東京センチュリー

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80,39583,56582,21299,058259,652217,522240,800216,437193,859177,364221,478
割賦債権226,467216,466210,523195,761182,847159,801153,939161,678167,071186,858197,021
リース債権及びリース投資資産1,480,9511,600,6371,544,5951,565,6711,678,5461,632,0141,575,0491,565,1531,391,3101,488,6031,588,984
営業貸付債権528,365539,058548,522549,980504,644467,125407,370450,576435,091409,423361,709
営業投資有価証券194,627209,712235,531295,970281,268312,693352,044326,042407,050420,892427,988
賃貸料等未収入金24,28727,52530,57734,59845,32270,61777,35874,57263,88672,47472,322
有価証券12,8434,0525,5506201,585450450300809100100
棚卸資産---10,6678,22710,47213,34128,14736,71233,98341,670
その他の流動資産69,25681,01677,47192,175149,233148,276150,858180,748246,947289,643315,287
貸倒引当金-3,236-4,104-3,475-3,377-3,243-7,269-7,640-6,862-3,859-3,285-8,609
商品及び製品6771,7961,177--------
繰延税金資産4,3497,0749,590--------
流動資産合計2,618,9862,766,8022,742,2782,841,1273,108,0853,011,7032,963,5712,996,7942,938,8793,076,0593,217,955
固定資産
有形固定資産
賃貸資産545,724636,820637,456773,0551,864,1891,879,2661,991,6162,229,8302,496,2942,638,9742,837,562
賃貸資産前渡金12,3024,56113,05515,985140,503107,84355,86281,14793,965125,291135,150
その他の営業資産25,44226,82368,86889,40682,126100,681116,248214,976244,938273,873128,768
建設仮勘定--42,51755,37286,37272,95884,5965,10533,23028,61210,218
社用資産9,73313,41917,74018,74218,75028,72219,02923,77327,55232,47931,926
有形固定資産合計593,202681,624779,638952,5622,191,9422,189,4722,267,3532,554,8332,895,9813,099,2303,143,626
無形固定資産
賃貸資産2312583541,2162,8912,2792,0862,6402,5252,4662,705
のれん3,61413,61216,88532,71156,15351,54353,30858,06472,92471,91256,245
その他の無形固定資産4,2046,8069,48512,18656,47542,24734,82434,75139,63850,56934,028
無形固定資産合計8,05020,67626,72546,115115,52196,07090,21995,455115,088124,94892,979
投資その他の資産
投資有価証券64,27869,592165,272183,21997,714204,523234,951325,745404,150451,367615,698
破産更生債権等2,1991,6251,3791,3487,76113,48117,04510,4327,6273,2593,152
繰延税金資産----26,94625,98729,17830,27924,17017,95243,689
退職給付に係る資産-----391081772702864
その他の投資27,93434,31840,31150,05061,55564,41568,55473,36277,64191,09699,480
貸倒引当金-1,490-1,072-1,143-1,144-4,325-4,835-10,284-7,533-4,790-3,184-3,095
繰延税金資産4,7016,1244,63412,729-------
投資その他の資産合計97,623110,588210,453246,205189,652303,611339,555432,464509,069560,777758,930
固定資産合計698,876812,8901,016,8181,244,8832,497,1162,589,1552,697,1293,082,7533,520,1403,784,9563,995,536
繰延資産-1893735033,3542,0393,0872,5671,9111,8451,319
資産合計3,317,8623,579,8823,759,4694,086,5135,608,5565,602,8975,663,7876,082,1146,460,9306,862,8617,214,810
負債の部
流動負債
支払手形及び買掛金197,272215,570247,209248,215252,967237,729206,112202,665216,852226,580223,956
短期借入金437,181416,341428,850486,653461,855229,218252,174278,054412,825358,785404,965
1年内償還予定の社債44,57168,24270,460101,935146,872232,48036,711144,199240,695155,113156,108
1年内返済予定の長期借入金277,758350,210333,063413,061611,849680,854745,752905,570732,254713,2291,041,539
コマーシャル・ペーパー763,400800,700848,000872,300825,223629,600371,499352,307343,609210,600318,787
債権流動化に伴う支払債務75,40059,10061,90075,90073,80060,60031,30017,0009,00010,60012,500
1年内支払予定の債権流動化に伴う長期支払債務1,0961,9631,3019088598601422,4902,4602,4005,070
リース債務7,3356,9944,4944,3103,8965,1155,7638,7799,56010,19211,610
未払法人税等9,61410,73011,96411,00424,78512,16415,26912,15712,04716,16923,080
割賦未実現利益12,02614,97516,23215,88214,95412,59312,19114,17315,46319,68822,072
賞与引当金2,7632,7192,8933,5693,6683,7323,6953,7724,0424,5925,452
役員賞与引当金168185231318273332355257470538438
役員株式給付引当金---------164199
その他の引当金47850359463169457213702371,313437
その他の流動負債47,66663,86480,79481,998114,049120,352142,601164,684142,564151,093166,895
繰延税金負債1,5072,1381,236--------
流動負債合計1,878,2412,014,2412,109,2252,316,6912,535,7492,226,2061,823,5842,106,1812,142,0831,881,0622,393,114
固定負債
社債152,031163,772194,232197,497752,147790,232963,371908,454978,6731,092,441982,155
長期借入金798,451868,640870,102891,1131,404,6361,656,9101,846,4301,900,2712,025,6262,367,9412,214,978
債権流動化に伴う長期支払債務1,6004,0722,7711,8621,002142-6,3103,8501,4506,380
リース債務10,9129,6348,4417,6427,5709,04012,01419,92520,32024,87920,534
繰延税金負債----31,43536,83042,10143,10056,20072,483100,241
役員退職慰労引当金259236248489523519480415346356243
役員株式給付引当金---------70177
メンテナンス引当金9409571,0361,1461,2341,250867793717702733
その他の引当金----169240256930659307841
退職給付に係る負債9,6149,5409,50111,03211,50711,89012,03412,30311,38111,3189,625
その他の固定負債88,45485,90291,330104,116202,433181,286167,066194,440209,895232,958233,191
繰延税金負債2,48318,06516,54330,548-------
固定負債合計1,064,7481,160,8221,194,2071,245,4492,412,6612,688,3453,044,6223,086,9463,307,6713,804,9093,569,103
負債合計2,942,9903,175,0633,303,4333,562,1414,948,4114,914,5524,868,2065,193,1285,449,7545,685,9715,962,217
純資産の部
株主資本
資本金34,23134,23134,23134,23181,12981,12981,12981,12981,12981,12981,129
資本剰余金6,1227,8219,0609,07456,01656,07856,24456,49156,19956,24756,547
利益剰余金266,044299,671339,910379,150421,580453,878486,946474,223524,903582,759665,085
自己株式-2,806-2,757-2,682-2,612-2,550-2,460-2,148-1,631-1,599-4,625-3,893
株主資本合計303,591338,966380,520419,843556,175588,625622,171610,212660,631715,510798,869
その他の包括利益累計額
その他有価証券評価差額金15,47415,83017,74515,6474,31522,93223,06920,78137,99434,34547,707
繰延ヘッジ損益-624473-942-152-5108047,7817,2989,8399,2486,950
為替換算調整勘定3,028564-579-8,078-4,953-41,89320,055123,168163,105269,269264,812
退職給付に係る調整累計額-1,307-1,133-751-605-529-297-531376581,2402,162
その他の包括利益累計額合計16,57015,73415,4726,812-1,677-18,45350,853151,384211,598314,104321,634
新株予約権7169431,1961,6202,1912,5042,4322,0392,2402,5401,775
非支配株主持分53,99449,17458,84796,096103,454115,668120,123125,349136,704144,734130,314
純資産合計374,872404,818456,036524,372660,145688,345795,580888,9851,011,1761,176,8891,252,593
負債純資産合計3,317,8623,579,8823,759,4694,086,5135,608,5565,602,8975,663,7876,082,1146,460,9306,862,8617,214,810