エリアクエスト

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

2016-06千円
2017-06千円
2018-06千円
2019-06千円
2020-06千円
2021-06千円
2022-06千円
2023-06千円
2024-06千円
2025-06千円
資産の部
流動資産
現金及び預金212,324423,763558,883413,451416,088443,050381,786397,660642,076414,327
売掛金117,752108,936127,542123,14996,46775,775103,262110,36686,83145,661
その他148,004140,589120,930151,347152,131149,068146,989139,065161,014161,135
販売用不動産-289,829355,756188,232188,232-----
繰延税金資産61,46941,25540,983-------
流動資産合計539,5511,004,3731,204,096876,181852,920667,894632,037647,092889,922621,123
固定資産
有形固定資産
建物及び構築物---------1,461,567
減価償却累計額----------708,476
建物及び構築物(純額)---------753,091
車両運搬具2,3792,3795,2665,2668,61114,53313,47113,47126,66325,905
減価償却累計額-2,181-2,379-2,941-3,906-5,183-7,520-8,858-10,351-11,523-13,957
車両運搬具(純額)19802,3241,3593,4287,0124,6123,11915,13911,947
工具、器具及び備品241,307254,227248,729251,168255,444254,475248,556255,832262,139264,069
減価償却累計額-193,120-209,787-219,413-227,573-234,358-239,363-236,967-238,925-242,305-245,218
工具、器具及び備品(純額)48,18744,44029,31523,59421,08515,11111,58916,90719,83318,850
土地527,720319,61690,99091,474214,579408,420431,005431,005431,005526,276
リース資産44,28228,07849,74355,86764,81970,06570,06563,21363,21384,668
減価償却累計額-15,221-8,321-14,081-18,199-27,157-27,019-35,889-18,497-26,295-36,162
リース資産(純額)29,06019,75735,66237,66737,66243,04534,17544,71636,91848,505
建設仮勘定17,28027,83112,9219,0726,4208,140---219
建物818,287911,403822,624850,875942,4191,034,0881,244,7541,271,6581,336,987-
減価償却累計額-175,086-230,356-259,941-311,807-362,896-427,833-504,160-568,114-637,600-
建物(純額)643,200681,046562,683539,067579,522606,255740,594703,544699,387-
有形固定資産合計1,265,6471,092,691733,896702,236862,6981,087,9851,221,9771,199,2931,202,2841,358,890
無形固定資産
ソフトウエア1,34213,44018,71730,54828,73922,78115,94011,1088,9968,537
借地権---------51,876
その他2,3422,3422,3422,3422,3422,3422,3422,3422,3422,342
無形固定資産合計3,68515,78321,06032,89131,08225,12418,28313,45111,33962,756
投資その他の資産
投資有価証券214,251205,045603,100725,723541,042462,384691,858794,5051,028,119695,360
長期貸付金91,019106,03235,20242,47549,93459,34461,49058,89794,11389,021
繰延税金資産----14,45213,64112,34614,54913,05615,065
長期前払費用29,88646,70052,60452,78245,49044,60641,62044,52043,56456,157
敷金及び保証金556,165614,545680,659723,694718,733784,259804,649838,436847,458855,027
保険積立金41,58555,25837,63152,96156,67870,07269,65464,57879,99365,544
会員権25,44953,47952,90452,90452,90452,90452,90436,49636,49636,496
その他19,19928,49942,09975,54393,54386,84394,043101,243103,043103,043
貸倒引当金-10,000-10,000-10,000-19,328-19,328-9,328-9,328-9,328-9,328-9,328
繰延税金資産-13,94613,94417,684------
繰延税金資産26,544---------
投資その他の資産合計994,1001,113,5071,508,1471,724,4411,553,4511,564,7281,819,2391,943,8982,236,5181,906,388
固定資産合計2,263,4332,221,9822,263,1042,459,5682,447,2322,677,8373,059,5013,156,6433,450,1423,328,035
繰延資産
社債発行費---1,8203,9594,4068,9687,6506,3325,015
繰延資産合計---1,8203,9594,4068,9687,6506,3325,015
資産合計2,802,9843,226,3553,467,2013,337,5703,304,1123,350,1383,700,5073,811,3864,346,3973,954,174
負債の部
流動負債
買掛金18,69314,37211,85010,70015,8559,5159,88011,4279,75512,542
短期借入金100,000100,00067,68034,300135,170149,649175,20879,18885,26884,668
1年内償還予定の社債---7,20015,20028,00041,30041,30041,30034,100
1年内返済予定の長期借入金76,12882,128101,172175,633145,799102,75221,75249,368110,770167,248
リース債務6,6263,7666,6447,97910,5229,86813,8548,5158,58623,050
未払金55,49785,18179,37170,57156,83447,07267,630246,694443,817429,255
未払法人税等32,00095,10580,45825,63747,99416,40251,26437,02188,07640,095
株主優待引当金--51,631-----10,08015,017
その他141,810155,623159,121159,176130,505175,377161,853179,257176,736213,265
繰延税金負債440---------
流動負債合計431,196536,177557,929491,198557,881538,637542,744652,772974,3901,019,243
固定負債
社債---39,200104,000136,800221,850180,550139,250105,150
長期借入金347,414289,786205,102227,675235,146132,394110,642161,274287,363176,611
リース債務24,07818,15533,01633,44930,62536,56722,71339,82031,32029,131
長期預り保証金745,184852,711918,854955,334974,1141,018,1771,065,6621,066,4651,123,4541,135,615
繰延税金負債------11,5239,82575,617-
その他57,566116,31479,29848,04540,35335,20867,20879,29191,64099,629
繰延税金負債--13,79624,476------
固定負債合計1,174,2431,276,9661,250,0681,328,1811,384,2381,359,1461,499,5991,537,2261,748,6451,546,137
負債合計1,605,4391,813,1431,807,9981,819,3801,942,1201,897,7842,042,3432,189,9992,723,0352,565,381
純資産の部
株主資本
資本金991,100991,100991,100991,100991,100991,100991,100991,100991,100991,100
利益剰余金105,515315,932517,155464,446523,365623,970687,093762,566530,217592,801
自己株式-------56,922-160,417-85,677-187,052
資本剰余金121,290121,290121,2902,2502,2502,2502,2502,250--
株主資本合計1,217,9051,428,3231,629,5461,457,7961,516,7151,617,3201,623,5211,595,4991,435,6391,396,848
その他の包括利益累計額
その他有価証券評価差額金-20,360-15,11129,65660,394-154,724-164,96634,64225,887187,721-8,055
その他の包括利益累計額合計-20,360-15,11129,65660,394-154,724-164,96634,64225,887187,721-8,055
純資産合計1,197,5451,413,2111,659,2021,518,1901,361,9911,452,3531,658,1641,621,3861,623,3611,388,793
負債純資産合計2,802,9843,226,3553,467,2013,337,5703,304,1123,350,1383,700,5073,811,3864,346,3973,954,174