フォーライフ

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

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
2026-03千円
資産の部
流動資産
現金及び預金1,099,0451,531,8591,642,9761,340,6402,161,9232,029,2902,658,7072,446,2123,222,5563,345,343
契約資産-----367,496290,290194,714251,716249,980
販売用不動産401,354339,952512,428403,212531,909972,182602,963958,189700,360893,417
仕掛販売用不動産1,468,8431,892,0312,172,7402,744,5993,202,5563,705,3454,233,5943,256,6574,896,5095,463,887
前渡金29,87736,02850,01255,16265,13081,68073,64399,867122,750104,315
前払費用20,46930,94228,60525,49535,17142,76040,43835,60647,18252,048
その他5913,0115,19523,3631,46946,32355,14011,29037,84266,265
未収還付法人税等------21,40463--
完成工事未収入金-54,937100,293291,974276,819-----
未成工事支出金103,081---------
繰延税金資産17,14623,369--------
流動資産合計3,139,8783,922,1314,512,2534,884,4486,274,9797,245,0797,976,1817,002,6009,278,91810,175,259
固定資産
有形固定資産
建物90,458132,114132,590132,590135,337141,705153,568590,407159,074116,905
車両運搬具25,60827,74930,07333,09934,64935,97142,18142,18143,39246,687
工具、器具及び備品18,04327,28029,79034,35934,75241,90446,98751,66354,60449,700
土地134,958134,958134,958134,958134,958134,958251,957251,979134,958134,958
建設仮勘定-----8,94450,032--5,289
減価償却累計額-40,947-58,042-88,795-110,004-124,146-132,356-148,625-157,394-166,693-127,302
有形固定資産合計228,120264,059238,616225,001215,550231,126396,100778,836225,336226,239
無形固定資産
ソフトウエア9,1569,4737,4169,40211,0448,8376,9254,2368,47211,295
無形固定資産合計9,1569,4737,4169,40211,0448,8376,9254,2368,47211,295
投資その他の資産
長期前払費用2,2281,7401,1074675,9655,7317,4663,9972,2122,988
繰延税金資産---39,95341,38347,54753,44949,07763,48259,131
その他18,42728,68027,41225,47629,27038,93531,93746,53540,43846,265
繰延税金資産2,3453,72726,530-------
投資その他の資産合計23,00034,14855,05065,89676,62092,21592,85499,610106,132108,385
固定資産合計260,277307,681301,083300,300303,215332,179495,880882,683339,941345,920
資産合計3,400,1554,229,8124,813,3375,184,7496,578,1947,577,2588,472,0627,885,2839,618,86010,521,179
負債の部
流動負債
買掛金220,134349,640302,445440,010437,263542,504606,773422,140613,626649,255
短期借入金500,0001,176,5001,539,0001,588,0001,990,0002,692,0003,462,0002,842,5004,171,0004,807,750
1年内返済予定の長期借入金18,0001,500--120,204120,204281,764216,08873,91370,560
リース債務1,7802,5472,7793,1672,9953,3413,5173,3373,4033,349
未払金33,75748,41348,51247,56954,65868,46682,19386,79885,45399,040
未払法人税等119,26940,21325,15988,439155,889153,4207,75012,458278,538105,625
契約負債-----183,462108,312113,543135,483205,104
預り金4,8419,63211,0647,4308,6759,08810,08720,59735,55724,459
賞与引当金44,66464,31757,17770,20678,66089,280110,614124,120132,950154,190
株主優待引当金----1,6561,5782,6112,8342,8803,094
その他24,2101388911778115144134115171
1年内償還予定の社債60,00060,000100,00080,00080,00060,00030,000---
前受金109,92295,312101,262156,532215,797-----
流動負債合計1,136,5801,848,2152,187,4902,481,4733,145,8773,923,4604,705,7683,844,5525,532,9206,122,599
固定負債
長期借入金----512,925392,721398,157564,633104,52033,960
リース債務4,3905,3633,5609,9206,9259,1366,3132,9757,5496,382
その他--441,220813-4747--
社債140,00080,000250,000170,00090,00030,000----
退職給付引当金1,038911--------
固定負債合計145,42986,275253,604181,141610,664431,857404,517567,655112,06940,342
負債合計1,282,0101,934,4902,441,0952,662,6153,756,5424,355,3175,110,2864,412,2075,644,9906,162,941
純資産の部
株主資本
資本金154,880154,880154,880154,880154,880154,880154,880154,880154,880154,880
資本剰余金
資本準備金104,880104,880104,880104,880104,880104,880104,880104,880104,880104,880
利益剰余金
利益準備金1,5309,5299,5299,5299,5299,5299,5299,5299,5299,529
その他利益剰余金
繰越利益剰余金1,856,9692,026,5752,103,4952,253,4362,553,0512,953,3383,093,1733,204,4733,705,2674,089,635
利益剰余金合計1,858,4992,036,1052,113,0252,262,9662,562,5802,962,8683,102,7033,214,0033,714,7974,099,165
自己株式-114-543-543-591-687-687-687-687-687-687
資本剰余金合計104,880104,880104,880104,880104,880104,880104,880104,880104,880104,880
株主資本合計2,118,1452,295,3222,372,2422,522,1342,821,6523,221,9403,361,7753,473,0753,973,8694,358,237
純資産合計2,118,1452,295,3222,372,2422,522,1342,821,6523,221,9403,361,7753,473,0753,973,8694,358,237
負債純資産合計3,400,1554,229,8124,813,3375,184,7496,578,1947,577,2588,472,0627,885,2839,618,86010,521,179