アインHDs

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

2016-04千円
2017-04千円
2018-04千円
2019-04百万円
2020-04百万円
2021-04百万円
2022-04百万円
2023-04百万円
2024-04百万円
2025-04百万円
資産の部
流動資産
現金及び預金22,647,30029,775,20763,779,27848,09146,32155,27159,72946,79648,61126,881
売掛金-------13,24915,85222,295
商品10,661,17711,402,0789,372,43812,67315,03514,01814,56821,29924,29935,572
貯蔵品323,473266,095208,024225286266222286345499
短期貸付金639,457632,826641,502236208144306355144348
未収入金5,983,6299,402,0247,751,4188,4388,9979,28411,83211,96916,00020,611
その他2,806,4382,829,9342,470,3563,0123,2993,9363,9954,3485,4906,601
貸倒引当金-3,337-44,443-131,318-2-1----10
受取手形及び売掛金12,385,8219,990,40110,466,17512,77113,65313,47510,110---
繰延税金資産1,149,4321,166,6201,611,680-------
流動資産合計56,593,39265,420,74596,169,55685,44687,80296,398100,76598,305110,743112,808
固定資産
有形固定資産
建物及び構築物25,831,60328,026,34428,310,78031,67632,38832,56134,87641,12747,99157,892
減価償却累計額-11,136,865-12,661,079-13,376,674-15,323-15,779-16,290-17,364-19,720-20,869-26,243
建物及び構築物(純額)14,694,73815,365,26414,934,10616,35216,60916,27017,51221,40727,12231,648
土地9,537,4939,958,44610,041,47510,39410,96010,3908,58110,60210,20710,218
建設仮勘定813,083316,930118,4282831436381,8043,9041,8961,652
その他10,163,48010,899,96210,493,96911,91110,26010,01710,00011,66513,23319,495
減価償却累計額-7,055,474-8,076,596-7,734,285-8,755-7,098-7,087-7,262-8,120-9,009-13,303
その他(純額)3,108,0052,823,3652,759,6833,1553,1612,9302,7373,5454,2246,192
有形固定資産合計28,153,32028,464,00727,853,69430,18630,87430,22930,63639,45943,45049,712
無形固定資産
のれん33,337,37240,939,44838,011,18445,24942,12339,05736,35246,44344,06684,772
その他2,248,8612,170,0412,121,5602,3272,7923,6094,8665,9007,17612,848
無形固定資産合計35,586,23343,109,49040,132,74547,57744,91642,66641,21952,34351,24297,621
投資その他の資産
投資有価証券2,677,6432,435,3332,375,8531,7952,2952,6972,5032,7203,3453,233
長期貸付金1,801,7231,194,373789,5111,351554422196704671665
繰延税金資産----4,2114,4155,3195,9906,4037,679
退職給付に係る資産174,22022,4239,5761511160202334-
敷金及び保証金10,013,44010,443,22111,339,07815,13319,14420,31922,78524,50725,18631,091
その他4,086,5873,378,3262,985,9964,8535,1688,19810,3098,0078,6089,357
貸倒引当金-1,237,174-312,044-540,114-1,683-1,644-1,743-1,294-312-276-249
繰延税金資産2,038,8512,167,7112,216,6024,284------
投資その他の資産合計19,555,29219,329,34519,176,50325,75129,84134,36839,84041,64143,97351,778
固定資産合計83,294,84690,902,84387,162,943103,515105,632107,264111,696133,444138,666199,112
株式交付費--103,3945915-----
資産合計139,888,239156,323,588183,435,894189,021193,451203,662212,461231,750249,409311,921
繰延資産合計--103,3945915-----
負債の部
流動負債
買掛金39,987,59539,325,58838,728,92244,79447,18746,75850,75658,69865,50680,895
短期借入金5,690,0017,596,9396,717,7325,5713,6423,6702,6433,6703,46712,151
未払法人税等4,448,8622,898,6954,947,0063,2613,3562,1574,3913,3284,5324,449
預り金10,112,89614,223,76812,675,59812,73713,09413,97915,41518,23219,06320,685
賞与引当金1,633,5201,903,9761,911,5592,1392,3382,5942,7133,2153,3944,167
役員賞与引当金13,59016,09016,58417161618221923
契約負債------544532465534
その他4,452,4286,566,0014,810,1664,7724,6004,5225,3215,2846,7849,136
ポイント引当金390,200410,502420,676450463461----
返品調整引当金15,81514,1656,854-------
流動負債合計66,744,90872,955,72970,235,10173,74474,70074,16081,80592,986103,232132,045
固定負債
長期借入金14,854,30718,254,65711,511,0595,9852,4328,2975,8155,0213,22726,469
リース債務1,198,289958,033632,2204011543793238105
退職給付に係る負債2,228,4462,331,9562,625,6422,9773,1243,3293,5784,4984,6624,778
資産除去債務---------4,081
その他1,537,6741,644,2271,698,6941,9892,0352,0002,2422,6642,8371,808
固定負債合計19,818,71723,188,87416,467,61511,3557,74713,66411,64512,21810,76537,243
負債合計86,563,62696,144,60386,702,71785,09982,44787,82593,450105,204113,998169,288
純資産の部
株主資本
資本金8,682,9768,682,97621,894,97621,89421,89421,89421,89421,89421,89421,894
資本剰余金6,367,8446,367,84420,500,94220,50020,50020,50020,50020,50420,13120,128
利益剰余金38,605,78345,286,87854,268,91561,52668,75873,50678,66185,96395,257101,692
自己株式-419,311-419,598-1,869-2-2-3-2,018-2,000-2,436-1,997
株主資本合計53,237,29359,918,10196,662,966103,920111,151115,899119,038126,362134,847141,717
その他の包括利益累計額
その他有価証券評価差額金-63,29686,40784,947-6-77-12-39-7234298
繰延ヘッジ損益---------189
為替換算調整勘定----------3
退職給付に係る調整累計額84,867101,414-50,788-59-159-128-7595225318
その他の包括利益累計額合計21,570187,82134,159-65-236-141-11487459802
非支配株主持分65,74873,06136,0516788788696104111
純資産合計53,324,61360,178,98496,733,176103,922111,003115,837119,010126,546135,411142,632
負債純資産合計139,888,239156,323,588183,435,894189,021193,451203,662212,461231,750249,409311,921