東武住販

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

2016-05千円
2017-05千円
2018-05千円
2019-05千円
2020-05千円
2021-05千円
2022-05千円
2023-05千円
2024-05千円
2025-05千円
資産の部
流動資産
現金及び預金519,992438,824457,5831,003,995709,3421,138,533883,782871,689891,5781,155,243
売掛金27,40425,01223,66227,76030,26935,47844,13633,91433,80629,641
販売用不動産1,352,9911,697,9762,148,3881,523,9172,433,5772,145,9162,304,1052,481,9803,193,6183,009,467
仕掛販売用不動産等693,949829,059967,4351,234,5861,487,589881,6591,193,5561,386,2961,203,820941,242
商品4,3592,2562,1291,2951,8468287011,1411,049735
貯蔵品3,0214,1774,6933,5023,5744,1684,4943,4843,9354,978
前渡金29,48133,20418,50029,93525,69064,00936,80340,60849,75645,566
前払費用12,49415,16720,73324,63223,76133,90423,93048,93625,59821,625
その他6,3796,83111,8779,79128,74817,71037,77212,11334,28419,545
貸倒引当金-170-130-129-34--1,508----
繰延税金資産26,96229,68135,512-------
流動資産合計2,676,8653,082,0613,690,3863,859,3844,744,4014,320,7014,529,2844,880,1665,437,4495,228,045
固定資産
有形固定資産
建物260,046275,794292,619306,832316,018472,484487,067478,513494,038560,335
減価償却累計額-108,386-117,713-128,534-140,122-149,101-130,570-144,874-159,743-177,084-203,061
建物(純額)151,660158,080164,085166,709166,917341,913342,192318,769316,953357,273
構築物12,28014,34015,57014,2079,78312,19412,01912,71910,35210,352
減価償却累計額-6,397-7,508-8,887-9,428-7,764-7,976-8,452-9,043-7,131-7,489
構築物(純額)5,8836,8316,6824,7792,0184,2173,5673,6763,2202,862
車両運搬具16,57016,57015,77815,77815,62915,62914,67314,72211,31014,378
減価償却累計額-6,635-10,128-11,481-12,913-13,317-14,654-14,542-14,021-10,889-9,044
車両運搬具(純額)9,9356,4424,2972,8652,3119741307014215,333
工具、器具及び備品38,58140,43845,97553,10155,53849,17957,80067,20372,13580,073
減価償却累計額-32,455-35,201-37,974-42,544-45,601-37,533-42,958-52,167-59,558-64,434
工具、器具及び備品(純額)6,1255,2378,00010,5569,93611,64614,84215,03612,57615,639
土地178,976191,925229,010235,834244,380271,680292,840275,303345,772341,482
リース資産10,62010,62010,62010,62010,62010,62010,62010,62010,620-
減価償却累計額-8,142-10,266-10,620-10,620-10,620-10,620-10,620-10,620-10,620-
リース資産(純額)2,478354--------
建設仮勘定----60,533-----
有形固定資産合計355,059368,871412,076420,744486,098630,432653,574613,487678,943722,592
無形固定資産
ソフトウエア4,0187,5688,57654,82242,42730,21927,74515,61011,5518,199
リース資産2,7725,3793,8202,26188768----
無形固定資産合計6,79012,94812,39657,08443,31530,28727,74515,61011,5518,199
投資その他の資産
投資有価証券21,63023,75025,05023,07022,65023,92025,58027,87534,48533,435
出資金180180280280280280280280280280
破産更生債権等9018077135794954618097551,2191,037
長期前払費用2,9532,10845,13235,49425,64830,12015,4068,9863,5482,642
繰延税金資産----53,04366,25967,58274,86977,33798,080
その他1371371371371377246,88047,30447,49447,184
貸倒引当金-775-693-611-489-417-395-756-714-1,190-1,020
敷金及び保証金53,13454,75956,82260,25361,85062,372----
繰延税金資産14,48114,84115,40857,021------
投資その他の資産合計92,64395,890142,932176,347163,687183,089155,783159,357163,175181,639
固定資産合計454,492477,710567,405654,176693,101843,810837,102788,455853,670912,430
資産合計3,131,3583,559,7714,257,7914,513,5605,437,5025,164,5115,366,3875,668,6216,291,1196,140,476
負債の部
流動負債
買掛金110,791102,641153,41787,079146,480111,907174,699142,272132,197107,122
短期借入金16,800296,800526,80016,8001,035,100256,800336,80066,800496,76058,380
1年内返済予定の長期借入金265,146207,018174,586257,223234,672224,546188,616187,796240,733242,328
未払金53,24861,89566,00672,85670,25065,81779,25771,17464,67361,258
未払費用98,85297,23997,507107,082106,39097,354108,999104,157105,234126,809
未払法人税等96,25893,635121,03493,97941,397146,62890,624103,55517,803138,337
前受金14,48419,69216,66115,19717,76824,46119,76012,53618,78713,250
預り金61,40161,01563,97572,03281,86570,81771,89779,03185,168105,433
前受収益2,6692,9443,0482,9202,9743,4503,6563,3823,8273,732
完成工事補償引当金3,6005,3006,1007,1005,7005,6005,2007,4006,3007,700
その他6,46532121346,39821989,60320622,58716473,322
リース債務3,0282,2411,6831,616885147----
流動負債合計732,746950,7461,231,034780,2881,743,7031,097,1341,079,717800,6941,171,649937,673
固定負債
長期借入金345,759229,779315,185672,702481,907503,644405,032669,119796,689567,956
退職給付引当金-----22,49233,42440,15146,60851,341
資産除去債務63,28068,76569,72871,83273,25162,98263,71264,74965,004136,021
その他18,64218,63218,61818,38517,71518,58019,60719,62519,72619,460
リース債務2,8864,3332,6491,032147-----
固定負債合計430,567321,510406,181763,952573,022607,699521,776793,645928,027774,779
負債合計1,163,3141,272,2561,637,2151,544,2402,316,7251,704,8341,601,4931,594,3392,099,6771,712,453
純資産の部
株主資本
資本金302,889302,889302,889302,889302,889302,889302,889302,889302,889302,889
資本剰余金
資本準備金258,039258,039258,039258,039258,039258,039258,039258,039258,039258,039
その他資本剰余金-----5515516,4606,4606,460
資本剰余金合計258,039258,039258,039258,039258,039258,590258,590264,499264,499264,499
利益剰余金
利益準備金1,8701,8701,8701,8701,8701,8701,8701,8701,8701,870
その他利益剰余金
別途積立金320,000320,000320,000320,000320,000320,000320,000320,000320,000320,000
繰越利益剰余金1,082,9931,401,0851,733,3412,083,4622,278,3092,590,0142,894,1183,179,4283,292,0113,529,441
利益剰余金合計1,404,8631,722,9552,055,2112,405,3322,600,1792,911,8843,215,9883,501,2983,613,8813,851,311
自己株式-254-323-415-415-43,513-17,752-17,794-1,220-1,220-1,220
株主資本合計1,965,5372,283,5602,615,7242,965,8453,117,5943,455,6123,759,6744,067,4664,180,0504,417,479
評価・換算差額等
その他有価証券評価差額金2,5063,9544,8513,4743,1824,0655,2196,81511,39110,543
評価・換算差額等合計2,5063,9544,8513,4743,1824,0655,2196,81511,39110,543
純資産合計1,968,0432,287,5152,620,5752,969,3193,120,7763,459,6773,764,8934,074,2824,191,4414,428,023
負債純資産合計3,131,3583,559,7714,257,7914,513,5605,437,5025,164,5115,366,3875,668,6216,291,1196,140,476