トラストHDs

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

2016-06千円
2017-06千円
2018-06千円
2019-06千円
2020-06千円
2021-06千円
2022-06千円
2023-06千円
2024-06千円
2025-06千円
資産の部
流動資産
現金及び預金1,987,0881,195,5132,075,5352,664,2131,718,5392,283,0002,212,3302,876,5922,811,6611,738,317
受取手形------18,480286246264
売掛金------192,729205,711241,402247,461
販売用不動産5,473,0381,047,373614,4451,211,678792,03034,055339,498272,143410,357823,691
仕掛販売用不動産1,603,9223,098,0261,593,2911,055,6041,073,0841,630,1381,544,8642,009,6071,461,4821,550,832
商品及び製品104,866164,02060,829113,11693,700182,83969,22440,52253,59439,413
仕掛品29,12020,961112,78734,946130,24455,98226,90152,89223,13047,484
原材料及び貯蔵品119,91763,77194,97276,71468,34884,551104,59486,013125,93590,380
営業貸付金-833,724856,584796,433747,444493,211553,350563,414632,685824,947
前払費用------448,820428,773438,776466,295
その他1,443,420586,883598,303670,543517,835550,859236,360167,407128,020136,061
貸倒引当金-5,464-43,706-85,947-71,989-71,379-262,582-292,076-333,772-381,592-293,642
受取手形及び売掛金403,396263,460238,136327,610162,561170,315----
繰延税金資産159,68954,19667,270-------
流動資産合計11,318,9947,284,2276,226,2096,878,8695,232,4085,222,3725,455,0796,369,5945,945,7005,671,507
固定資産
有形固定資産
建物及び構築物3,878,0773,417,9213,399,9823,602,7752,638,3312,113,7882,082,2612,098,4842,157,6792,330,709
減価償却累計額-718,370-1,028,572-1,122,208-1,276,378-1,154,326-1,045,264-1,069,857-1,187,848-1,265,319-1,373,405
建物及び構築物(純額)3,159,7062,389,3482,277,7742,326,3971,484,0041,068,5241,012,404910,636892,360957,304
機械装置及び運搬具207,506208,221201,754211,665521,094542,134327,477316,940269,619232,443
減価償却累計額-65,172-86,970-87,227-100,345-124,813-174,838-167,003-167,794-154,164-154,414
機械装置及び運搬具(純額)142,334121,251114,527111,319396,280367,296160,473149,145115,45578,028
土地1,787,1741,412,1911,087,9341,117,701891,908841,153707,411770,242738,302738,302
リース資産1,355,6861,487,196883,873707,605824,323777,290723,038664,762574,092674,407
減価償却累計額-858,180-1,010,989-427,657-296,965-455,191-511,666-500,615-436,658-308,455-308,837
リース資産(純額)497,505476,206456,216410,639369,131265,623222,423228,103265,637365,569
建設仮勘定9,82125,94532,9994,18525,48711,89780713,40710,8288,069
その他401,032459,996442,130383,776390,552441,125440,273459,407466,824521,335
減価償却累計額-311,647-370,677-312,496-282,300-285,248-344,046-357,994-379,124-388,462-417,152
その他(純額)89,38489,318129,634101,476105,30497,07882,27880,28278,362104,183
有形固定資産合計5,685,9274,514,2624,099,0874,071,7193,272,1172,651,5732,185,7992,151,8192,100,9462,251,457
無形固定資産
その他142,32598,36360,34037,345106,889116,123119,58995,67633,50026,205
のれん418,365285,912225,387151,44895,83379,03362,23313,171--
無形固定資産合計560,691384,276285,728188,793202,722195,157181,823108,84833,50026,205
投資その他の資産
投資有価証券84,185104,56484,07471,77682,65052,82140,10068,07869,84754,472
長期貸付金12,99928,87217,0486,68334,78132,99530,89927,968-26,785
敷金及び保証金380,799413,284441,666423,321433,019437,535445,173449,300430,807403,531
繰延税金資産----143,730186,626152,833181,241173,705186,560
その他144,653114,737304,141120,97494,224132,47071,83575,13083,307110,433
繰延税金資産45,41673,31853,140159,174------
貸倒引当金---82,944-------
貸倒引当金----------
投資その他の資産合計668,055734,777817,127781,930788,406842,449740,842801,718757,668781,783
固定資産合計6,914,6755,633,3165,201,9425,042,4434,263,2473,689,1793,108,4653,062,3862,892,1153,059,446
資産合計18,233,67012,917,54311,428,15111,921,3129,495,6558,911,5528,563,5449,431,9808,837,8158,730,954
負債の部
流動負債
買掛金506,717490,095476,1361,678,783207,747219,703235,919649,7651,233,201745,256
短期借入金5,740,0002,970,0002,700,0002,150,0002,893,7201,968,0402,000,2002,737,0001,566,0001,499,000
1年内返済予定の長期借入金881,696768,028979,2931,070,5411,007,394800,9221,462,6501,037,178945,347836,735
1年内償還予定の社債---------300,000
リース債務168,222176,393169,140156,903162,638167,505124,919107,385109,931132,355
未払法人税等61,06869,381101,37059,90476,258134,44639,764148,638151,00560,927
資産除去債務2,9794,3304,4366,5862,6608,8007,5093,0099,622-
株主優待引当金---------29,190
契約負債------218,566150,065187,399130,805
その他1,111,141757,942723,152792,558700,990997,431625,806717,006613,202560,556
ポイント引当金16,02224,71219,37313,8084,1653,533----
返品調整引当金1,003380184147147147----
前受金3,562,640203,279255,364153,914178,338-----
受注損失引当金-1,046331-------
流動負債合計12,051,4915,465,5885,428,7836,083,1475,234,0604,300,5294,715,3355,550,0494,815,7104,294,826
固定負債
社債-----300,000300,000400,000400,000100,000
長期借入金4,756,9476,078,9114,598,4534,374,0842,766,5772,741,0042,399,8842,110,3261,943,7892,259,053
リース債務428,086396,845367,950325,750290,640300,554187,439178,895205,959291,363
繰延税金負債---------425
退職給付に係る負債42,43643,67953,28663,25673,47977,00688,19398,488109,688119,047
株式給付引当金----14,08715,56019,72323,27326,96728,786
資産除去債務77,87793,836102,35997,223104,369115,645111,174154,301159,115217,124
その他219,981221,529227,714215,159278,671336,512342,828294,099261,429202,471
繰延税金負債-14899-------
株式給付引当金8,42010,14910,40512,551------
固定負債合計5,533,7496,845,0995,360,2695,088,0243,527,8253,886,2843,449,2433,259,3843,106,9483,218,271
負債合計17,585,24012,310,68710,789,05211,171,1718,761,8858,186,8138,164,5788,809,4347,922,6597,513,098
純資産の部
株主資本
資本金422,996422,996422,996422,996422,996422,996422,996422,996422,996422,996
資本剰余金224,086224,086224,086224,086224,086224,086224,086206,212210,000220,914
利益剰余金213,850165,835196,381312,409288,608280,449351,215551,639816,6731,096,784
自己株式-205,063-203,078-201,541-206,117-203,172-201,763-596,094-555,930-533,844-521,213
株主資本合計655,871609,840641,924753,375732,520725,769402,205624,918915,8261,219,481
その他の包括利益累計額
その他有価証券評価差額金-4,780-69-2,824-3,2331,249-1,031-3,239-2,371-670-1,625
為替換算調整勘定-2,661-2,915--------
その他の包括利益累計額合計-7,441-2,985-2,824-3,2331,249-1,031-3,239-2,371-670-1,625
非支配株主持分----------
純資産合計648,429606,855639,099750,141733,770724,738398,965622,546915,1551,217,855
負債純資産合計18,233,67012,917,54311,428,15111,921,3129,495,6558,911,5528,563,5449,431,9808,837,8158,730,954