イオン北海道

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

2016-02百万円
2017-02百万円
2018-02百万円
2019-02百万円
2020-02百万円
2021-02百万円
2022-02百万円
2023-02百万円
2024-02百万円
2025-02百万円
2026-02百万円
資産の部
流動資産
現金及び預金4,4673,3952,7072,2052,7466,3023,7713,9043,8384,3705,558
売掛金620602625631480461384461430564710
商品14,68914,74214,91815,08415,14317,79817,55617,81117,64318,83719,639
貯蔵品201177176219211239250246281303288
前渡金303440---3027-0-
前払費用6345695565375719749271,0351,1051,1341,135
未収入金4,8824,9835,0075,1955,7289,0758,7999,55110,45812,16512,968
未収消費税等------731--11-
1年内回収予定の差入保証金695370272726154164110583529
その他3029232417322639262622
貸倒引当金-17-10-6-5-4-5-5-3-2-2-3
受取手形900--------
繰延税金資産713570501587-------
流動資産合計26,95725,46524,57924,50824,92135,03332,63733,18433,84037,44640,349
固定資産
有形固定資産
建物78,20075,66276,39878,56783,755105,587114,759114,472118,968130,340135,331
減価償却累計額-45,742-44,456-46,567-48,649-50,805-65,285-68,119-68,457-71,646-75,122-79,107
建物(純額)32,45731,20529,83129,91832,94940,30146,63946,01547,32155,21856,224
構築物4,9654,9275,1175,0955,1607,2978,0078,5468,9869,8109,950
減価償却累計額-3,968-3,943-4,058-4,079-4,176-5,642-5,837-5,978-6,253-6,564-6,899
構築物(純額)9969831,0591,0159831,6552,1692,5672,7333,2463,051
機械及び装置------2,1412,1412,1412,1752,142
減価償却累計額-----------996
機械及び装置(純額)----------1,145
工具、器具及び備品12,80513,46014,13715,04615,69223,42324,84626,44928,80233,46735,345
減価償却累計額-8,934-9,417-10,002-10,681-10,829-16,254-17,059-18,081-18,902-20,261-21,924
工具、器具及び備品(純額)3,8714,0424,1354,3654,8627,1687,7878,3679,89913,20513,421
土地23,73122,74622,37628,35329,46337,62237,26037,16937,00846,56650,432
リース資産465367275262255768744677646641628
減価償却累計額-293-263-206-224-238-459-456-407-395-408-414
リース資産(純額)172103683816309288269251233214
建設仮勘定12131852137447177293362335347
減価償却累計額-------430-573-716-858-
機械及び装置(純額)------1,7101,5671,4241,317-
有形固定資産合計61,24159,09457,48863,74368,41387,50496,03396,25199,001120,123124,836
無形固定資産
のれん-----2299971-3,7233,511
借地権1,2681,1901,1131,1741,0951,0971,0601,0371,0211,8131,800
借家権1191101019182841,9751,8101,6391,4641,296
施設利用権35261798323732364129
ソフトウエア526994152147237355306308382400
その他19418417215914814713411910693147
無形固定資産合計1,6691,5811,4981,5881,4831,8283,6613,3783,1127,5197,186
投資その他の資産
投資有価証券3434733973432553503433945040-
出資金00000000000
長期前払費用3120166837537121,1251,3961,2291,099
前払年金費用3472943094605291,4871,6551,8371,9942,219707
繰延税金資産-----5,3105,2245,0215,0686,8797,800
長期債権----------637
差入保証金9,5509,1839,1609,1259,16312,84012,67812,58912,51812,41012,301
その他2071971861831771821771013520210
貸倒引当金-9,185-6,444-1,582-1,556-1,530-1,702-1,681-1,650-1,648-1,485-1,445
長期債権9,4366,584581555529676650821796677-
長期貸付金18218-------
繰延税金資産3,2842,0702,1492,1722,916------
投資その他の資産合計14,01612,38711,24111,29912,12419,89819,76220,15120,31222,17321,110
固定資産合計76,92773,06470,22876,63182,020109,231119,456119,781122,427149,815153,134
資産合計103,88598,52994,807101,140106,942144,264152,094152,966156,268187,262193,483
負債の部
流動負債
支払手形1,279814830624644683646710696716728
電子記録債務1,6471,8652,2532,5332,4412,8082,4762,9352,6502,6912,881
買掛金15,44815,44915,31815,08715,91428,60024,74123,86924,84826,53730,088
短期借入金5,8005,5002,3808,6005,9009,80015,6009,30010,90016,0007,900
1年内返済予定の長期借入金6,0524,9124,1123,2753,4502,9333,9604,3544,1957,60010,800
リース債務838644352544119101112
未払金3,0623,3503,0583,3473,2475,3995,4685,9375,6656,6666,831
未払消費税等7007866465396051,602-1,576634-1,920
未払費用1,4961,4901,4831,4881,4862,3142,2972,3242,5162,7482,870
未払法人税等1,7999713822,0491,2811,5053401,7771,6097662,205
前受金1732352532401642732991691088360
預り金3,7533,5763,3693,5546,1846,7633,3274,1414,3844,5607,578
前受収益------319285323265220
賞与引当金5265355365535571,0151,0021,0121,0811,1041,155
役員業績報酬引当金----------24
店舗閉鎖損失引当金22---------205
資産除去債務174----36-26-106-
設備関係支払手形2,1191,2931,4661,5762,3042,1455,9494,3226,5459,8925,019
その他484814926287372651411
役員業績報酬引当金41465336305413264016-
店舗閉鎖損失引当金-----304425636776-
流動負債合計44,22940,96336,20443,63444,30166,09966,93363,36966,28779,85880,516
固定負債
長期借入金14,5509,6375,5252,2504,7954,7099,74911,3957,20022,60026,200
リース債務18811265294294261251241230218
資産除去債務1,1271,1521,1671,1521,1701,8691,8781,8581,9992,2312,918
長期預り保証金9,6149,2609,0519,0968,9999,2689,0638,8678,8479,2329,250
その他1010-10710848-4622
店舗閉鎖損失引当金-----43221327--
長期未払金2713---------
固定負債合計25,51020,17715,81012,52814,96916,29121,08422,43418,31534,34038,609
負債合計69,74061,14152,01556,16359,27082,39188,01885,80484,602114,199119,125
純資産の部
株主資本
資本金6,1006,1006,1006,1006,1006,1006,1006,1006,1006,1006,100
資本剰余金
資本準備金14,17614,17614,17614,17614,17623,67823,67823,67823,67823,67823,678
その他資本剰余金-------1151824
資本剰余金合計14,17614,17614,17614,17614,17623,67823,67823,68923,68423,69723,702
利益剰余金
その他利益剰余金
固定資産圧縮積立金173171165159152146140133130225218
繰越利益剰余金14,06017,19022,61724,80727,41231,99934,17037,20841,73543,01944,529
特別償却積立金852--------
利益剰余金合計14,24317,36722,78524,96627,56532,14634,31037,34241,86543,24444,748
自己株式-411-400-361-319-266-244-190-151-102-67-245
株主資本合計34,10837,24442,70144,92347,57561,68063,89866,98171,54872,97474,305
新株予約権1051211211211042021801421168852
評価・換算差額等
その他有価証券評価差額金-6821-30-68-8-8-338---
評価・換算差額等合計-6821-30-68-8-8-338---
純資産合計34,14437,38742,79244,97647,67161,87364,07667,16171,66573,06374,357
負債純資産合計103,88598,52994,807101,140106,942144,264152,094152,966156,268187,262193,483