ビーロット

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

2015-12千円
2016-12千円
2017-12千円
2018-12千円
2019-12千円
2020-12百万円
2021-12百万円
2022-12百万円
2023-12百万円
2024-12百万円
資産の部
流動資産
現金及び預金2,106,9802,467,1124,855,2116,063,9537,153,98211,57112,1989,95010,36712,273
売掛金22,906109,716117,76295,76176,532136130252268240
営業投資有価証券---412,0296,0801,0401,0401,256429526
販売用不動産-1,070,1004,715,6956,847,3042,586,82613,09315,95423,84425,49019,642
仕掛販売用不動産6,069,68810,322,5836,642,5807,653,14517,316,47913,83613,58115,0219,98713,512
前渡金----1,769,193860313250403487
その他125,857117,629401,829587,662972,7281,2361,4231,5051,6301,804
貸倒引当金------300-300-300-315-315
繰延税金資産17,85418,28327,99866,458------
流動資産合計8,343,28614,105,42616,761,07721,726,31429,881,82341,47644,34251,78148,26348,171
固定資産
有形固定資産
建物(純額)644,235642,496418,455452,3391,017,8731,0189749424,3314,137
機械及び装置(純額)--------695595
土地167,240176,613164,4289,3739,373152728147410
その他(純額)10,39212,61312,656117,86630,963404440125109
建設仮勘定-------28--
有形固定資産合計821,867831,724595,540579,5791,058,2101,0751,0451,0405,2995,253
無形固定資産
借地権659,133659,233659,233659,233659,2336596596591,1571,157
のれん-143,784155,675256,018217,895263215171140122
その他829,8319,9158,96138,3734539262521
無形固定資産合計659,215812,849824,824924,213915,5019689148571,3231,300
投資その他の資産
繰延税金資産-----466823726797693
その他149,905833,631793,535960,9951,535,0141,9411,6041,5851,5461,475
繰延税金資産1,0991,131103,63242,563141,513-----
投資その他の資産合計151,005834,763897,1681,003,5591,676,5272,4072,4282,3122,3432,168
固定資産合計1,632,0892,479,3372,317,5322,507,3513,650,2394,4514,3884,2108,9678,722
繰延資産
社債発行費9,18341,08031,07534,96623,84534231397
繰延資産合計9,18341,08031,07534,96623,84534231397
資産合計9,984,55916,625,84319,109,68624,268,63333,555,90845,96148,75356,00557,24056,900
負債の部
流動負債
短期借入金930,5002,713,1854,035,0793,003,4906,216,9865,4275,5147,4022,4943,869
1年内返済予定の長期借入金305,9361,420,2693,735,6901,038,8542,460,7905,34710,1176,2199,8576,789
1年内償還予定の社債60,000155,700245,900413,900413,7008703001991001,130
未払法人税等219,053175,347551,372542,007774,8771451599061,2521,227
契約負債-------721620437
賞与引当金-28,75223,49222,44920,68591222
その他318,356481,723546,0981,024,9991,206,2782,0651,7061,5662,4192,686
役員賞与引当金---12,000--0---
アフターコスト引当金2,4843,907--------
流動負債合計1,836,3294,978,8869,137,6326,057,70111,093,31913,86617,79817,01816,74716,144
固定負債
長期借入金5,096,6626,759,8694,512,01610,462,74913,111,40322,53519,00025,36623,53022,360
社債510,0001,948,0501,265,3501,517,4501,103,7501,4331,2331,0331,133202
その他110,162119,65676,52795,95393,0058787543788522
繰延税金負債--108,998108,998------
固定負債合計5,716,8248,827,5765,962,89212,185,15014,308,15924,05620,32126,94325,45223,085
負債合計7,553,15413,806,46315,100,52518,242,85225,401,47837,92338,12043,96142,20039,230
純資産の部
株主資本
資本金932,082943,672944,6951,024,0171,034,2201,0561,9921,9921,9921,992
資本剰余金853,097864,687865,710945,0321,043,7131,0652,0172,0482,0822,172
利益剰余金647,6371,236,0202,421,4214,231,8036,254,5296,1016,7948,11411,02213,987
自己株式--223,466-223,698-223,698-181,587-181-221-227-495-584
株主資本合計2,432,8172,820,9134,008,1295,977,1548,150,8758,04210,58311,92814,60217,568
その他の包括利益累計額
為替換算調整勘定-2,210-2,331234-3,035-8,877-160325172
その他の包括利益累計額合計-2,210-2,331234-3,035-8,877-160325172
新株予約権7987987989,202417026536218
非支配株主持分---42,45912,01412222932311
純資産合計2,431,4052,819,3804,009,1616,025,7818,154,4298,03810,63212,04315,04017,670
負債純資産合計9,984,55916,625,84319,109,68624,268,63333,555,90845,96148,75356,00557,24056,900