丸井グループ

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

2016-03百万円
2017-03百万円
2018-03百万円
2019-03百万円
2020-03百万円
2021-03百万円
2022-03百万円
2023-03百万円
2024-03百万円
2025-03百万円
2026-03百万円
資産の部
流動資産
現金及び預金32,58636,25745,44846,73140,83941,19039,71952,43264,56049,25053,548
受取手形及び売掛金7,4594,8407,0066,1385,1534,9034,7464,8276,1568,1876,922
割賦売掛金279,763348,191402,030428,180416,250426,668457,624481,442486,166536,549635,676
営業貸付金134,107140,569146,011137,473139,313118,039114,049100,395104,03493,21178,008
商品12,75910,4377,4895,1964,7663,1111,070640528480659
未収入金---------54,53963,383
その他21,59420,92026,52230,47636,55046,29645,67752,61766,33716,70520,055
貸倒引当金-7,800-9,352-11,843-13,818-16,106-16,423-14,860-16,445-18,809-21,337-24,167
繰延税金資産5,5696,9347,328--------
流動資産合計486,040558,799629,994640,379626,766623,787648,029675,909708,975737,587834,087
固定資産
有形固定資産
建物及び構築物261,491257,647257,968247,635248,241250,771243,698241,034240,156235,792223,791
減価償却累計額-194,949-190,404-193,294-184,349-186,489-190,230-186,391-185,180-185,068-183,735-171,756
建物及び構築物(純額)66,54267,24264,67463,28561,75160,54057,30655,85455,08752,05752,034
土地99,683103,540103,680103,044103,542103,542103,276103,395104,018103,15697,056
建設仮勘定4201957645511,1904861,2721,9116,6264,77610,228
その他34,52333,54733,36333,26133,76234,32233,35432,72033,61634,38930,760
減価償却累計額-26,172-25,872-25,679-25,071-25,481-25,941-25,937-26,171-26,069-25,232-21,191
その他(純額)8,3507,6757,6848,1898,2818,3807,4176,5497,5469,1569,569
有形固定資産合計174,996178,654176,803175,071174,765172,950169,273167,711173,280169,146168,888
無形固定資産6,5026,2956,3886,8498,11310,1498,9119,66110,65113,80412,227
投資その他の資産
投資有価証券20,25018,85014,99922,17227,38842,14436,03138,51639,54746,52339,226
差入保証金34,89534,03132,52731,89530,91227,58327,01126,44125,84526,06718,670
繰延税金資産----13,86818,17620,03820,08718,53118,69220,719
その他2,8203,0732,9443,2384,1536,27810,73123,62226,67041,52947,456
繰延税金資産4,6196,8703,49210,589-------
投資その他の資産合計62,58662,82653,96367,89676,32394,18393,813108,668110,595132,813126,072
固定資産合計244,085247,776237,156249,817259,202277,283271,997286,040294,526315,764307,188
資産合計730,126806,575867,150890,196885,969901,070920,026961,9501,003,5011,053,3521,141,276
負債の部
流動負債
買掛金24,31815,85012,36110,2317,1458,1057,9787,1608,1727,3237,564
短期借入金48,32450,82775,33171,632102,33599,380111,156103,91987,25491,420129,805
1年内償還予定の社債30,00020,00010,00030,00015,00030,00020,00020,24021,50320,15920,146
コマーシャル・ペーパー10,0005,000----33,00025,000-10,00031,000
未払金--------64,27172,26778,732
未払法人税等4,7317,2145,9618,21110,7246,3108466,1676,2609,6367,927
賞与引当金3,7563,6713,9403,5163,4823,3333,2003,0933,0162,9442,985
ポイント引当金6,5869,18111,44514,18120,58323,57727,90832,47736,16841,43245,525
株式給付引当金-----84--1,192-929
商品券等引換損失引当金159158156165160152153139138143142
その他30,60133,15049,23657,76554,99649,91861,82660,22817,68721,23821,296
株式給付引当金---673-------
流動負債合計158,477145,051168,431196,376214,425220,860266,068258,426245,664276,565346,056
固定負債
社債80,00085,00095,00085,00090,00080,00061,30081,300100,000100,00080,000
長期借入金191,000273,500305,000300,000272,500275,200301,700352,600385,600414,900455,300
繰延税金負債----1,884135135135135135165
利息返還損失引当金6,07811,4876,0814,9574,66322,81017,33012,5008,4535,2244,506
債務保証損失引当金1641972031901661289571614740
株式給付引当金------417817-459-
資産除去債務8818878742,7779531,1011,6491,6941,3481,3511,918
その他9,56711,92812,98012,67211,04510,1299,2777,8418,6108,0338,466
繰延税金負債1,8554,0033,3153,470-------
株式給付引当金-179363--------
固定負債合計289,547387,184423,818409,067381,212389,505391,905456,961504,208530,150550,398
負債合計448,025532,236592,249605,443595,638610,366657,974715,388749,873806,716896,454
純資産の部
株主資本
資本金35,92035,92035,92035,92035,92035,92035,92035,92035,92035,92035,920
資本剰余金91,30791,30791,30791,32391,82491,76091,75291,95291,99992,04988,023
利益剰余金210,237155,079168,034166,858180,522172,747147,069155,130164,453171,502119,552
自己株式-54,238-7,389-22,389-12,327-19,661-19,662-18,269-42,774-46,116-64,165-10,095
株主資本合計283,226274,918272,872281,774288,606280,765256,473240,229246,258235,306233,400
その他の包括利益累計額
その他有価証券評価差額金-1,616-1,0341,5632,9771,1859,4175,1405,9156,99210,83310,786
繰延ヘッジ損益---1000-----
その他の包括利益累計額合計-1,616-1,0341,5612,9771,1859,4175,1405,9156,99210,83310,786
非支配株主持分437453466-538520438417377496635
新株予約権532---------
純資産合計282,101274,339274,900284,752290,330290,704262,052246,562253,628246,636244,821
負債純資産合計730,126806,575867,150890,196885,969901,070920,026961,9501,003,5011,053,3521,141,276