建設仮勘定、剰余金の配当、流動負債計他2件
- 【期間】
年度 | 建設仮勘定 | 剰余金の配当 | 流動負債計 | 当期純利益 | 長期貸付金 |
---|
2008/03 | 18.8億 | | -14.4億 | | 209億 | | 14.1億 | | 0.22億 | |
2009/03 | 8.29億 | -56% | -13.5億 | 赤縮 | 179億 | -14.2% | 1.82億 | -87.1% | 0.08億 | -63.6% |
2010/03 | 4.08億 | -50.8% | -5.72億 | 赤縮 | 180億 | +0.5% | 6.61億 | +263.2% | 0.01億 | -87.5% |
2011/03 | 7.81億 | +91.4% | -9.15億 | 赤拡 | 190億 | +5.6% | 33.6億 | +408.8% | 0 | -100% |
2012/03 | 2.47億 | -68.4% | -8.02億 | 赤縮 | 189億 | -0.6% | 32.8億 | -2.4% | - | |
2013/03 | 11.7億 | +372.1% | -9.91億 | 赤拡 | 195億 | +3.1% | 37.4億 | +13.8% | 4.12億 | |
2014/03 | 2.14億 | -81.6% | - | | 202億 | +3.4% | - | | 3.21億 | -22.1% |
2015/03 | 3.6億 | +68.2% | - | | 179億 | -11.5% | - | | 1.61億 | -49.8% |
2016/03 | 5.99億 | +66.4% | - | | 179億 | +0.4% | - | | 0.87億 | -46% |
2017/03 | 7.21億 | +20.4% | - | | 181億 | +1% | - | | 0.72億 | -17.2% |
2018/03 | 12.4億 | +72.1% | - | | 188億 | +3.9% | - | | - | |
2019/03 | 12.6億 | +1.5% | - | | 197億 | +4.4% | - | | 1.5億 | +108.3% |
2020/03 | 9.54億 | -24.2% | - | | 198億 | +0.8% | - | | 10億 | +566.7% |
2021/03 | 11億 | +15.6% | - | | 197億 | -0.8% | - | | 10億 | ±0% |
2022/03 | 28億 | +154.2% | - | | 222億 | +13% | - | | 8.8億 | -12% |
2023/03 | 47.4億 | +69% | - | | 219億 | -1.6% | - | | 16.6億 | +88.1% |
2024/03 | 32.5億 | -31.4% | - | | 237億 | +8.5% | - | | 14億 | -15.7% |