資産
現金預金195,239212,808325,834343,358584,635600,284515,283332,903293,152390,559435,177
受取手形・完成工事未収入金等-------157,123176,466211,114203,890
未成工事支出金9,39510,1509,41412,16817,93416,45118,29917,20217,35114,12713,405
分譲建物-----341,721436,973534,391774,2971,068,9261,093,574
分譲土地510,247566,018599,514579,000541,524495,950589,879723,941856,4041,374,2371,507,781
未成分譲土地86,88192,682109,480106,93494,82786,290149,828177,095233,197396,123433,304
その他の棚卸資産7,2617,2107,6278,5468,3237,3339,50112,16012,47412,16411,930
その他71,77664,98777,40284,70693,37489,500101,672140,200134,627245,867209,387
貸倒引当金-1,225-1,172-1,270-1,440-1,186-1,073-1,179-1,136-1,026-1,013-1,000
受取手形・完成工事未収入金50,25649,03145,87742,503133,978144,253132,471----
分譲建物301,125321,682369,124393,538342,594------
有価証券2,7981,399589--------
繰延税金資産31,17630,22929,07524,806-------
流動資産合計1,264,9331,355,0291,572,6691,594,1241,816,0051,780,7111,952,7292,093,8832,496,9473,712,1063,907,449
固定資産
有形固定資産
建物及び構築物346,174354,011348,783346,776355,787363,229365,224388,523321,467346,487352,613
機械装置及び運搬具62,13263,59062,59863,92671,32570,78671,33375,10873,92776,43081,626
工具、器具及び備品31,72032,85132,41332,60534,35137,03637,00739,65740,74047,40855,925
土地311,431325,073322,502304,370284,769287,307284,788277,568252,548258,559214,036
リース資産1,1221,1241,1802,5444,1384,2575,15719,74623,31327,82638,759
建設仮勘定10,32924,95026,11721,88828,26742,51649,59732,08052,17345,97612,168
その他---------5,8553,604
減価償却累計額-229,736-237,919-240,781-241,718-268,083-269,740-272,397-278,123-267,916-274,304-292,588
有形固定資産合計533,175563,682552,814530,394510,556535,393540,711554,562496,253534,240466,146
無形固定資産
のれん105486,1674,5863,0971,57525031,40617,808134,217114,581
工業所有権2627517357194105317163,03257,90350,478
借地権4,5174,2885,7455,3634,1834,1722,5752,2922,0572,9863,003
ソフトウエア9,3888,4469,0449,72710,59913,32714,58614,80715,77925,19845,677
施設利用権242243252237197168201172145130108
電話加入権495289289288321320308258238238237
その他31066857341,4621,3261,1991,087
無形固定資産合計14,77913,34522,01620,56618,66119,72717,98851,11740,388221,873215,174
投資その他の資産
投資有価証券115,541149,515173,802156,959157,715180,570190,334191,500198,437205,632202,295
長期貸付金50,62740,64525,34124,15736,56818,9525,7935,6363,97113,65623,266
退職給付に係る資産3,2288,11714,7253821,5021,3817,20632,50135,44046,749112,861
繰延税金資産-----24,59724,09118,21920,24210,64318,934
その他45,76052,29254,99473,74763,21865,02662,62662,32162,98964,99460,823
貸倒引当金-543-460-431-218-486-498-294-2,206-1,872-1,047-313
繰延税金資産2,2912,7273,08012,93931,007------
投資その他の資産合計216,905252,837271,512267,967289,525290,029289,759307,973319,208340,628417,867
固定資産合計764,861829,865846,343818,929818,742845,150848,459913,653855,8511,096,7421,099,188
資産合計2,029,7942,184,8952,419,0122,413,0532,634,7482,625,8612,801,1893,007,5373,352,7984,808,8485,006,637
負債の部
流動負債
支払手形・工事未払金107,249108,835104,13694,001125,955104,972111,022124,420134,026195,028162,376
電子記録債務58,83670,20268,67753,42793,59497,78096,635102,416103,26679,36067,638
短期社債60,00035,000-------40,000-
短期借入金146,188150,863209,707239,472166,486166,019219,218305,503440,075477,840414,332
1年内償還予定の社債-40,00015,00020,00015,00030,000-30,00016820,000
1年内返済予定の長期借入金97,28322,3732,43164,30318,69356,52016,23571,66421,611252,793161,032
未払法人税等33,00834,31132,20033,00830,98029,70443,02134,64139,77744,65267,868
未成工事受入金117,253129,783142,690156,605241,805208,750207,798192,236210,030220,645236,744
賞与引当金26,62728,00528,90025,52727,93926,10531,27036,49736,69939,70646,734
役員賞与引当金1,0621,2901,5601,4771,5231,2581,3851,0192,5536,6754,901
完成工事補償引当金2,7952,8002,9802,7883,3523,1643,8974,9066,15214,07315,575
その他83,94090,47798,61290,70696,535111,485137,416141,337143,827184,863200,968
1年内償還予定の新株予約権付社債1,130----------
流動負債合計735,376713,945706,898781,318821,866835,763867,9031,044,6431,138,0381,555,6481,398,171
固定負債
社債90,000130,000235,000215,000200,000170,000170,00020,00050,008620,121738,811
長期借入金27,850108,355154,20194,006178,928132,665136,556157,372239,089456,321514,714
長期預り敷金保証金59,14159,95160,50860,70159,16459,16959,07959,53558,65952,62644,785
繰延税金負債-----3644649336,11113,44324,634
役員退職慰労引当金1,1511,1971,3371,0601,107857864692707862823
退職給付に係る負債19,29220,26621,50449,98849,41443,01130,73329,28630,71631,63227,517
その他27,11926,45318,94112,94615,23615,14214,62627,52535,41559,59368,941
繰延税金負債1,4346,46012,4991,1082,179------
新株予約権付社債-----------
固定負債合計225,990352,685503,993434,812506,030421,211412,325295,347420,7071,234,6011,420,228
負債合計961,3661,066,6301,210,8911,216,1301,327,8971,256,9741,280,2291,339,9901,558,7452,790,2492,818,400
純資産の部
株主資本
資本金202,591202,591202,591202,591202,591202,591202,591202,591202,854203,094203,300
資本剰余金253,559253,559251,563251,563258,994258,989258,989259,864260,126260,297259,595
利益剰余金498,094577,663626,961700,949786,591839,985940,1351,056,4751,132,2751,266,9851,407,164
自己株式-17,577-37,248-948-4,215-13,668-6,883-20,975-50,656-40,979-40,957-40,905
株主資本合計936,667996,5651,080,1671,150,8881,234,5091,294,6821,380,7401,468,2741,554,2761,689,4201,829,156
その他の包括利益累計額
その他有価証券評価差額金26,67137,83948,03333,14639,89440,17441,48840,44944,59735,61036,079
繰延ヘッジ損益-1319-68-56-60-45141623--123-442
為替換算調整勘定68,74746,97550,67721,26911,1742,35547,24599,689132,895215,217213,570
退職給付に係る調整累計額25,62221,95916,166-22,440-19,322-10,6314,32323,79322,81622,07561,192
その他の包括利益累計額合計121,028106,793114,80731,91931,68631,85293,199164,556200,309272,779310,399
新株予約権6226947618036095081861341008758
非支配株主持分-14,21112,38413,31240,04441,84246,83234,58139,36656,31148,622
少数株主持分10,108----------
純資産合計1,068,4281,118,2641,208,1211,196,9231,306,8501,368,8871,520,9591,667,5461,794,0522,018,5992,188,237
負債純資産合計2,029,7942,184,8952,419,0122,413,0532,634,7482,625,8612,801,1893,007,5373,352,7984,808,8485,006,637