長栄(2993)の貸借対照表

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長栄(2993)の株価  業績  進捗率の推移

意味貸借対照表は、特定の時点における企業の財務状況を示す決算書類の一つです。投資家や債権者が企業の財務健全性を評価したり、貸借対照表の複数の期間を比較することによって、企業の成長や変化を把握することができます。貸借対照表は、資産、負債、資本の3つのセクションに分かれ、資産の合計が、負債と資本の合計と必ず一致するようにできています。

 貸借対照表  損益計算書


2026年3月31日

 

 

(単位:千円)

 

前事業年度

(2025年3月31日)

当事業年度

(2026年3月31日)

資産の部

 

 

流動資産

 

 

現金及び預金

11,859,060

11,966,543

売掛金

332,784

336,792

未成工事支出金

19,771

59,112

貯蔵品

14,382

17,825

前払費用

78,710

99,291

その他

70,792

139,474

貸倒引当金

△836

△636

流動資産合計

12,374,666

12,618,403

固定資産

 

 

有形固定資産

 

 

建物

39,425,612

43,891,901

減価償却累計額

△11,462,210

△13,054,955

建物(純額)

27,963,401

30,836,945

信託建物

269,311

269,311

減価償却累計額

△79,985

△91,835

信託建物(純額)

189,326

177,476

構築物

148,599

170,529

減価償却累計額

△74,812

△92,517

構築物(純額)

73,786

78,012

機械及び装置

29,693

31,243

減価償却累計額

△21,039

△22,688

機械及び装置(純額)

8,654

8,555

車両運搬具

215,538

206,632

減価償却累計額

△195,857

△190,084

車両運搬具(純額)

19,680

16,548

工具、器具及び備品

469,323

547,255

減価償却累計額

△357,184

△409,475

工具、器具及び備品(純額)

112,138

137,780

土地

25,298,643

28,471,725

信託土地

137,713

137,713

リース資産

173,405

197,807

減価償却累計額

△34,945

△53,547

リース資産(純額)

138,459

144,259

建設仮勘定

51,212

87,992

有形固定資産合計

53,993,017

60,097,010

無形固定資産

 

 

借地権

734

734

ソフトウエア

17,633

12,368

その他

2,080

1,639

無形固定資産合計

20,448

14,741

投資その他の資産

 

 

関係会社株式

38,109

38,109

出資金

160

160

破産更生債権等

0

0

長期前払費用

50,831

32,489

その他

211,919

217,813

貸倒引当金

△3,300

△2,400

投資その他の資産合計

297,720

286,171

固定資産合計

54,311,185

60,397,923

資産合計

66,685,852

73,016,327

 

 

(単位:千円)

 

前事業年度

(2025年3月31日)

当事業年度

(2026年3月31日)

負債の部

 

 

流動負債

 

 

買掛金

239,634

316,914

短期借入金

360,000

1年内返済予定の長期借入金

1,804,886

2,003,191

リース債務

35,401

47,130

未払金

171,436

185,914

未払費用

179,580

170,843

未払法人税等

377,328

153,246

未払消費税等

37,028

契約負債

39,024

55,485

前受金

572,322

625,278

預り金

523,026

617,359

前受収益

65,680

65,680

賞与引当金

82,208

87,180

流動負債合計

4,127,558

4,688,226

固定負債

 

 

長期借入金

46,953,318

52,519,615

リース債務

110,366

105,829

預り保証金

580,035

595,029

繰延税金負債

164,377

124,031

役員退職慰労引当金

1,062,306

988,473

資産除去債務

429,416

432,122

長期前受収益

1,325,699

1,260,019

固定負債合計

50,625,519

56,025,121

負債合計

54,753,078

60,713,348

純資産の部

 

 

株主資本

 

 

資本金

714,764

714,764

資本剰余金

 

 

資本準備金

797,166

797,166

資本剰余金合計

797,166

797,166

利益剰余金

 

 

利益準備金

20,000

20,000

その他利益剰余金

 

 

別途積立金

510,000

510,000

圧縮積立金

2,492,804

2,589,939

固定資産圧縮特別勘定積立金

141,873

繰越利益剰余金

7,370,865

7,851,110

利益剰余金合計

10,535,543

10,971,050

自己株式

△114,699

△180,002

株主資本合計

11,932,774

12,302,979

純資産合計

11,932,774

12,302,979

負債純資産合計

66,685,852

73,016,327


2025年3月31日

 決算短信_20250512164212

3.財務諸表及び主な注記

(1)貸借対照表

 

 

(単位:千円)

 

前事業年度

(2024年3月31日)

当事業年度

(2025年3月31日)

資産の部

 

 

流動資産

 

 

現金及び預金

10,104,809

11,859,060

売掛金

339,018

332,784

未成工事支出金

27,960

19,771

貯蔵品

15,086

14,382

前払費用

62,580

78,710

その他

84,618

70,792

貸倒引当金

814

836

流動資産合計

10,633,259

12,374,666

固定資産

 

 

有形固定資産

 

 

建物

35,915,534

39,425,612

減価償却累計額

10,486,777

11,462,210

建物(純額)

25,428,756

27,963,401

信託建物

269,311

269,311

減価償却累計額

68,135

79,985

信託建物(純額)

201,175

189,326

構築物

109,652

148,599

減価償却累計額

68,087

74,812

構築物(純額)

41,564

73,786

機械及び装置

32,658

29,693

減価償却累計額

24,229

21,039

機械及び装置(純額)

8,428

8,654

車両運搬具

240,497

215,538

減価償却累計額

210,582

195,857

車両運搬具(純額)

29,914

19,680

工具、器具及び備品

377,540

469,323

減価償却累計額

290,240

357,184

工具、器具及び備品(純額)

87,300

112,138

土地

23,587,668

25,298,643

信託土地

137,713

137,713

リース資産

97,899

173,405

減価償却累計額

44,519

34,945

リース資産(純額)

53,379

138,459

建設仮勘定

21,048

51,212

有形固定資産合計

49,596,952

53,993,017

無形固定資産

 

 

借地権

734

ソフトウエア

25,631

17,633

その他

2,564

2,080

無形固定資産合計

28,196

20,448

投資その他の資産

 

 

関係会社株式

38,109

38,109

出資金

160

160

破産更生債権等

330

0

繰延税金資産

82,406

長期前払費用

70,634

50,831

その他

207,286

211,919

貸倒引当金

6,330

3,300

投資その他の資産合計

392,597

297,720

固定資産合計

50,017,745

54,311,185

資産合計

60,651,005

66,685,852

 

 

 

 

(単位:千円)

 

前事業年度

(2024年3月31日)

当事業年度

(2025年3月31日)

負債の部

 

 

流動負債

 

 

買掛金

245,370

239,634

1年内返済予定の長期借入金

1,818,295

1,804,886

リース債務

30,630

35,401

未払金

158,868

171,436

未払費用

118,452

179,580

未払法人税等

444,039

377,328

未払消費税等

500,212

37,028

契約負債

27,497

39,024

前受金

545,772

572,322

預り金

471,819

523,026

前受収益

65,680

65,680

賞与引当金

81,930

82,208

流動負債合計

4,508,569

4,127,558

固定負債

 

 

長期借入金

42,362,107

46,953,318

リース債務

25,010

110,366

預り保証金

652,065

580,035

繰延税金負債

164,377

役員退職慰労引当金

1,025,561

1,062,306

資産除去債務

426,737

429,416

長期前受収益

1,391,380

1,325,699

固定負債合計

45,882,861

50,625,519

負債合計

50,391,431

54,753,078

純資産の部

 

 

株主資本

 

 

資本金

714,764

714,764

資本剰余金

 

 

資本準備金

797,166

797,166

資本剰余金合計

797,166

797,166

利益剰余金

 

 

利益準備金

20,000

20,000

その他利益剰余金

 

 

別途積立金

510,000

510,000

圧縮積立金

1,839,305

2,492,804

固定資産圧縮特別勘定積立金

141,873

繰越利益剰余金

6,576,704

7,370,865

利益剰余金合計

8,946,009

10,535,543

自己株式

198,366

114,699

株主資本合計

10,259,573

11,932,774

純資産合計

10,259,573

11,932,774

負債純資産合計

60,651,005

66,685,852

 

E3714129930株式会社長栄Choei Inc.通期第2号参考様式 [日本基準](非連結)Japan 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2024年3月31日

 決算短信_20240513093319

3.財務諸表及び主な注記

(1)貸借対照表

 

 

(単位:千円)

 

前事業年度

(2023年3月31日)

当事業年度

(2024年3月31日)

資産の部

 

 

流動資産

 

 

現金及び預金

7,436,931

10,104,809

売掛金

324,014

339,018

未成工事支出金

36,412

27,960

貯蔵品

20,060

15,086

前払費用

41,303

62,580

その他

108,453

84,618

貸倒引当金

787

814

流動資産合計

7,966,387

10,633,259

固定資産

 

 

有形固定資産

 

 

建物

34,340,875

35,915,534

減価償却累計額

9,824,736

10,486,777

建物(純額)

24,516,138

25,428,756

信託建物

269,311

269,311

減価償却累計額

56,286

68,135

信託建物(純額)

213,025

201,175

構築物

99,536

109,652

減価償却累計額

62,665

68,087

構築物(純額)

36,871

41,564

機械及び装置

25,883

32,658

減価償却累計額

21,962

24,229

機械及び装置(純額)

3,921

8,428

車両運搬具

253,045

240,497

減価償却累計額

219,085

210,582

車両運搬具(純額)

33,960

29,914

工具、器具及び備品

354,023

377,540

減価償却累計額

302,822

290,240

工具、器具及び備品(純額)

51,201

87,300

土地

23,496,127

23,587,668

信託土地

137,713

137,713

リース資産

98,797

97,899

減価償却累計額

29,380

44,519

リース資産(純額)

69,416

53,379

建設仮勘定

1,532

21,048

有形固定資産合計

48,559,909

49,596,952

無形固定資産

 

 

ソフトウエア

48,418

25,631

その他

3,049

2,564

無形固定資産合計

51,467

28,196

投資その他の資産

 

 

関係会社株式

38,109

38,109

出資金

160

160

破産更生債権等

0

330

繰延税金資産

31,772

82,406

長期前払費用

991

70,634

その他

209,342

207,286

貸倒引当金

6,300

6,330

投資その他の資産合計

274,075

392,597

固定資産合計

48,885,452

50,017,745

資産合計

56,851,840

60,651,005

 

 

 

 

(単位:千円)

 

前事業年度

(2023年3月31日)

当事業年度

(2024年3月31日)

負債の部

 

 

流動負債

 

 

買掛金

242,088

245,370

1年内償還予定の社債

260,000

1年内返済予定の長期借入金

1,639,438

1,818,295

リース債務

13,167

30,630

未払金

79,675

158,868

未払費用

81,240

118,452

未払法人税等

68,151

444,039

未払消費税等

500,212

契約負債

41,173

27,497

前受金

535,678

545,772

預り金

343,838

471,819

前受収益

65,680

65,680

賞与引当金

78,770

81,930

流動負債合計

3,448,903

4,508,569

固定負債

 

 

長期借入金

40,247,139

42,362,107

リース債務

59,629

25,010

預り保証金

735,754

652,065

役員退職慰労引当金

996,836

1,025,561

資産除去債務

424,084

426,737

長期前受収益

1,457,060

1,391,380

固定負債合計

43,920,503

45,882,861

負債合計

47,369,406

50,391,431

純資産の部

 

 

株主資本

 

 

資本金

714,764

714,764

資本剰余金

 

 

資本準備金

797,166

797,166

資本剰余金合計

797,166

797,166

利益剰余金

 

 

利益準備金

20,000

20,000

その他利益剰余金

 

 

別途積立金

510,000

510,000

圧縮積立金

1,708,219

1,839,305

繰越利益剰余金

5,913,652

6,576,704

利益剰余金合計

8,151,872

8,946,009

自己株式

181,369

198,366

株主資本合計

9,482,433

10,259,573

純資産合計

9,482,433

10,259,573

負債純資産合計

56,851,840

60,651,005

 

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