イーグランド

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
資産の部
流動資産
現金及び預金3,017,0943,667,1484,361,6003,447,6423,607,4035,539,9825,492,6844,793,0746,870,1337,254,458
販売用不動産5,926,2637,546,9317,334,4438,365,1988,793,7067,970,7599,551,80412,334,26412,882,60115,998,931
仕掛販売用不動産2,648,9322,168,2582,332,4743,819,3963,728,0573,654,9835,864,6297,154,5605,328,5485,233,058
貯蔵品7368019669148889191,1731,9733,1371,552
前渡金73,49967,61370,24459,369129,163150,944259,194120,097112,720263,379
前払費用93,937109,217130,469137,972123,955123,435139,565158,790140,857190,454
競売保証金141,449165,164146,93393,564235,645113,92766,81838,64067,34366,202
その他31,39510,5384,81570,6132,8706,251278,444137,2797,053184,507
貸倒引当金-117-52-4-1-4-23-486-308-308-324
繰延税金資産53,36744,01157,922-------
流動資産合計11,986,55813,779,63314,439,86715,994,66816,621,68617,561,18121,653,82924,738,37125,412,08829,192,220
固定資産
有形固定資産
建物(純額)1,121,7551,027,843934,405637,772573,8851,211,9601,085,130659,382209,329790,019
工具、器具及び備品(純額)2,0435,6858,2218,07110,36610,41810,93910,85845,70336,788
土地1,809,6681,805,5661,802,4811,082,3331,101,2231,523,6001,247,5411,609,190759,296794,613
建設仮勘定-----17,85063,52523,52523,65723,693
有形固定資産合計2,933,4672,839,0952,745,1081,728,1781,685,4752,763,8282,407,1352,302,9561,037,9871,645,114
無形固定資産
ソフトウエア13,51912,9286,8867,1614,7383,2971,33549221397
借地権----------
無形固定資産合計13,51912,9286,8867,1614,7383,2971,33549221397
投資その他の資産
関係会社株式------87,55587,55587,55587,555
出資金83,06082,06082,06082,09082,09082,10082,10042,10042,10042,070
関係会社長期貸付金---------50,000
長期前払費用5,8897,20531,78011,79010,57366,80776,26885,91459,686118,547
繰延税金資産----34,24721,03963,761103,839101,14789,932
その他26,07747,45944,26356,34360,10660,70563,79764,980111,06360,342
貸倒引当金-313-284-265-338-360-364-382-389-358-662
繰延税金資産----------
投資その他の資産合計114,713136,440157,838149,886186,657230,288373,099383,999401,195447,785
固定資産合計3,061,7002,988,4642,909,8321,885,2271,876,8712,997,4152,781,5702,687,4491,439,3962,092,997
資産合計15,048,25916,768,09817,349,69917,879,89518,498,55720,558,59624,435,40027,425,82026,851,48431,285,218
負債の部
流動負債
買掛金251,192281,635312,503334,097325,370421,046452,585555,718417,360534,583
短期借入金5,286,5485,732,2965,615,8906,363,0706,337,3805,375,1276,426,0586,925,7806,564,0308,071,348
1年内返済予定の長期借入金460,373489,158551,494634,688869,684725,258737,777758,898893,160916,293
未払金66,829107,22747,94110,09531,33718,00731,83136,43625,03629,713
未払費用25,57928,90042,03742,94542,84746,74747,30833,34841,36340,535
未払賞与70,25477,64591,23590,505-131,422211,250157,117133,819173,795
未払法人税等315,53092,477239,72246,701339,521228,897597,378393,646208,27178,439
契約負債------311,909134,10564,078107,614
預り金12,08011,45619,75119,37315,02617,02415,36716,41724,09312,681
完成工事補償引当金7,2257,37212,08212,00315,48817,31912,02914,19314,14014,238
その他38210,16838,62136215,322138,4864,0207,29590,586931
1年内償還予定の社債47,80067,80064,20044,00020,0001,020,000----
賞与引当金----119,332-----
前受金32,36544,29837,44036,47742,180149,551----
リース債務4,0632,737--------
流動負債合計6,580,2246,953,1727,072,9187,634,3198,173,4918,288,8898,847,5159,032,9558,475,9409,980,175
固定負債
長期借入金2,567,1792,466,5812,272,8492,088,0841,790,8304,060,9666,234,0727,951,7647,175,2079,681,344
役員退職慰労引当金66,89366,89366,89366,89366,89357,74957,74957,74957,74957,749
その他85,78566,89440,11241,18240,86149,21369,25678,63359,68272,134
社債348,0001,380,2001,316,0001,272,0001,020,000-----
繰延税金負債----------
繰延税金負債59,04360,12155,0471,502------
リース債務2,737---------
固定負債合計3,129,6384,040,6893,750,9033,469,6622,918,5844,167,9296,361,0778,088,1467,292,6389,811,227
負債合計9,709,86310,993,86110,823,82111,103,98111,092,07512,456,81815,208,59317,121,10215,768,57819,791,402
純資産の部
株主資本
資本金831,145832,495832,495832,495832,495836,528836,528836,528836,528836,528
資本剰余金
資本準備金806,145807,495807,495807,495807,495811,528811,528811,528811,528811,528
その他資本剰余金--5,9225,9225,9225,92221,46221,46221,46224,362
資本剰余金合計806,145807,495813,417813,417813,417817,451832,990832,990832,990835,891
利益剰余金
利益準備金3,6603,6603,6603,6603,6603,6603,6603,6603,6603,660
その他利益剰余金
固定資産圧縮積立金152,210149,064145,918142,761139,604136,447148,85715,56715,56715,567
繰越利益剰余金3,515,3634,035,6024,730,5664,983,7595,617,4846,315,9207,580,9538,991,1629,769,43310,156,620
利益剰余金合計3,671,2344,188,3264,880,1455,130,1805,760,7496,456,0287,733,4709,010,3899,788,66010,175,848
自己株式--99,942-46,042-46,042-46,042-46,042-213,995-413,003-413,087-392,265
株主資本合計5,308,5245,728,3736,480,0156,730,0517,360,6198,063,9659,188,99410,266,90511,045,09211,456,002
新株予約権29,87145,86245,86245,86245,86237,81237,81237,81237,81237,812
純資産合計5,338,3955,774,2366,525,8776,775,9137,406,4828,101,7789,226,80710,304,71811,082,90511,493,815
負債純資産合計15,048,25916,768,09817,349,69917,879,89518,498,55720,558,59624,435,40027,425,82026,851,48431,285,218