レオパレス21JP:8848

時価総額
¥1989.5億
PER
4.6倍
自社物件の賃貸・管理、アパート建築請負、社宅代行・不動産仲介、賃料債務保証、太陽光発電、家財保険販売、介護施設運営、ファイナンス事業、ゴルフ場・ホテル運営、事務代行事業。
2012年
3月31日
2013年
3月31日
2014年
3月31日
2015年
3月31日
2016年
3月31日
2017年
3月31日
2018年
3月31日
2019年
3月31日
2020年
3月31日
2021年
3月31日
2022年
3月31日
2023年
3月31日
2024年
3月31日
現金及び預金-56,68174,76775,22188,043104,432106,54384,53660,50154,86345,52353,56068,627
売掛金-4,3605,4906,2546,7796,5477,6266,9087,2607,9308,6188,1217,670
完成工事未収入金-2,2311,6511,7141,9922,3551,9571,709532524443432628
未成工事支出金-339501647785518458680725238213159182
販売用不動産---21214219521,0271,189180693273129
貯蔵品-----------704426
未成工事支出金-339501647785518458680725238213159182
前払費用-12,7726,6793,6562,8472,8273,5442,9523,0532,0761,6341,3201,757
原材料及び貯蔵品-457464609588526528565539497405775533
未収入金-1,0171,5843,0131,6308311,0271,1981,2421,819730710964
前払費用-12,7726,6793,6562,8472,8273,5442,9523,0532,0761,6341,3201,757
預け金-----------2,3772,334
未収入金-1,0171,5843,0131,6308311,0271,1981,2421,819730710964
関係会社短期貸付金-----------2,5401,712
その他-6,7225,4794,9074,2834,2284,2494,2554,5434,1993,9544,4254,838
その他-6,7225,4794,9074,2834,2284,2494,2554,5434,1993,9544,4254,838
貸倒引当金--346-221-199-212-186-145-142-164-182-2,255-3,027-2,904
貸倒引当金--346-221-199-212-186-145-142-164-182-2,255-3,027-2,904
流動資産-90,896102,324102,263114,904133,786138,661110,75788,30472,59860,16166,75282,428
流動資産-90,896102,324102,263114,904133,786138,661110,75788,30472,59860,16166,75282,428
建物-----------3,7193,575
建物及び構築物-111,349121,075130,100130,653102,68093,36388,83364,33353,77856,17360,82963,732
減価償却累計額--56,609-64,001-70,200-72,673-60,852-50,657-48,291-40,469-34,220-37,321-41,663-44,808
建物及び構築物(純額)-54,74057,07359,89957,97941,82742,70540,54223,86319,55718,85219,16518,923
構築物-----------5045
機械装置及び運搬具-3,2747,32620,25923,36921,74121,25421,41420,69020,60120,79421,07121,218
減価償却累計額--2,651-3,376-5,143-7,264-7,535-8,707-10,228-10,892-12,011-13,260-14,474-15,468
機械装置及び運搬具(純額)-6223,95015,11516,10514,20612,54711,1859,7988,5897,5346,5965,750
機械及び装置-------------
土地-80,78081,80083,28984,24180,38863,63849,22136,89331,11831,26931,22031,661
工具、器具及び備品-----------125101
リース資産-6,83211,47014,80917,66324,79531,83932,17830,75628,92426,46121,92115,392
減価償却累計額--5,034-6,302-6,928-8,246-11,143-15,810-20,446-23,558-25,418-24,485-20,375-13,903
リース資産-1,7985,1677,8809,41713,65216,02811,7327,1973,5061,9761,5461,488
土地-80,78081,80083,28984,24180,38863,63849,22136,89331,11831,26931,22031,661
建設仮勘定-1753,7129922,4443,9115,2083,4702088292119219
リース資産-1,7985,1677,8809,41713,65216,02811,7327,1973,5061,9761,5461,488
その他-10,07510,84412,06511,8509,77010,99015,28316,81718,35818,48316,96016,748
減価償却累計額--9,194-10,046-9,811-10,001-8,489-7,775-8,220-9,244-11,160-13,557-14,243-15,655
その他(純額)-8807972,2531,8481,2813,2157,0627,5727,1984,9262,7161,093
建設仮勘定-1753,7129922,4443,9115,2083,4702088292119219
有形固定資産-138,997152,503169,430172,036155,267143,344123,21585,53470,05264,65261,36459,137
有形固定資産-138,997152,503169,430172,036155,267143,344123,21585,53470,05264,65261,36459,137
ソフトウエア-----------983601
その他-6,6136,6017,2107,8048,4618,1027,2505,3764,1613,1302,6121,358
その他-6,6136,6017,2107,8048,4618,1027,2505,3764,1613,1302,6121,358
無形固定資産-6,6136,6018,8949,33411,64210,9889,5755,5044,1733,1362,6121,358
無形固定資産-6,6136,6018,8949,33411,64210,9889,5755,5044,1733,1362,6121,358
投資有価証券-7,1767,2576,8328,23012,45317,99916,9038,1635,4315,1805,3844,827
関係会社株式-----------23,82925,100
長期貸付金-5705625405445165135011,0251,0961,126510506
長期貸付金-5705625405445165135011,0251,0961,126510506
固定化営業債権-1,9001,4201,2971,2561,2461,264214225249267249273
関係会社長期貸付金-----------4,7745,725
長期前払費用-8,1273,7193,4163,6863,8203,8313,2522,2501,121577422359
固定化営業債権-1,9001,4201,2971,2561,2461,264214225249267249273
繰延税金資産-------23,6501,2972,1946,59625,15251,730
長期前払費用-8,1273,7193,4163,6863,8203,8313,2522,2501,121577422359
その他-3,3393,0372,9052,2323,1293,9694,3335,3285,4434,6475,8777,573
繰延税金資産-------23,6501,2972,1946,59625,15251,730
貸倒引当金--2,606-2,153-2,085-2,023-2,073-2,023-941-905-651-914-1,778-3,194
その他-3,3393,0372,9052,2323,1293,9694,3335,3285,4434,6475,8777,573
投資その他の資産-25,09425,99627,56130,66136,57952,19447,91417,38514,88317,48035,81962,075
貸倒引当金--2,606-2,153-2,085-2,023-2,073-2,023-941-905-651-914-1,778-3,194
投資その他の資産-25,09425,99627,56130,66136,57952,19447,91417,38514,88317,48035,81962,075
固定資産-170,705185,100205,887212,033203,489206,527180,705108,42489,10985,26999,796122,571
資産-261,649287,459308,274327,609337,828337,257291,790196,953161,708145,430166,548205,000
買掛金-2,6702,6852,8032,6062,8264,2454,0373,3763,1722,5522,5492,875
工事未払金-14,30712,12814,04912,19312,1867,8324,7151,24551442734104
1年内返済予定の長期借入金-2,9402,94023,0051,4121,2631,7542,7682,6591145359620
リース債務-1,0971,5752,3553,0544,6475,9605,3204,3443,1331,9921,155297
未払金-13,25216,00118,46619,22919,06622,33714,92214,9359,5939,12312,67315,036
未払法人税等-3949989442,9192,5449427988406961,304451423
前受金-49,03645,05140,78140,76640,00339,96434,63531,99728,23931,73334,13433,855
未成工事受入金-3,8075,2426,9305,0265,3814,5923,6511,783541268144227
預り金-----------2,8382,523
完成工事補償引当金-71231404447412389347117677419
完成工事補償引当金-71231404447412389347117677419
保証履行引当金-4575827008601,0821,1581,1381,2002,7832,187603926
補修工事関連損失引当金-------50,7078,3023,7771,9416,0536,660
その他-4,6254,5174,5044,3014,1014,3633,9193,3543,8613,7323,8603,111
流動負債-105,14492,560116,52197,44997,524100,212141,76590,00665,79859,54261,72464,158
長期借入金-30,02027,0777,19614,10613,26716,64318,31815,65030,61530,42930,35929,225
リース債務-1,0544,1546,4507,65910,73912,2268,5014,5321,544569275737
長期前受金-32,35727,62822,19818,95016,61415,85311,8699,4517,8697,1516,3995,662
長期預り敷金保証金-8,9848,4928,0197,5167,1526,9896,5996,2866,4237,3827,5487,214
退職給付引当金-8,634---------8,7889,023
補修工事関連損失引当金--------47,94529,73216,14511,5308,679
補修工事関連損失引当金--------47,94529,73216,14511,5308,679
繰延税金負債-------5591113-
空室損失引当金-13,9509,3525,2803,8023,1833,0443,9024,1912,9601,4143,5904,683
株式給付引当金------------529
その他-1,8232,1822,4922,7542,9203,2243,0863,4653,8262,2222,4702,417
退職給付に係る負債--10,0509,35110,22411,2957,3388,2138,7019,6509,5259,71410,011
固定負債-98,35390,03765,27985,29481,43377,60668,687105,35792,63374,85471,90169,161
その他-1,8232,1822,4922,7542,9203,2243,0863,4653,8262,2222,4702,417
固定負債-98,35390,03765,27985,29481,43377,60668,687105,35792,63374,85471,90169,161
負債-203,498182,598181,801182,743178,958177,819210,452195,363158,431134,396133,625133,320
資本金-62,86775,28275,28275,28275,28275,28275,28275,28281,282100100100
資本準備金-----------51,23510,000
その他資本剰余金-----------79,98615,103
資本剰余金-39,42451,50151,50145,23545,23545,23545,14845,14855,174136,345136,24030,121
資本剰余金-39,42451,50151,50145,23545,23545,23545,14845,14855,174136,345136,24030,121
繰越利益剰余金------------106,84744,554
利益剰余金--31,018-15,78842726,12539,92337,839-38,635-118,874-142,586-135,749-116,00632,867
利益剰余金--31,018-15,78842726,12539,92337,839-38,635-118,874-142,586-135,749-116,00632,867
自己株式--4,726-3,660-3,660-3,660-3,660-430-655-473-344-302-205-4,359
株主資本-66,546107,334123,550142,982156,779157,92681,1401,083-6,47439220,12858,729
その他有価証券評価差額金-6484273794355745862801,047--39-97-85
評価・換算差額等--8,413-2,5042,9043,1901,9331,117-224220-2,0196753,9865,175
為替換算調整勘定--9,061-2,1163,5453,6512,027872-176-280-1,8777464,1175,330
退職給付に係る調整累計額---815-1,021-895-668-341-327-546-142-31-32-69
評価・換算差額等--8,413-2,5042,9043,1901,9331,117-224220-2,0196753,9865,175
新株予約権-18181818136284404269388357284242
純資産33,83158,151104,860126,473146,211158,870159,43881,3381,5893,27711,03432,92271,679
非支配株主持分----2020109171611,3839,6088,5227,532
純資産33,83158,151104,860126,473146,211158,870159,43881,3381,5893,27711,03432,92271,679
負債純資産-261,649287,459308,274327,609337,828337,257291,790196,953161,708145,430166,548205,000