1419 タマホーム 2020-04-14 15:30:00
2020年5月期第3四半期 決算短信補足資料 [pdf]

                       決算短信 補⾜資料
                       Quarterly Report

                            2020年5⽉期第3四半期 連結決算
                    Consolidated Financial Results in Q3 of FY2020




                                 ⾃ 2019年6⽉1⽇  ⾄ 2020年2⽉29⽇

                                                       <ご注意>
             本資料は、当社の評価を⾏うための参考となる情報提供のみを⽬的としたものです。
                       投資等の最終決定は、ご⾃⾝の判断でなさるようお願い致します。
                        投資の結果等に対する責任は負いかねますのでご了承ください。
             当資料に掲載されている将来に関する記述の部分は、資料作成時点での判断ですが、
                    その内容の完全性・正確性を会社として保証するものではありません。
This report is provided solely for the information of professional analysts who are expected to make their own evaluation of
the company.This report contains forward-looking statements that are based on management's assumptions and beliefs in
       light of the information currently available to it and therefore you should not place undue reliance on them.
 These forward-looking statements involve known and unknown risks, uncertainties and other factors that may cause our
 actual results, performance or achievements to differ materially from that anticipated in these statements.These factors
           include changes in economic conditions, trends in our major markets, currency exchange rates, etc.
         We accept no liability whatsoever for any direct or consequential loss arising from any use of this report.




                                           タマホーム株式会社
                               ⽬  次 / Contents

1.   主要指標 ・・・・・・・・・・・・・・・・・・・・・・・・・・・・・・・・・・・・・・・・・・・・・・・・・・・   2
     Quarterly Consolidated Financial Highlights


2.   第3四半期連結財務諸表(9ヶ⽉累計)
     Consolidated Financial Statements
     (1)第3四半期連結貸借対照表 ・・・・・・・・・・・・・・・・・・・・・・・・・・・・・・             4
         Consolidated Statement of Financial Position
     (2)第3四半期連結損益計算書 ・・・・・・・・・・・・・・・・・・・・・・・・・・・・・・             6
         Consolidated Statement of Comprehensive Income
     (3)セグメント情報 ・・・・・・・・・・・・・・・・・・・・・・・・・・・・・・・・・・・・・・・・        7
         Segment Information




                                             1
                                                                                           TAMA HOME CO,.LTD.(1419)Quarterly Report
                                                                                             Second quarter, year ending May 31, 2020
1. 主要指標 / Quarterly Consolidated Financial Highlights

<売上⾼および利益 / Revenue and Profit>                                                                             (単位︓百万円/Millions of Yen)

                                                                前第3四半期              当第3四半期                   増  減 / Variance
                                                               Feb. 28, 2019       Feb. 29, 2020
                                                                  (3Q)                (3Q)             ⾦ 額 / Amount       (%)

   売上⾼
                                                                      120,781             144,271             23,489             19.4
    Net sales
   営業利益
                                                                        2,686               5,558              2,871            106.9
    Operating income
   営業利益率
                                                                           2.2%              3.9%              1.6%                 -
    Operating margin
   経常利益⼜は経常損失(△)
                                                                        2,422               5,356              2,933            121.1
    Ordinary income (loss)
   経常利益率
                                                                           2.0%              3.7%              1.7%                 -
    Ordinary margin
   税⾦等調整前四半期純利益
                                                                        2,097               5,164              3,067            146.3
    Income before income taxes and minority interests
    税⾦等調整前四半期純利益率
                                                                           1.7%              3.6%              1.8%                 -
      Income rate before income taxes and minority interests
   親会社株主に帰属する四半期純利益
                                                                        1,438               3,465              2,027            140.9
    Income attributable to owners of parent
    親会社株主に帰属する四半期純利益率
                                                                           1.2%              2.4%              1.2%                 -
      Income rate attributable to owners of parent
   1株当たり四半期利益(円)
                                                                        47.87              117.03              69.16            144.5
    Net incomeper share(Yen)
   潜在株式調整後1株当たり四半期利益
                                                                               -                   -                  -             -
    Diluted net income per share
   ⾃⼰資本四半期純利益率
                                                                               -           18.4%                      -             -
    Return on equity
   総資産経常利益率
                                                                               -             5.6%                     -             -
    Ordinary income to total assets ratio


<財政状態 / Financial Position>
                                                                                    当第3四半期                   増  減 / Variance
                                                                  前期末
                                                                                   Feb. 29, 2020
                                                               May 31, 2019
                                                                                      (3Q)             ⾦ 額 / Amount       (%)

   総資産
                                                                       89,497             100,982             11,484             12.8
    Total assets
   純資産
                                                                       18,190              19,499              1,309              7.2
    Net assets
   ⾃⼰資本⽐率
                                                                       20.3%               19.3%               -1.0%                -
    Equity ratio
   1株当たりの純資産
                                                                       603.47              660.10              56.63              9.4
    Total equity per share of common stock




                                                                       2
<通期(年間)業績予想 / Consolidated financial forecasts for the fiscal year ending May 31, 2020>

                                                                                                          増  減 / Variance
                                                                   前期実績              今回予想
                                                                 May 31, 2019      May 31, 2020
                                                                                                    ⾦ 額 / Amount      (%)

   売上⾼
                                                                       186,874           205,000           18,125             9.7%
    Net sales
   営業利益
                                                                         7,366             9,000            1,633            22.2%
    Total accumulated other comprehensive income
   経常利益
                                                                         6,955             9,000            2,044            29.4%
    Ordinary income
   親会社株主に帰属する当期純利益
                                                                         3,934             4,600              665            16.9%
    Net income (loss)
   1株当たり当期純利益(円)
                                                                        130.89            155.53            24.64            18.8%
    Income (loss) per share of common stock (Yen)
   1株当たり配当⾦(円)
                                                                            53.0             70.0            17.0            32.1%
    Cash dividends per share of common stock applicable to the
    中間配当(円)
                                                                            15.0              0.0          △ 15.0           -100.0%
     Interim dividend(Yen)
    期末配当(円)
                                                                            38.0             70.0            32.0                 -
     Year-end dividend(Yen)
    年間配当(円)
                                                                            53.0             70.0            17.0            32.1%
     Annual dividend(Yen)




                                                                        3
                                                                                                    TAMA HOME CO,.LTD.(1419)Quarterly Report
                                                                                                      Second quarter, year ending May 31, 2020
2. 第3四半期連結財務諸表(9ヶ⽉累計) / Consolidated Financial Statements
(1) 第3四半期連結貸借対照表 / Consolidated Statement of Financial Position
                                                                                                            (単位︓百万円 / Millions of Yen)
                                                                                 前期末                 当第3四半期末          増  減
                                                                               2019/5/31              2020/2/29               Variance
                                                                         ⾦ 額           構成⽐         ⾦ 額        構成⽐         ⾦ 額            増減
                                                                         Amount        (%)         Amount      (%)        Amount         (%)

資産の部
  Assets
 流動資産
  Current assets
    現⾦及び預⾦
                                                                           27,013                    25,548                △ 1,465
     Cash and deposits
    受取⼿形・完成⼯事未収⼊⾦等
                                                                               1,278                  1,184                  △ 93
     Notes receivable, accounts receivable from completed construction

    営業貸付⾦
                                                                               4,959                  9,163                  4,204
     Operating loans
    販売⽤不動産
                                                                               8,191                  8,525                   333
     Real estate for sale
    未成⼯事⽀出⾦
                                                                           11,048                    16,516                  5,467
     Cost on uncompleted construction contracts
    仕掛販売⽤不動産
                                                                               8,645                 12,369                  3,724
     Real estate for sale in prosess
    その他のたな卸資産
                                                                                502                    519                      17
     Other inventories
    その他
                                                                               1,283                  1,754                   470
     Other
    貸倒引当⾦
                                                                                △2                     △2                          0
     Allowance for doubtful accounts

                流動資産合計 / Total current assets                                 62,920        70.3     75,579        74.8     12,658         20.1

 固定資産
  Noncurrent assets
    有形固定資産
                                                                           19,778                    19,217                 △ 561
     Property, plant and equipment
    無形固定資産
                                                                                117                      96                  △ 21
     Intangible assets
    投資その他の資産
                                                                               6,680                  6,089                 △ 591
     Investments and other assets

             固定資産合計 / Total noncurrent assets                              26,577           29.7     25,402        25.2    △ 1,174        △ 4.4


                       資産合計 / Total assets                                 89,497          100.0    100,982       100.0     11,484         12.8




                                                                          4
                                                                                                 TAMA HOME CO,.LTD.(1419)Quarterly Report
                                                                                                    Second quarter, year ending May 31, 2020


                                                                                                             (単位︓百万円 / Millions of Yen)
                                                                              前期末                 当第3四半期末
                                                                                                                       増  減
                                                                            2019/5/31              2020/2/29
                                   科 ⽬
                                                                       ⾦ 額          構成⽐         ⾦ 額          構成⽐         ⾦ 額          増減
                                                                       Amount       (%)         Amount       (%)         Amount       (%)
負債の部
  Liabilities
  流動負債
   Current liabilities
      ⽀払⼿形・⼯事未払⾦等
       Notes payable, accounts payable for construction                  14,528                   13,571                   △ 956
       contracts and other
      短期借⼊⾦
                                                                            8,585                 16,220                    7,634
       Short-term loans payable
      1年内返済予定の⻑期借⼊⾦
                                                                            3,907                  2,216                  △ 1,690
       Current portion of long-term loans payable
      未払法⼈税等
                                                                            2,071                   128                   △ 1,943
       Income taxes payable
      未成⼯事受⼊⾦
                                                                         23,191                   30,744                    7,553
       Advances received on uncompleted construction contracts
      完成⼯事補償引当⾦
                                                                            1,230                  1,344                     113
       Provision for warranties for completed construction
      賞与引当⾦
                                                                             146                    745                      598
       Provision for bonuses
      その他
                                                                            7,029                  5,789                  △ 1,240
       Other

                   流動負債合計 / Total long-term liabilities                  60,691          67.8     70,760       70.1        10,068       16.6

  固定負債
   Long-term liabilities
      ⻑期借⼊⾦
                                                                            7,346                  7,304                    △ 42
       Long-term loans payable
      資産除去債務
                                                                            1,558                  1,560                          2
       Asset retirement obligations
      その他
                                                                            1,710                  1,856                     146
       Other

                   固定負債合計 / Total long-term liabilities                  10,615          11.9     10,721       10.6          106            1.0


                           負債合計 / Total liabilities                      71,307          79.7     81,482       80.7        10,174       14.3

純資産の部
  Net assets
  株主資本
   Shareholdersʼ equity
      資本⾦
                                                                            4,310                  4,310                          -
       Capital stock
      資本剰余⾦
                                                                            4,357                  4,279                    △ 77
       Capital surplus
      利益剰余⾦
                                                                            9,076                 10,584                    1,508
       Retained earnings

                   株主資本合計 / Total long-term liabilities                  17,743          19.8     19,174       19.0         1,431           8.1

  その他の包括利益累計額
   Accumulated other comprehensive income(loss)
      その他有価証券評価差額⾦
                                                                                4                        7                        3
       Unrealized gain(loss) on available-for-sale securitie
      繰延ヘッジ損益
                                                                                3                        1                   △2
       Deferred gain(loss) on derivatives under hedge accounting
      為替換算調整勘定
                                                                             385                    259                    △ 125
       Foreign currency translation adjustments

 その他の包括利益累計額合計 / Total accumulated other comprehensive income (loss)         393          0.4       268            0.3     △ 124      △ 31.7

  ⾮⽀配株主持分
                                                                              52          0.1         55           0.1            2         5.6
   Non-controlling interests

                         純資産合計 / Total net assets                        18,190          20.3     19,499       19.3         1,309           7.2


                負債純資産合計 / Total liabilities and net assets               89,497         100.0    100,982      100.0        11,484       12.8




                                                                        5
                                                                                            TAMA HOME CO,.LTD.(1419)Quarterly Report
                                                                                               Second quarter, year ending May 31, 2020


(2) 第3四半期連結損益計算書 / Consolidated Statement of Comprehensive Income
                                                                                                          (単位︓百万円 / Millions of Yen)
                                                                              連結累計四半期 / Consolidated cumulative quarter
                                                                      2019/2/28               2020/2/29              増減 / Variance
                                                                 ⾦ 額           百分⽐                     百分⽐         ⾦ 額          百分⽐
                                                                                            ⾦ 額
                                                                 Amount         (%)                    (%)         Amount       (%)
売上⾼
                                                                  120,781         100.0     144,271       100.0      23,489          19.4
 Net sales
 売上原価
                                                                   89,740          74.3     109,437        75.9      19,696          21.9
  Cost of sales
   売上総利益
                                                                   31,041          25.7      34,834        24.1       3,793          12.2
    Gross profit
   販売費及び⼀般管理費
                                                                   28,354          23.5      29,275        20.3        921            3.2
    Selling, general and administrative expenses
  営業利益
                                                                      2,686           2.2     5,558          3.9      2,871             -
   Operating income
     受取利息
                                                                          7                       3                    △3
      Interest income
     受取配当⾦
                                                                          0                       0                         0
      Dividends income
     仕⼊割引
                                                                        42                        56                     14
      Purchase discounts
      為替差益
                                                                        70                        10                  △ 59
      Foreign exchange gains
     違約⾦収⼊
                                                                        47                        56                        9
      Penalty income
     持分法による投資利益
                                                                          -                       0                         0
       Equity in earnings of affiliates
     その他
                                                                        85                        63                  △ 21
      Other
     営業外収益合計
                                                                       253            0.2      192           0.1      △ 60      △ 24.0
      Total other income
     ⽀払利息
                                                                       257                     155                   △ 102
      Interest expenses
      シンジケートローン⼿数料
                                                                        90                        4                   △ 86
      Commission for syndicate loan
     アレンジメントフィー
                                                                          -                       94                     94
      Arrangement fees
     持分法による投資損失
                                                                          0                        -                        -
      Equity in earnings of affiliates
     その他
                                                                       168                     140                    △ 28
      Other
     営業外費⽤合計
                                                                       517            0.4      395           0.3     △ 122      △ 23.7
      Total other expenses
  経常利益
                                                                      2,422           2.0     5,356          3.7      2,933             -
   Ordinary income
      固定資産売却益
                                                                          -                       5                         5
       Gain on sales of noncurrent assets
      事業撤退損戻⼊⾦
                                                                        82                         -                        -
       Reversal of loss on business withdrawal
      投資有価証券売却益
                                                                          -                       3                         -
       Gain on sales of investment securities
     特別利益合計
                                                                        82            0.1         5          0.0      △ 76      △ 92.7
      Total extraordinary income
      固定資産除却損
                                                                        33                     112                       78
       Loss on cancellation of lease contracts
      投資有価証券評価損
                                                                          -                       9                         -
       Loss on valuation of investment securities
      リース解約損
                                                                        14                        17                        3
       Loss on cancellation of lease contracts
      減損損失
                                                                       359                        61                 △ 298
       Impairment loss
     特別損失合計
                                                                       407            0.3      200           0.1     △ 207      △ 50.8
      Total extraordinary loss
  税⾦等調整前四半期純利益
                                                                      2,097           1.7     5,161          3.6      3,064             -
   Income before income taxes
    法⼈税、住⺠性及び事業税
                                                                       592                    1,041                    448
     Income taxes̶current
    法⼈税等調整額
                                                                        52                     639                     587
     Income taxes̶deferred
  法⼈税等合計
                                                                       644            0.5     1,680          1.2      1,036      160.9
   Total income taxes
  ⾮⽀配株主に帰属する四半期純利益
                                                                        14            0.0         18         0.0            4    29.9
   Net income (loss) attributable to non-controlling interests

  親会社株主に帰属する四半期純利益
                                                                      1,438           1.2     3,465          2.4      2,027             -
   Net income (loss) attributable to owners of parent




                                                                  6
                                                                             TAMA HOME CO,.LTD.(1419)Quarterly Report
                                                                                Second quarter, year ending May 31, 2020
(3) セグメント情報 / Segment Information
    報告セグメントの概要 / Overview of major products and services of reportable segments


当社の報告セグメントは、当社の構成単位のうち分離された財務情報が⼊⼿可能であり、取締役会が経営資源の配分の決定及び業績を
評価するために、定期的に検討を⾏う対象となっているものであります。


当社は、住宅の建築請負をはじめとして多分野にわたる総合的な事業展開を⾏っており、その報告セグメントは、事業領域を基礎とし
た製品・サービス別に「その他」の事業領域を除いた「住宅事業」「不動産事業」「⾦融事業」「エネルギー事業」の4つで構成して
おります。


「住宅事業」は、⼾建住宅の建築請負、リフォームを⾏っております。


「不動産事業」は、⼾建分譲・マンションの開発・分譲、賃貸ビルのサブリース、オフィス区分所有権の販売、不動産仲介を⾏ってお
ります。


「⾦融事業」は、⽕災保険、⽣命保険等の保険代理業、住宅購⼊者向けつなぎ融資を⾏っております。


「エネルギー事業」は、メガソーラー発電施設の運営、経営を⾏っております。


The reportable segments are constituent units of the Group for which separate financial information is obtained and
examined on a regular basis by the Board of Directors, the chief operation decision maker, to determine the allocation of
management resources and evaluate the business performance.


The TamaHome Group develops and provides products and services that enrich the daily lives of our customers based on
the core theme of housing construction.


In accordance with the medium-term management plan, the Group has categorized “Housing” and “Non-housing” as its
business domains.

 上記のように決定された報告セグメントにおける主な事業内容は次の通りであります。
  報告セグメント                      主な事業内容
                      注⽂住宅の建築請負、リフォーム⼯事等の請負、外構⼯事等付帯⼯事の紹介、
住宅事業
                      プレカットCAD⼊⼒・図⾯作成等の設計⽀援事業
                      分譲宅地・⼾建分譲の販売、マンションの企画・開発・販売、
不動産事業
                      オフィスビルの転貸事業、オフィス区分所有権販売

⾦融事業                  ⽕災保険等の保険代理店業務、注⽂住宅購⼊者向けつなぎ融資


エネルギー事業               メガソーラー発電施設の運営、経営


 The main products and services for each “reportable segment” described above are as follows:
Reportable Segment                                    Major Products and Services
                      ● Construction contractor for custom-built homes
                      ● Contractor for home renovation and other work
  Housing
                      ● Referrals for ancillary services and construction such as landscaping work
                      ● Support of drawing with CAD
                      ● Sale of residential lots and detached homes
                      ● Planning, development and sale of condominiums
  Real estate
                      ● Subleasing of office buildings
                      ● Sale of comparted ownership of office floors
                      ● Insurance agency services for fire, earthquake, as well as additional policies and
  Financial             agency services
                      ● Bridge loans for customers purchasing custombuilt homes

  Energy              ● Administration of mega solar generation facilities, management




                                                         7
                                                                                                              TAMA HOME CO,.LTD.(1419)Quarterly Report
                                                                                                                Second quarter, year ending May 31, 2020

① セグメント収益及び業績 / Segment revenues and results
                                                                                                                               (単位︓百万円 / Millions of Yen)
前連結会計年度 / Consolidated cumulative Second quarter ︓ February 28, 2019
                                         報告セグメント / Segment                                                                                                連結財務諸
                                                                                                                       その他         合計        調整額
                                                住宅事業          不動産事業         ⾦融事業            エネルギー事業         計                                             表計上額
                                                                                                                       Other       Total    Adjustments
                                                Housing       Real estate   Financial        Energy       Sub total                                       All operations


 売上⾼ / Revenue

 (1) 外部顧客に対する売上⾼
                                                 96,258          18,680           790            637      116,366       4,414 120,781                 - 120,781
 Revenue from external customers
 (2) セグメント間の売上収益
                                                    188             151                 -             -          340    6,275       6,615 △ 6,615                     -
  Inter-segment

                 計 / Total                       96,447          18,831           790            637      116,707      10,690 127,397 △ 6,615 120,781

 セグメント利益⼜は損失(△)
                                                △ 2,468           4,615           252            229         2,629             8    2,637           49         2,686
  Segment profit before tax
 セグメント利益率
                                                          -      24.7%        31.9%           36.0%           2.3%      0.2%        2.2%              -        2.2%
 Segment profit before tax ratio

当連結会計年度 / Consolidated cumulative Second quarter ︓ February 29, 2020
                                         報告セグメント / Segment                                                                                                連結財務諸
                                                                                                                       その他         合計        調整額
                                                住宅事業          不動産事業         ⾦融事業            エネルギー事業         計                                             表計上額
                                                                                                                       Other       Total    Adjustments
                                                Housing       Real estate   Financial        Energy       Sub total                                       All operations


 売上⾼ / Revenue

 (1) 外部顧客に対する売上⾼
                                                116,048          21,889        1,015             584      139,538       4,733 144,271                 - 144,271
 Revenue from external customers
 (2) セグメント間の売上収益
                                                    230               55                -             -          285    6,935       7,221 △ 7,221                     -
  Inter-segment

                 計 / Total                      116,278          21,944        1,015             584      139,823      11,668 151,492 △ 7,221 144,271

 セグメント利益
                                                  1,045           3,549           382            148         5,126        364       5,490           68         5,558
  Segment profit before tax
 セグメント利益率
                                                   0.9%          16.2%        37.7%           25.4%           3.7%      7.7%        3.8%              -        3.9%
 Segment profit before tax ratio

<参考> 前年同期との増減⽐較は、次の通りです︓
 Ref : Difference between the results of the quarter under review and the same period the previous year is as follows:
                                                                 報告セグメント / Segment                                                                        連結財務諸
                                                                                                                       その他         合計        調整額
                                                住宅事業          不動産事業         ⾦融事業            エネルギー事業         計                                             表計上額
                                                                                                                       Other       Total    Adjustments
                                                Housing       Real estate   Financial        Energy       Sub total                                       All operations


 売上⾼ / Revenue

 (1) 外部顧客に対する売上⾼
                                                 19,789           3,209           225          △ 53         23,171        318      23,489             -      23,489
 Revenue from external customers
 (2) セグメント間の売上収益
                                                      41           △ 96                 -             -       △ 54        660         605      △ 605                  -
  Inter-segment

               増減計 / Total                       19,831           3,113           225          △ 53         23,116        978      24,094     △ 605          23,489

 セグメント利益⼜は損失(△)
                                                  3,514        △ 1,066            130          △ 81          2,497        355       2,853           18         2,871
  Segment profit before tax
 セグメント利益率の増減
                                                          -       -8.5%         5.8%         -10.6%           1.4%      7.5%        1.6%              -        1.6%
   Variance of segment profit before tax ratio




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                                                                                   TAMA HOME CO,.LTD.(1419)Quarterly Report
                                                                                     Second quarter, year ending May 31, 2020

② 主要な製品及び役務からの売上収益 / Revenue from major products and services

                                               連結累計四半期                                                       前期
                                       Consolidated cumulative quarter                増 減             For the year ended
                                                                                    Variance
                                       2019/2/28             2020/2/29                                   2019/5/31
                                     ⾦額                    ⾦額                    ⾦額                     ⾦額
                                              (%)                   (%)                   (%)                    (%)
                                    Amount                Amount                Amount                Amount
全事業の製品別明細 / Revenue from all operations

住宅事業 / Housing                       96,447        79.9   116,278        80.6    19,831        20.6 151,929        81.3

    注⽂住宅
                                     91,541               110,121                18,579               144,872
     Custom-built homes
    リフォーム
                                      3,804                 4,811                 1,006                  5,504
     Home renovation
    その他売上
                                      1,100                 1,345                   244                  1,553
     Other

⾮住宅事業 / Non housing                  30,950        25.6    35,214        24.4     4,263        13.8    43,998      23.5

    不動産事業
                                     18,831                21,944                 3,113                26,843
     Real estate
    ⾦融事業
                                        790                 1,015                   225                  1,165
     Financial
    エネルギー事業
                                        637                   584                 △ 53                    882
     Energy
    その他事業
                                     10,690                11,668                   978                15,107
     Other

       調整 / Adjustments             △ 6,615           -   △ 7,221           -    △ 605            - △ 9,053            -

外部顧客からの売上収益
                                    120,781     100.0     144,271    100.0       23,489        19.4 186,874       100.0
Total revenue from all operations




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