2.財務諸表

(1)貸借対照表

 

 

(単位:千円)

 

前期

(2025年3月31日)

当期

(2025年9月30日)

資産の部

 

 

流動資産

 

 

現金及び預金

26,189,268

21,967,274

信託現金及び信託預金

6,588,143

7,501,494

営業未収入金

446,603

661,865

前払費用

133,739

246,329

未収消費税等

87,863

-

その他

262,183

325,987

流動資産合計

33,707,800

30,702,952

固定資産

 

 

有形固定資産

 

 

建物

265,537,381

250,482,186

減価償却累計額

128,393,270

121,519,997

建物(純額)

137,144,110

128,962,188

構築物

3,153,020

2,654,553

減価償却累計額

1,442,686

1,185,241

構築物(純額)

1,710,334

1,469,311

機械及び装置

3,481,912

3,570,775

減価償却累計額

2,594,896

2,626,209

機械及び装置(純額)

887,016

944,566

工具、器具及び備品

651,045

496,340

減価償却累計額

438,543

359,799

工具、器具及び備品(純額)

212,501

136,541

土地

497,994,645

450,155,190

建設仮勘定

221,709

252,675

信託建物

121,797,751

138,323,197

減価償却累計額

43,185,571

54,346,707

信託建物(純額)

78,612,180

83,976,490

信託構築物

1,080,890

1,517,826

減価償却累計額

487,902

774,455

信託構築物(純額)

592,987

743,370

信託機械及び装置

1,007,098

1,011,358

減価償却累計額

688,664

699,527

信託機械及び装置(純額)

318,433

311,831

信託工具、器具及び備品

100,549

257,147

減価償却累計額

61,274

147,106

信託工具、器具及び備品(純額)

39,274

110,040

信託土地

325,256,255

365,137,449

信託建設仮勘定

9,943

13,238

有形固定資産合計

1,042,999,392

1,032,212,894

無形固定資産

 

 

借地権

8,670,544

8,654,714

地役権

826,648

826,648

その他

5,861

3,722

無形固定資産合計

9,503,054

9,485,086

 

 

 

 

(単位:千円)

 

前期

(2025年3月31日)

当期

(2025年9月30日)

投資その他の資産

 

 

投資有価証券

660,468

660,468

敷金及び保証金

1,580,934

1,580,934

長期前払費用

106,042

92,765

その他投資等

2,013,163

1,869,966

投資その他の資産合計

4,360,608

4,204,135

固定資産合計

1,056,863,055

1,045,902,115

繰延資産

 

 

投資法人債発行費

17,099

9,713

繰延資産合計

17,099

9,713

資産合計

1,090,587,955

1,076,614,782

負債の部

 

 

流動負債

 

 

営業未払金

5,540,973

4,343,571

短期借入金

24,000,000

35,000,000

1年内償還予定の投資法人債

20,000,000

10,000,000

1年内返済予定の長期借入金

52,500,000

36,700,000

未払金

2,812,985

2,318,048

未払費用

466,900

479,259

未払法人税等

8,347

3,728

未払消費税等

-

1,261,108

前受金

3,035,067

2,915,837

その他

5,600

4,742

流動負債合計

108,369,874

93,026,295

固定負債

 

 

投資法人債

12,993,175

12,993,175

長期借入金

365,200,000

366,500,000

預り敷金保証金

56,393,815

56,380,060

繰延税金負債

*2 4,525,130

*2 4,493,062

資産除去債務

389,657

393,583

固定負債合計

439,501,777

440,759,880

負債合計

547,871,652

533,786,175

純資産の部

 

 

投資主資本

 

 

出資総額

516,736,574

516,736,574

剰余金

 

 

任意積立金

 

 

圧縮積立金

*2 7,078,369

*2 8,248,601

任意積立金合計

7,078,369

8,248,601

当期未処分利益又は当期未処理損失(△)

18,901,358

17,843,430

剰余金合計

25,979,728

26,092,031

投資主資本合計

542,716,302

542,828,606

純資産合計

*3 542,716,302

*3 542,828,606

負債純資産合計

1,090,587,955

1,076,614,782

 

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