工事損失引当金、その他、Provision Of Reserve For Special Depreciation他2件

【期間】
年度工事損失引当金その他Provision Of Reserve For Special Depreciation無形固定資産の取得による支出長期借入れによる収入
2008/1293.3億3.02億--16.6億
2009/1255.1億 -40.9%6.16億 +104%--122億 +634.6%
2010/1270.6億 +28%0.35億 -94.3%--80.6億 -33.9%
2011/12138億 +95.4%0.48億 +37.1%--16.4億 -79.6%
2012/12133億 -3.7%0.53億 +10.4%--82.7億 +403.1%
2013/12181億 +36.4%6.83億 大幅増--354億 +328.5%
2014/12173億 -4.4%8.92億 +30.6%--760億 +114.6%
2015/12190億 +9.6%0.37億 -95.9%--11.9億298億 -60.9%
2016/12140億 -26.5%2.68億 +624.3%--41.2億 赤拡117億 -60.7%
2017/1251億 -63.5%0.88億 -67.2%--45.9億 赤拡155億 +32.3%
2018/1283.7億 +64.2%0.02億 -97.7%--23.1億 赤縮85.1億 -45%
2019/1241.6億 -50.3%10.1億 大幅増--164億 +92.7%
2020/1280.6億 +94%3.7億 -63.2%--415億 +153%
2021/12155億 +92.2%2.3億 -37.8%--25.5億 -93.9%
2022/12283億 +82.9%2.83億 +23%--15.7億 -38.4%
2023/12448億 +58%5.51億 +94.7%--324億 大幅増