その他、営業活動によるキャッシュ・フロー、有形固定資産合計

【期間】
年度その他営業活動によるキャッシュ・フロー有形固定資産合計
2008/123.02億-277億1581億
2009/126.16億 +104%589億 黒転1556億 -1.6%
2010/060.23億 -96.3%1490億 +152.9%1525億 -1.9%
2010/120.35億 +52.2%880億 -41%1500億 -1.7%
2011/062.42億 +591.4%587億 -33.2%-
2011/120.48億 -80.2%559億 -4.8%1462億 -2.5%
2012/060.58億 +20.8%365億 -34.7%-
2012/120.53億 -8.6%-106億 赤転1478億 +1.1%
2013/066.59億 大幅増308億 黒転-
2013/126.83億 +3.6%-9.29億 赤転1697億 +14.8%
2014/060.96億 -85.9%582億 黒転1674億 -1.3%
2014/128.92億 +829.2%147億 -74.8%1925億 +15%
2015/060.31億 -96.5%969億 +560.1%1933億 +0.4%
2015/120.37億 +19.4%400億 -58.7%1997億 +3.3%
2016/060.48億 +29.7%1327億 +231.4%2159億 +8.1%
2016/122.68億 +458.3%879億 -33.8%2387億 +10.5%
2017/060.26億 -90.3%1721億 +95.8%2304億 -3.5%
2017/120.88億 +238.5%885億 -48.6%2607億 +13.2%
2018/060.02億 -97.7%1456億 +64.6%2574億 -1.3%
2018/120.02億 ±0%1077億 -26%2698億 +4.8%
2019/063.8億 大幅増814億 -24.4%2671億 -1%
2019/1210.1億 +164.7%-455億 赤転2856億 +6.9%
2020/062.84億 -71.8%654億 黒転2952億 +3.3%
2020/123.7億 +30.3%-78.6億 赤転3019億 +2.3%
2021/060.87億 -76.5%1453億 黒転3098億 +2.6%
2021/122.3億 +164.4%965億 -33.6%3187億 +2.9%
2022/061.94億 -15.7%1221億 +26.5%3495億 +9.7%
2022/122.83億 +45.9%-35.1億 赤転3569億 +2.1%
2023/063.27億 +15.5%1792億 黒転3800億 +6.5%
2023/125.51億 +68.5%1103億 -38.5%3826億 +0.7%