オープンハウスグループ

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

2016-09百万円
2017-09百万円
2018-09百万円
2019-09百万円
2020-09百万円
2021-09百万円
2022-09百万円
2023-09百万円
2024-09百万円
2025-09百万円
資産の部
流動資産
現金及び預金67,50890,910119,053135,354219,227337,731349,305401,879409,957421,898
営業未収入金及び契約資産------2,1984,77619,04821,210
販売用不動産34,43419,54247,23870,45764,37290,40295,717147,857198,422167,551
仕掛販売用不動産83,112125,351186,033179,596172,914337,726461,388493,398485,757602,444
営業貸付金5,7086,05614,24428,92437,46336,87843,26249,30164,53071,536
その他4,1734,86110,12710,16712,78726,42130,12834,10521,70228,755
貸倒引当金-151-178-172-232-262-362-344-549-815-582
営業未収入金5779251,2914986201,929----
繰延税金資産1,4289591,926-------
流動資産合計196,792248,429379,744424,766507,123830,727981,6561,130,7691,198,6021,312,814
固定資産
有形固定資産
建物及び構築物2,5653,1194,1544,0774,4305,8156,3577,0129,7858,394
減価償却累計額-971-1,108-1,390-1,359-1,578-2,079-2,417-2,426-3,638-3,495
建物及び構築物(純額)1,5932,0102,7642,7182,8513,7353,9394,5856,1474,898
賃貸不動産-----15,47915,14921,97522,35423,006
減価償却累計額------1,025-1,035-1,444-1,815-1,580
賃貸不動産(純額)-----14,45414,11320,53020,53821,425
土地8738302,4031,8451,7782,4182,2772,2783,0392,940
その他6827899511,1831,2581,9132,2172,5213,7373,953
減価償却累計額-498-516-644-755-877-1,223-1,424-1,459-2,240-2,601
その他(純額)1842733064273816897921,0611,4961,352
有形固定資産合計2,6513,1135,4744,9905,01021,29721,12328,45631,22130,617
無形固定資産1,3891,2993,5153,4563,0803,0312,9252,6902,4932,277
投資その他の資産
投資有価証券1,6071,6431,4357,08447,25513,17113,27120,95533,37147,296
繰延税金資産----3,0326,2725,1508,3458,67111,200
その他2,2622,1943,2763,1213,5295,4307,0667,4688,0778,309
貸倒引当金---18-22-18-18-18-18-346-513
繰延税金資産10131682,475------
投資その他の資産合計3,9723,8414,86112,65953,79824,85625,47036,75149,77366,291
固定資産合計8,0138,25513,85221,10661,89049,18549,51867,89883,48899,186
繰延資産
社債発行費6251403124-----
繰延資産合計6251403124-----
資産合計204,868256,736393,637445,904569,038879,9131,031,1741,198,6681,282,0901,412,001
負債の部
流動負債
支払手形--4,5574,2574,8311,1661,2381,6311,834357
営業未払金8,87410,65214,80316,91317,52520,85031,22034,92942,07043,785
電子記録債務-----4,7138,10411,86010,0216,482
短期借入金34,93741,854111,58389,933103,930104,684144,309182,734171,610191,226
1年内償還予定の社債58256253237224224224210,242494110
1年内返済予定の長期借入金8,4588,69618,75612,9768,91257,14239,26238,45744,41670,292
未払法人税等6,5945,2059,71311,46110,83118,23920,29222,51812,51225,729
契約負債------35,85432,68127,36630,364
預り保証金1,9841,1511,2801,2501,2481,7682,7893,7092,8293,253
賞与引当金1,1351,4671,9622,4042,7733,6554,6694,6044,9416,914
完成工事補償引当金6106457659329981,0391,1391,3951,5221,602
その他3,7884,8417,8937,7939,88915,78120,37328,76029,13832,797
前受金7,3247,53510,55614,05315,53126,953----
繰延税金負債--262-------
流動負債合計74,28882,613182,668162,348176,713256,237309,495373,526348,758412,916
固定負債
社債2,5551,9931,4611,08984710,60510,36312114,78914,685
長期借入金63,79288,64195,619143,972157,347264,502314,784343,582380,461443,748
退職給付に係る負債1112300326328311318326817103
資産除去債務817992100105150211230328307
繰延税金負債-----121--29-
その他3-0--5832984649861,405
株式給付引当金-----257----
繰延税金負債52176-------
固定負債合計66,49590,74397,482145,488158,628276,532325,976344,725397,412460,250
負債合計140,784173,357280,150307,837335,342532,769635,472718,251746,171873,167
純資産の部
株主資本
資本金3,9824,0324,0944,23419,74119,93920,07020,11020,14920,235
資本剰余金5,8835,9344,4818,20628,87729,06819,88219,76719,44232,821
利益剰余金55,72376,038103,324134,627186,047244,248286,286361,583433,547514,871
自己株式-1,852-3,102-6,102-8,80600-18-18-19,896-44,895
株主資本合計63,73682,902105,798138,261234,666293,256326,221401,443453,243523,033
その他の包括利益累計額
その他有価証券評価差額金58158712-3442-13034
為替換算調整勘定-3360342-517-1,19554011,43414,36810,83414,557
その他の包括利益累計額合計-2868358-508-1,18855211,39914,41110,70414,592
新株予約権375408388314217551474752773998
非支配株主持分--6,941--52,78257,60663,80871,198209
純資産合計64,08483,379113,486138,067233,695347,143395,702480,416535,919538,834
負債純資産合計204,868256,736393,637445,904569,038879,9131,031,1741,198,6681,282,0901,412,001