建物(純額)、関係会社長期貸付金、資本剰余金他1件
- 【期間】
年度 | 建物(純額) | 関係会社長期貸付金 | 資本剰余金 | 工具 |
---|
2008/12 | 474億 | | 151億 | | 268百万 | | 21.9億 | |
2009/12 | 472億 | -0.6% | 128億 | -15.3% | 268百万 | ±0% | 29.2億 | +33.6% |
2010/06 | 752億 | +59.5% | - | | 268百万 | ±0% | - | |
2010/12 | 738億 | -1.9% | 116億 | -9.6% | 268百万 | ±0% | 23.3億 | -20.4% |
2011/06 | - | | - | | 268百万 | ±0% | - | |
2011/12 | 726億 | -1.6% | 111億 | -4.1% | 268百万 | ±0% | 19.1億 | -17.8% |
2012/06 | - | | - | | 268百万 | ±0% | - | |
2012/12 | 722億 | -0.5% | 115億 | +3.5% | 268百万 | ±0% | 15.1億 | -21.2% |
2013/12 | 679億 | -6% | 104億 | -9.8% | 268百万 | ±0% | 14.3億 | -5% |
2014/06 | 667億 | -1.7% | - | | 268百万 | ±0% | - | |
2014/12 | 725億 | +8.6% | 23.9億 | -76.9% | 268百万 | ±0% | 14.2億 | -0.7% |
2015/06 | 705億 | -2.6% | - | | 268百万 | ±0% | - | |
2015/12 | 698億 | -1.1% | 12.4億 | -48.3% | 268百万 | ±0% | 16.5億 | +16.3% |
2016/06 | 691億 | -0.9% | - | | 268百万 | ±0% | - | |
2016/12 | 682億 | -1.4% | 113億 | +817.2% | 268百万 | ±0% | 18.3億 | +10.9% |
2017/06 | 722億 | +5.9% | - | | 463百万 | +72.8% | - | |
2017/12 | 709億 | -1.8% | 165億 | +45.7% | 463百万 | ±0% | 25.1億 | +37.3% |
2018/06 | 699億 | -1.5% | - | | 463百万 | ±0% | - | |
2018/12 | 707億 | +1.2% | 112億 | -31.9% | 463百万 | ±0% | 28.6億 | +13.9% |
2019/06 | 609億 | -13.9% | - | | 463百万 | ±0% | - | |
2019/12 | 800億 | +31.3% | 227億 | +101.9% | 463百万 | ±0% | 35.7億 | +24.7% |
2020/06 | 866億 | +8.2% | - | | 463百万 | ±0% | - | |
2020/12 | 825億 | -4.7% | 386億 | +70% | 463百万 | ±0% | 32.7億 | -8.3% |
2021/06 | 816億 | -1.1% | - | | 463百万 | ±0% | - | |
2021/12 | 825億 | +1.1% | 286億 | -25.9% | 463百万 | ±0% | 30.1億 | -8.1% |
2022/06 | 809億 | -1.9% | - | | 463百万 | ±0% | - | |
2022/12 | 874億 | +8% | 307億 | +7.4% | 463百万 | ±0% | 27.2億 | -9.5% |
2023/06 | 815億 | -6.8% | - | | 463百万 | ±0% | - | |
2023/12 | 886億 | +8.8% | 212億 | -30.9% | 463百万 | ±0% | 26億 | -4.3% |
2024/06 | 940億 | +6.1% | - | | 463百万 | ±0% | - | |