投資有価証券評価損益(△は益)、Effective Portion Of Cash Flow Hedges Net Of Tax Items That May Be Reclassified To Profit Or LossOCIIFRS、短期借入金の純増減額(△は減少)他1件
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年度 | 投資有価証券評価損益(△は益) | Effective Portion Of Cash Flow Hedges Net Of Tax Items That May Be Reclassified To Profit Or LossOCIIFRS | 短期借入金の純増減額(△は減少) | 流動資産合計 |
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2008/03 | 26百万 | | - | | - | | - | |
2009/03 | 130百万 | +400% | - | | - | | - | |
2010/03 | - | | - | | - | | - | |
2011/03 | - | | - | | - | | - | |
2012/03 | - | | - | | - | | - | |
2013/03 | - | | - | | - | | - | |
2014/03 | - | | - | | - | | - | |
2015/03 | - | | - | | - | | - | |
2016/03 | - | | - | | - | | - | |
2017/03 | - | | - | | - | | 522億 | |
2018/03 | - | | - | | -2.06億 | | 535億 | +2.6% |
2019/03 | - | | - | | - | | 536億 | +0.1% |
2020/03 | - | | - | | 26.1億 | 黒転 | 488億 | -8.9% |
2021/03 | - | | - | | -4.78億 | 赤転 | 537億 | +9.9% |
2022/03 | - | | - | | -15億 | 赤拡 | 592億 | +10.3% |
2023/03 | - | | - | | -5.44億 | 赤縮 | 605億 | +2.1% |
2024/03 | - | | - | | 26.6億 | 黒転 | 636億 | +5.1% |