ホットマン(3190)の貸借対照表

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ホットマン(3190)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

1,175,427

1,608,550

売掛金

743,603

853,713

商品

5,417,477

5,251,710

貯蔵品

3,064

3,005

前払費用

127,663

131,269

未収入金

297,449

256,317

その他

17,729

28,337

流動資産合計

7,782,414

8,132,905

固定資産

 

 

有形固定資産

 

 

建物(純額)

2,859,274

2,665,574

構築物(純額)

360,050

307,781

車両運搬具(純額)

36,867

33,062

工具、器具及び備品(純額)

454,992

484,004

土地

2,549,817

2,540,599

建設仮勘定

2,805

有形固定資産合計

6,261,003

6,033,827

無形固定資産

20,677

17,271

投資その他の資産

 

 

投資有価証券

345,563

394,461

関係会社株式

408

113,242

長期前払費用

33,051

25,779

繰延税金資産

913,647

906,869

長期預金

34,700

27,000

敷金及び保証金

972,696

954,925

リース投資資産

3,626

その他

230

230

投資その他の資産合計

2,303,923

2,422,507

固定資産合計

8,585,604

8,473,606

資産合計

16,368,019

16,606,511

 

 

(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

1,013,906

1,162,036

短期借入金

3,250,000

3,150,000

1年内返済予定の長期借入金

429,988

421,744

未払金

234,678

295,906

未払費用

411,634

244,310

未払法人税等

209,942

262,540

未払消費税等

98,023

182,426

前受金

66,958

82,371

預り金

29,962

41,245

賞与引当金

99,166

96,250

契約負債

291,670

281,375

その他

7,464

7,446

流動負債合計

6,143,396

6,227,653

固定負債

 

 

長期借入金

820,460

688,708

退職給付引当金

1,612,165

1,542,222

役員退職慰労引当金

170,355

173,964

資産除去債務

185,812

188,833

長期預り敷金保証金

49,322

51,722

固定負債合計

2,838,115

2,645,450

負債合計

8,981,511

8,873,104

純資産の部

 

 

株主資本

 

 

資本金

1,910,645

1,910,645

資本剰余金

 

 

資本準備金

500,645

500,645

資本剰余金合計

500,645

500,645

利益剰余金

 

 

利益準備金

42,692

42,692

その他利益剰余金

 

 

圧縮記帳積立金

58,249

54,978

別途積立金

1,230,000

1,230,000

繰越利益剰余金

3,658,474

3,948,146

利益剰余金合計

4,989,416

5,275,817

自己株式

△108,380

△108,380

株主資本合計

7,292,326

7,578,727

評価・換算差額等

 

 

その他有価証券評価差額金

94,181

154,679

評価・換算差額等合計

94,181

154,679

純資産合計

7,386,507

7,733,407

負債純資産合計

16,368,019

16,606,511


2025年3月31日

 決算短信_20250509085223

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

894,793

1,175,427

売掛金

690,920

743,603

商品

5,480,448

5,417,477

貯蔵品

2,272

3,064

前払費用

130,172

127,663

未収入金

276,133

297,449

その他

16,931

17,729

流動資産合計

7,491,671

7,782,414

固定資産

 

 

有形固定資産

 

 

建物(純額)

2,552,660

2,859,274

構築物(純額)

240,780

360,050

車両運搬具(純額)

33,608

36,867

工具、器具及び備品(純額)

409,714

454,992

土地

2,498,358

2,549,817

建設仮勘定

383,731

有形固定資産合計

6,118,853

6,261,003

無形固定資産

20,219

20,677

投資その他の資産

 

 

投資有価証券

248,405

345,563

関係会社株式

294

408

長期前払費用

34,493

33,051

繰延税金資産

920,305

913,647

長期預金

22,900

34,700

敷金及び保証金

1,023,834

972,696

リース投資資産

5,127

3,626

その他

180

230

投資その他の資産合計

2,255,541

2,303,923

固定資産合計

8,394,614

8,585,604

資産合計

15,886,285

16,368,019

 

 

 

 

(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

1,034,034

1,013,906

短期借入金

3,250,000

3,250,000

1年内返済予定の長期借入金

366,654

429,988

未払金

261,232

234,678

未払費用

252,945

411,634

未払法人税等

162,948

209,942

未払消費税等

138,538

98,023

前受金

65,015

66,958

預り金

79,981

29,962

賞与引当金

93,333

99,166

契約負債

415,222

291,670

その他

5,711

7,464

流動負債合計

6,125,616

6,143,396

固定負債

 

 

長期借入金

641,698

820,460

退職給付引当金

1,609,661

1,612,165

役員退職慰労引当金

166,108

170,355

資産除去債務

183,724

185,812

長期預り敷金保証金

50,222

49,322

固定負債合計

2,651,414

2,838,115

負債合計

8,777,031

8,981,511

純資産の部

 

 

株主資本

 

 

資本金

1,910,645

1,910,645

資本剰余金

 

 

資本準備金

500,645

500,645

資本剰余金合計

500,645

500,645

利益剰余金

 

 

利益準備金

42,692

42,692

その他利益剰余金

 

 

圧縮記帳積立金

62,240

58,249

別途積立金

1,230,000

1,230,000

繰越利益剰余金

3,390,617

3,658,474

利益剰余金合計

4,725,551

4,989,416

自己株式

108,380

108,380

株主資本合計

7,028,461

7,292,326

評価・換算差額等

 

 

その他有価証券評価差額金

80,791

94,181

評価・換算差額等合計

80,791

94,181

純資産合計

7,109,253

7,386,507

負債純資産合計

15,886,285

16,368,019

 

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2024年3月31日

 決算短信_20240509173924

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

989,110

894,793

売掛金

793,060

690,920

商品

5,784,832

5,480,448

貯蔵品

1,914

2,272

前払費用

134,446

130,172

未収入金

410,132

276,133

その他

23,965

16,931

流動資産合計

8,137,462

7,491,671

固定資産

 

 

有形固定資産

 

 

建物(純額)

2,362,231

2,552,660

構築物(純額)

228,554

240,780

車両運搬具(純額)

46,617

33,608

工具、器具及び備品(純額)

396,423

409,714

土地

2,320,859

2,498,358

建設仮勘定

2,200

383,731

有形固定資産合計

5,356,886

6,118,853

無形固定資産

23,895

20,219

投資その他の資産

 

 

投資有価証券

193,294

248,405

関係会社株式

116,030

294

長期前払費用

36,295

34,493

繰延税金資産

916,582

920,305

長期預金

31,650

22,900

敷金及び保証金

1,080,664

1,023,834

リース投資資産

18,949

5,127

その他

180

180

投資その他の資産合計

2,393,647

2,255,541

固定資産合計

7,774,429

8,394,614

資産合計

15,911,892

15,886,285

 

 

 

 

(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

1,560,848

1,034,034

短期借入金

3,050,000

3,250,000

1年内返済予定の長期借入金

309,993

366,654

リース債務

6,171

未払金

364,776

261,232

未払費用

219,703

252,945

未払法人税等

170,920

162,948

未払消費税等

51,142

138,538

前受金

78,570

65,015

預り金

30,563

79,981

賞与引当金

90,416

93,333

契約負債

434,077

415,222

その他

7,700

5,711

流動負債合計

6,374,882

6,125,616

固定負債

 

 

長期借入金

516,683

641,698

リース債務

46,033

退職給付引当金

1,585,942

1,609,661

役員退職慰労引当金

161,722

166,108

資産除去債務

175,954

183,724

長期預り敷金保証金

50,553

50,222

その他

22

固定負債合計

2,536,911

2,651,414

負債合計

8,911,793

8,777,031

純資産の部

 

 

株主資本

 

 

資本金

1,910,645

1,910,645

資本剰余金

 

 

資本準備金

500,645

500,645

資本剰余金合計

500,645

500,645

利益剰余金

 

 

利益準備金

42,692

42,692

その他利益剰余金

 

 

圧縮記帳積立金

65,511

62,240

別途積立金

1,230,000

1,230,000

繰越利益剰余金

3,253,022

3,390,617

利益剰余金合計

4,591,227

4,725,551

自己株式

108,380

108,380

株主資本合計

6,894,137

7,028,461

評価・換算差額等

 

 

その他有価証券評価差額金

105,960

80,791

評価・換算差額等合計

105,960

80,791

純資産合計

7,000,098

7,109,253

負債純資産合計

15,911,892

15,886,285

 

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