ハウスフリーダム

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

2015-12千円
2016-12千円
2017-12千円
2018-12千円
2019-12千円
2020-12千円
2021-12千円
2022-12千円
2023-12千円
2024-12千円
資産の部
流動資産
現金及び預金1,913,4632,215,9552,148,4982,820,0392,956,7203,904,3943,806,9403,643,3353,659,6373,955,883
売掛金-------10,77910,26010,563
販売用不動産1,124,9851,476,3051,390,1851,294,3011,315,5681,227,5952,210,0354,857,6052,088,8383,248,942
仕掛販売用不動産1,643,2101,329,4741,891,3172,346,3862,749,6802,203,0644,216,9794,456,5585,408,2004,462,426
未成工事支出金13,75012,25141,69820,01639,40939,27898,28656,52847,81685,331
その他88,75573,217157,172282,770210,397233,786323,696283,793161,178211,888
貸倒引当金-2-1-21-28-34-661-75-45-43-45
受取手形及び売掛金29,82525,32824,97920,94424,66112,21717,278---
繰延税金資産40,86449,01264,64762,834------
流動資産合計4,854,8535,181,5435,718,4786,847,2637,296,4027,619,67510,673,14113,308,55511,375,88911,974,990
固定資産
有形固定資産
建物及び構築物1,253,9241,362,6681,434,0571,276,5391,526,1351,627,1561,369,093505,9842,351,0502,422,835
減価償却累計額-146,338-171,257-250,725-276,271-326,849-382,914-381,868-208,619-418,600-427,273
建物及び構築物(純額)1,107,5851,191,4101,183,3321,000,2681,199,2861,244,241987,224297,3651,932,4501,995,562
機械装置及び運搬具39,03450,62567,58062,26367,58166,96963,90549,50758,87362,659
減価償却累計額-23,735-27,020-41,087-40,527-33,491-40,730-45,681-42,035-51,106-55,704
機械装置及び運搬具(純額)15,29923,60426,49221,73534,08926,23818,2247,4727,7666,955
工具、器具及び備品44,44943,208113,90690,21189,68892,00190,85691,85470,39567,354
減価償却累計額-25,188-29,706-82,229-69,136-74,943-79,440-81,759-85,082-65,693-62,980
工具、器具及び備品(純額)19,26013,50131,67621,07514,74512,5619,0966,7724,7024,374
土地1,001,720973,554973,554902,1501,108,7541,338,4101,413,1131,074,1422,333,5861,756,893
リース資産36,22939,46642,39132,76732,76727,97969,32269,32269,80259,437
減価償却累計額-14,105-18,554-25,425-23,541-28,142-26,074-27,922-37,548-47,006-37,944
リース資産(純額)22,12320,91216,9659,2264,6251,90541,39931,77322,79621,492
建設仮勘定6,396330--20,87883,181405,81818,500555,2122,460
有形固定資産合計2,172,3862,223,3142,232,0211,954,4562,382,3792,706,5382,874,8771,436,0264,856,5143,787,737
無形固定資産
のれん365,490239,980420,830312,309243,316174,324105,33159,65037,28114,912
ソフトウエア5,1753,8552,0262,2912,7397,6876,9294,8022,8171,170
商標権1,0168396624863091671157636-
その他559343235235235235235235235235
無形固定資産合計372,241245,019423,754315,322246,601182,414112,61264,76540,37016,318
投資その他の資産
投資有価証券69,40855,39253,85639,26446,65640,89644,83245,31249,63247,808
繰延税金資産-----70,75293,26977,39767,22974,655
その他101,385104,029109,50180,01377,59469,34887,102171,361160,366211,172
貸倒引当金-2,883-2,972-2,972-2,972-2,972-3,587-4,214-4,214-4,214-4,214
繰延税金資産----48,609-----
投資その他の資産合計167,910156,448160,385116,305169,887177,409220,989289,856273,012329,421
固定資産合計2,712,5382,624,7822,816,1622,386,0842,798,8673,066,3633,208,4791,790,6475,169,8984,133,477
繰延資産
社債発行費12,56612,0359,6637,6236,5835,8386,9814,6242,5601,623
その他1921347719------
繰延資産合計12,75812,1699,7417,6426,5835,8386,9814,6242,5601,623
資産合計7,580,1517,818,4968,544,3819,240,99110,101,85310,691,87713,888,60215,103,82716,548,34716,110,091
負債の部
流動負債
営業未払金443,668374,380443,222537,111533,583566,871380,648304,237404,915490,257
短期借入金1,335,5001,597,8001,371,8002,211,5002,431,5702,312,9703,452,2503,559,7504,047,9702,927,290
1年内償還予定の社債31,20031,200126,20017,20027,200127,200207,20027,200285,200110,000
1年内返済予定の長期借入金601,907623,489576,945705,686901,511629,8201,146,7611,058,6441,810,3981,235,851
リース債務7,0216,5986,6874,6012,7191,3189,6269,3619,3917,318
未払法人税等46,981103,76360,015113,20062,821163,26767,28131,40470,555160,008
契約負債-------100,490165,615155,127
賞与引当金72,90786,114109,342110,949116,025121,11688,36392,289102,486110,973
製品保証引当金17,91519,17717,91314,97032,09725,43427,77325,95219,51017,701
その他228,227264,532373,408423,685431,944531,594567,958569,028405,721506,858
資産除去債務--1581,4271,427-----
流動負債合計2,785,3303,107,0553,085,6924,140,3324,540,9004,479,5935,947,8625,778,3597,321,7645,721,385
固定負債
社債698,600767,400641,200624,000646,800619,600612,400585,200300,000240,000
長期借入金2,164,5202,034,5892,844,8102,370,0552,641,6402,862,6134,436,7895,658,4905,685,9226,713,216
リース債務15,40614,36010,2084,5841,86454631,81322,45213,44414,214
資産除去債務5,6335,42613,97711,84114,22614,30915,74215,82415,79235,855
その他4,5449,51732,90558,25757,77162,34468,1786,9437,41214,754
繰延税金負債-------1,521--
繰延税金負債23,77917,71217,56411,109------
固定負債合計2,912,4842,849,0063,560,6663,079,8483,362,3023,559,4135,164,9246,290,4316,022,5727,018,040
負債合計5,697,8145,956,0626,646,3597,220,1817,903,2038,039,00711,112,78612,068,79113,344,33712,739,425
純資産の部
株主資本
資本金328,842328,842328,842328,842328,842328,842328,842328,842328,842328,842
資本剰余金173,940173,940173,940173,940173,940173,940173,940173,940173,940173,940
利益剰余金1,333,1961,336,3771,373,0691,506,0581,696,5842,154,7992,275,0142,533,9012,699,8793,023,199
自己株式--14,555-14,585-14,585-32,246-32,246-32,246-32,246-32,246-187,646
株主資本合計1,835,9781,824,6031,861,2661,994,2552,167,1202,625,3352,745,5503,004,4373,170,4153,338,335
その他の包括利益累計額
その他有価証券評価差額金46,35837,82936,75526,55431,53027,53430,26530,59833,59532,329
その他の包括利益累計額合計46,35837,82936,75526,55431,53027,53430,26530,59833,59532,329
純資産合計1,882,3361,862,4331,898,0212,020,8092,198,6502,652,8702,775,8153,035,0363,204,0103,370,665
負債純資産合計7,580,1517,818,4968,544,3819,240,99110,101,85310,691,87713,888,60215,103,82716,548,34716,110,091