ホットマン

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
2022-03千円
2023-03千円
2024-03千円
2025-03千円
2026-03千円
資産の部
流動資産
現金及び預金854,794768,7251,571,443974,999928,4071,932,6821,354,317989,110894,7931,175,4271,608,550
売掛金536,143452,971556,417578,285583,983647,866707,068793,060690,920743,603853,713
商品5,185,6514,948,1324,764,4934,965,5605,237,6125,191,2755,394,1795,784,8325,480,4485,417,4775,251,710
貯蔵品1,7511,9482,3362,0382,1671,7891,3461,9142,2723,0643,005
前払費用132,764131,182128,314136,796138,275147,707142,860134,446130,172127,663131,269
未収入金559,443540,999457,740458,295361,632329,746357,452410,132276,133297,449256,317
その他21,25521,94525,96454,09621,38727,79727,16823,96516,93117,72928,337
貸倒引当金--88-99-104-100-102-----
繰延税金資産376,527367,669394,980--------
流動資産合計7,668,3317,233,4857,901,5917,169,9667,273,3658,278,7627,984,3948,137,4627,491,6717,782,4148,132,905
固定資産
有形固定資産
建物(純額)-2,443,1022,199,1341,997,0652,296,3412,189,4782,125,2992,362,2312,552,6602,859,2742,665,574
構築物(純額)-136,229113,36199,355145,460158,288154,269228,554240,780360,050307,781
車両運搬具(純額)14,94512,72819,41630,57432,47837,61856,11046,61733,60836,86733,062
工具、器具及び備品(純額)225,274249,456240,535215,505214,851216,401265,250396,423409,714454,992484,004
土地1,868,9021,801,2141,801,2141,801,2141,913,4401,934,0392,117,7772,320,8592,498,3582,549,8172,540,599
建設仮勘定24,597--115,095-4,367151,5742,200383,731-2,805
リース資産(純額)101,06686,54172,01625,18317,98810,7933,5970---
建物及び構築物(純額)2,665,247----------
有形固定資産合計4,900,0334,729,2734,445,6794,283,9944,620,5614,550,9874,873,8785,356,8866,118,8536,261,0036,033,827
無形固定資産---15,36613,19315,25611,44123,89520,21920,67717,271
投資その他の資産
投資有価証券99,211110,856117,122134,343146,411172,485169,295193,294248,405345,563394,461
関係会社株式179,849205,042250,740231,428298,058360,048261,394116,030294408113,242
長期前払費用79,48071,15668,49959,87363,70955,28442,45536,29534,49333,05125,779
繰延税金資産----846,664912,380926,117916,582920,305913,647906,869
長期預金26,3002,25021,05020,25011,40030,15033,20031,65022,90034,70027,000
敷金及び保証金1,269,7301,273,8801,284,1141,237,6071,182,0211,153,1271,122,2351,080,6641,023,834972,696954,925
リース投資資産121,431113,57194,26483,56974,86865,47939,60718,9495,1273,626-
その他873570570570570570180180180230230
繰延税金資産327,303317,065366,995826,479-------
投資その他の資産合計2,104,1802,094,3942,203,3572,594,1212,623,7052,749,5262,594,4862,393,6472,255,5412,303,9232,422,507
無形固定資産
のれん30,32220,2150--------
その他26,80222,70719,233--------
無形固定資産合計57,12442,92219,233--------
固定資産合計7,061,3386,866,5906,668,2706,893,4827,257,4607,315,7697,479,8067,774,4298,394,6148,585,6048,473,606
資産合計14,729,67014,100,07514,569,86114,063,44914,530,82515,594,53215,464,20015,911,89215,886,28516,368,01916,606,511
負債の部
流動負債
買掛金1,047,4621,109,336932,0681,075,4211,056,2961,001,9141,142,7551,560,8481,034,0341,013,9061,162,036
短期借入金2,250,0002,150,0002,450,0002,350,0002,950,0003,250,0003,050,0003,050,0003,250,0003,250,0003,150,000
1年内返済予定の長期借入金1,068,100892,500742,696622,512504,996395,016344,992309,993366,654429,988421,744
未払金218,766143,337218,252170,280162,150237,099207,557364,776261,232234,678295,906
未払費用202,480202,057369,822365,983216,542390,354211,642219,703252,945411,634244,310
未払法人税等261,218121,795321,280318,859243,720335,959147,656170,920162,948209,942262,540
未払消費税等88,517104,901135,94458,927101,770207,97229,68851,142138,53898,023182,426
前受金52,51448,28268,57770,73447,71950,97784,84478,57065,01566,95882,371
預り金26,73021,56366,36874,46134,79443,97530,42130,56379,98129,96241,245
賞与引当金81,66681,66699,16691,000100,91693,33388,66690,41693,33399,16696,250
契約負債------414,751434,077415,222291,670281,375
その他----7,7007,70023,7107,7005,7117,4647,446
リース債務20,16322,35622,15614,51715,06915,75910,8566,171---
ポイント引当金238,282242,627251,499258,149256,571259,340-----
流動負債合計5,555,9035,140,4265,677,8325,470,8455,698,2466,289,4045,787,5436,374,8826,125,6166,143,3966,227,653
固定負債
長期借入金1,866,0501,648,5501,252,524630,012525,016585,000826,676516,683641,698820,460688,708
退職給付引当金-995,1231,085,3541,153,5661,283,0871,379,9171,496,3561,585,9421,609,6611,612,1651,542,222
役員退職慰労引当金133,926137,230141,386145,699150,066152,948157,335161,722166,108170,355173,964
資産除去債務143,192146,158149,174152,255166,001169,249172,566175,954183,724185,812188,833
長期預り敷金保証金83,00889,85279,54771,93965,75659,48753,37050,55350,22249,32251,722
リース債務153,918131,561109,40593,89078,82163,06152,20446,033---
その他4,1533,3652,7472,1571,56697638522---
退職給付に係る負債946,669----------
固定負債合計3,330,9173,151,8422,820,1392,249,5192,270,3142,410,6392,758,8942,536,9112,651,4142,838,1152,645,450
負債合計8,886,8208,292,2688,497,9717,720,3657,968,5618,700,0438,546,4388,911,7938,777,0318,981,5118,873,104
純資産の部
株主資本
資本金1,910,6451,910,6451,910,6451,910,6451,910,6451,910,6451,910,6451,910,6451,910,6451,910,6451,910,645
資本剰余金
資本準備金-500,645500,645500,645500,645500,645500,645500,645500,645500,645500,645
資本剰余金合計-500,645500,645500,645500,645500,645500,645500,645500,645500,645500,645
利益剰余金
利益準備金-42,69242,69242,69242,69242,69242,69242,69242,69242,69242,692
その他利益剰余金
圧縮記帳積立金-85,16781,89578,62475,35372,08268,81165,51162,24058,24954,978
別途積立金-1,230,0001,230,0001,230,0001,230,0001,230,0001,230,0001,230,0001,230,0001,230,0001,230,000
繰越利益剰余金-2,010,4582,244,7992,556,8872,765,4303,039,6863,132,9443,253,0223,390,6173,658,4743,948,146
特別償却準備金-6,2563,136--------
利益剰余金合計-3,374,5753,602,5233,908,2044,113,4764,384,4614,474,4484,591,2274,725,5514,989,4165,275,817
自己株式--108,380-108,380-108,380-108,380-108,380-108,380-108,380-108,380-108,380-108,380
資本剰余金500,645----------
利益剰余金3,355,817----------
株主資本合計5,767,1095,677,4865,905,4346,211,1146,416,3866,687,3716,777,3586,894,1377,028,4617,292,3267,578,727
評価・換算差額等
その他有価証券評価差額金104,176130,320166,456131,969145,877207,116140,403105,96080,79194,181154,679
退職給付に係る調整累計額-28,435----------
評価・換算差額等合計75,740130,320166,456131,969145,877207,116140,403105,96080,79194,181154,679
純資産合計5,842,8495,807,8076,071,8906,343,0846,562,2646,894,4886,917,7627,000,0987,109,2537,386,5077,733,407
負債純資産合計14,729,67014,100,07514,569,86114,063,44914,530,82515,594,53215,464,20015,911,89215,886,28516,368,01916,606,511