SDエンターテイメント

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

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
2026-03千円
資産の部
流動資産
現金及び預金847,9191,454,3441,060,7381,349,236898,863900,9031,463,040996,848858,375486,6371,025,095
売掛金331,002355,269520,055269,955211,094219,849156,767140,943200,314305,430387,314
商品--45,48830,79125,28416,25523,74729,97999,953110,47561,465
貯蔵品--89,71724,69225,32112,58418,99810,0579,72710,00110,847
その他177,589158,409248,438584,866236,434293,782184,639132,492251,799451,823312,679
貸倒引当金-2,070-1,272-2,395-931-1,188-1,304-705-466-800-1,184-1,465
未収還付法人税等---11,398178,16217,0625,038-15,346--
繰延税金資産64,11580,95042,889--------
商品及び製品37,63543,433---------
原材料及び貯蔵品89,49982,276---------
流動資産合計1,545,6912,173,4122,004,9342,270,0081,573,9731,459,1341,851,5261,309,8541,434,7151,363,1841,795,936
固定資産
有形固定資産
建物及び構築物9,091,0959,356,3539,757,5406,584,2696,306,6126,580,0213,643,1833,644,4143,584,3473,641,0163,805,723
減価償却累計額-6,132,399-6,203,109-6,328,616-4,335,122-4,247,835-4,387,244-2,212,474-2,315,300-2,355,656-2,453,407-2,597,132
建物及び構築物(純額)2,958,6963,153,2443,428,9242,249,1462,058,7772,192,7771,430,7091,329,1141,228,6911,187,6091,208,591
機械装置及び運搬具468,471481,737501,50218,5196,7385,9614,321200200492492
減価償却累計額-433,813-439,421-446,731-12,272-6,656-5,700-4,209-156-200-252-416
機械装置及び運搬具(純額)34,65842,31654,7706,2478226011144-23975
アミューズメント機器2,443,0962,173,3321,987,715421,95841,84341,84340,59223,75213,04613,04613,046
減価償却累計額-2,163,256-1,935,208-1,800,972-309,279-32,447-38,253-40,592-23,752-13,046-13,046-13,046
アミューズメント機器(純額)-----------
アミューズメント機器(純額)279,840238,124186,742112,6799,3953,589-----
工具、器具及び備品758,014784,602846,292374,919261,696255,078213,589224,332235,631284,839348,173
減価償却累計額-629,461-634,227-672,517-287,739-189,228-192,497-172,285-158,658-173,544-204,859-247,830
工具、器具及び備品(純額)128,553150,374173,77487,18072,46862,58141,30365,67462,08679,980100,343
土地2,670,8172,670,8172,670,8172,056,7242,056,7242,056,7241,117,1481,117,1481,117,1481,117,1481,117,148
リース資産748,161861,984944,122155,495114,172140,906138,590111,89098,32689,04649,428
減価償却累計額-333,016-367,914-440,038-89,038-54,619-39,648-57,887-56,646-64,556-69,175-40,981
リース資産(純額)415,144494,069504,08366,45659,553101,25780,70255,24333,77019,8708,447
建設仮勘定9,0002,1253,00013,92520,44029,866-----
有形固定資産合計6,496,7106,751,0727,022,1134,592,3604,277,4424,447,0562,669,9762,567,2252,441,6962,404,8482,434,606
無形固定資産
のれん164,872142,266119,77497,44075,10752,77330,44013,5447,52487,09576,337
その他67,60179,543110,74595,70260,07656,52229,60514,08812,81115,1579,984
無形固定資産合計232,474221,810230,520193,143135,183109,29660,04527,63220,336102,25286,321
投資その他の資産
投資有価証券25,87824,04939,64033,54721,72426,67619,45522,38818,09014,90417,847
長期貸付金122,254185,837155,008123,58591,79959,64742,30833,47324,59915,6886,737
差入保証金1,133,587922,483939,737869,466788,254796,587814,108428,088273,054277,887304,740
繰延税金資産----12,43914,24015,26216,05812,85413,18622,849
その他90,78993,70793,07851,10837,48441,84228,18817,56413,89815,16624,630
繰延税金資産---13,035-------
投資その他の資産合計1,372,5101,226,0781,227,4641,090,742951,703938,993919,323517,572342,497336,832376,805
固定資産合計8,101,6958,198,9618,480,0975,876,2465,364,3295,495,3453,649,3453,112,4302,804,5302,843,9322,897,732
繰延資産
社債発行費65,51976,40782,54641,96129,85221,8583,2752,070865186-
繰延資産合計65,51976,40782,54641,96129,85221,8583,2752,070865186-
資産合計9,712,90710,448,78110,567,5788,188,2166,968,1556,976,3395,504,1464,424,3554,240,1114,207,3044,693,669
負債の部
流動負債
買掛金286,123292,272256,441193,802108,016107,99495,90095,39977,544125,858143,989
短期借入金120,27067,90050,000760,0001,360,0001,350,0001,350,0001,200,0001,210,0001,200,0001,260,000
1年内償還予定の社債812,800979,2001,067,200477,000354,000287,20037,80037,80027,80011,200-
1年内返済予定の長期借入金659,804555,423499,153298,767298,582390,734201,496329,117225,903190,298135,788
リース債務202,305225,041263,08037,19122,99124,48723,30518,46815,74112,7226,940
未払金547,840473,190479,041754,364362,587499,697308,780116,371137,420119,533145,043
未払法人税等58,74929,78993,276415,67277,80574,93690,66466,47541,78746,60278,157
前受金------18,8157,4006,83813,1135,013
賞与引当金---14,23640,19932,41449,16752,50639,41249,03762,533
株主優待引当金---45,09023,00020,90020,90019,40020,00017,00017,000
店舗閉鎖損失引当金---92,597------1,553
その他277,643282,651312,868362,289216,235200,072256,607185,690218,578218,300224,195
転貸損失引当金-------72,439---
1年内返済予定の長期未払金100,860197,752223,17455,57726,0092,346-----
ポイント引当金8,90016,60834,632--------
流動負債合計3,075,2973,119,8293,278,8673,506,5892,889,4262,990,7842,453,4362,201,0692,021,0262,003,6672,080,215
固定負債
長期借入金1,768,9291,687,5921,514,569936,226779,1751,493,6241,112,229603,112532,909467,075596,286
リース債務255,033310,257282,97354,00747,58985,36064,69643,14021,8099,0862,146
繰延税金負債----15,54416,69313,83112,79813,70513,00323,073
資産除去債務148,466161,800161,394141,729147,686173,699163,709109,393106,86791,521140,509
その他89,67186,88183,34687,30278,84281,77149,34341,16339,40038,09348,869
社債2,028,2002,471,5002,752,8001,265,300911,300624,10076,80039,00011,200--
長期未払金145,562233,86196,96842,1782,346------
繰延税金負債57,04763,50766,06930,296-------
固定負債合計4,492,9105,015,3994,958,1222,557,0391,982,4852,475,2491,480,609848,608725,892618,779810,884
負債合計7,568,2078,135,2298,236,9906,063,6294,871,9115,466,0333,934,0463,049,6772,746,9182,622,4472,891,100
純資産の部
株主資本
資本金155,403227,101227,101227,101227,101227,101227,101100,000100,000100,000100,000
資本剰余金1,862,5811,935,3051,935,3051,926,3511,926,3511,581,3621,581,3621,173,6621,173,662808,245808,245
利益剰余金133,289153,597165,414-25,176-59,018-304,537-239,90097,203215,144674,382890,163
自己株式-12,657-9,684-9,684-9,684-9,684-9,684-9,684-9,684-9,684-9,684-9,684
株主資本合計2,138,6162,306,3192,318,1362,118,5912,084,7491,494,2411,558,8791,361,1821,479,1231,572,9441,788,725
その他の包括利益累計額
その他有価証券評価差額金1,0257,23212,4525,99511,49416,06411,22113,49414,06911,91313,843
その他の包括利益累計額合計1,0257,23212,4525,99511,49416,06411,22113,49414,06911,91313,843
新株予約権5,058----------
純資産合計2,144,6992,313,5512,330,5882,124,5862,096,2431,510,3051,570,1001,374,6771,493,1921,584,8571,802,568
負債純資産合計9,712,90710,448,78110,567,5788,188,2166,968,1556,976,3395,504,1464,424,3554,240,1114,207,3044,693,669