Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net、Deferred Structures Net、Structures Net Net他2件
2008年3月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 455億8600万
- 投資活動によるキャッシュ・フロー
- -150億7200万
2009年3月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 455億8600万
- 投資活動によるキャッシュ・フロー
- -490億6500万
2009年12月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- -
- 投資活動によるキャッシュ・フロー
- -173億1700万
2010年3月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 455億8600万
- 投資活動によるキャッシュ・フロー
- -195億3200万
2010年9月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- -
- 投資活動によるキャッシュ・フロー
- -110億600万
2010年12月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 455億8600万
- 投資活動によるキャッシュ・フロー
- -188億2700万
2011年3月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 455億8600万
- 投資活動によるキャッシュ・フロー
- -209億4100万
2011年6月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 455億8600万
- 投資活動によるキャッシュ・フロー
- -
2011年9月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 455億8600万
- 投資活動によるキャッシュ・フロー
- -141億400万
2011年12月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 455億8600万
- 投資活動によるキャッシュ・フロー
- -
2012年3月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 455億8600万
- 投資活動によるキャッシュ・フロー
- -293億5800万
2012年6月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 455億8600万
- 投資活動によるキャッシュ・フロー
- -
2012年9月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 455億8600万
- 投資活動によるキャッシュ・フロー
- -203億8500万
2012年12月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 455億8600万
- 投資活動によるキャッシュ・フロー
- -
2013年3月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 455億8600万
- 投資活動によるキャッシュ・フロー
- -321億100万
2013年6月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 422億3000万
- 投資活動によるキャッシュ・フロー
- -
2013年9月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 422億3000万
- 投資活動によるキャッシュ・フロー
- -118億500万
2013年12月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 422億3000万
- 投資活動によるキャッシュ・フロー
- -
2014年3月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 422億2900万
- 投資活動によるキャッシュ・フロー
- -228億1300万
2014年6月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 422億2900万
- 投資活動によるキャッシュ・フロー
- -
2014年9月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 422億2700万
- 投資活動によるキャッシュ・フロー
- -147億8200万
2014年12月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 422億2700万
- 投資活動によるキャッシュ・フロー
- -
2015年3月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 422億2800万
- 投資活動によるキャッシュ・フロー
- -297億7200万
2015年6月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 453億9800万
- 投資活動によるキャッシュ・フロー
- -
2015年9月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 538億3400万
- 投資活動によるキャッシュ・フロー
- 27億6200万
2015年12月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 544億8400万
- 投資活動によるキャッシュ・フロー
- -
2016年3月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 572億4800万
- 投資活動によるキャッシュ・フロー
- -303億8300万
2016年6月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 572億5000万
- 投資活動によるキャッシュ・フロー
- -
2016年9月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 560億5200万
- 投資活動によるキャッシュ・フロー
- -289億5300万
2016年12月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 560億5200万
- 投資活動によるキャッシュ・フロー
- -
2017年3月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 560億7100万
- 投資活動によるキャッシュ・フロー
- -379億8100万
2017年6月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 560億6800万
- 投資活動によるキャッシュ・フロー
- -
2017年9月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 560億6500万
- 投資活動によるキャッシュ・フロー
- -319億2100万
2017年12月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 560億6500万
- 投資活動によるキャッシュ・フロー
- -
2018年3月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 560億6500万
- 投資活動によるキャッシュ・フロー
- -667億2200万
2018年6月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 560億6300万
- 投資活動によるキャッシュ・フロー
- -
2018年9月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 560億6300万
- 投資活動によるキャッシュ・フロー
- -418億700万
2018年12月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 560億5000万
- 投資活動によるキャッシュ・フロー
- -
2019年3月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 1265億6100万
- 投資活動によるキャッシュ・フロー
- -674億500万
2019年6月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 1265億6700万
- 投資活動によるキャッシュ・フロー
- -
2019年9月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 1265億5800万
- 投資活動によるキャッシュ・フロー
- -280億
2019年12月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 1265億4400万
- 投資活動によるキャッシュ・フロー
- -
2020年3月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 1265億4400万
- 投資活動によるキャッシュ・フロー
- -424億1900万
2020年6月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 1265億4700万
- 投資活動によるキャッシュ・フロー
- -
2020年9月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 1265億2400万
- 投資活動によるキャッシュ・フロー
- -210億5600万
2020年12月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 1265億2400万
- 投資活動によるキャッシュ・フロー
- -
2021年3月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 1245億9200万
- 投資活動によるキャッシュ・フロー
- -411億6500万
2021年6月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 1245億9300万
- 投資活動によるキャッシュ・フロー
- -
2021年9月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 1245億1900万
- 投資活動によるキャッシュ・フロー
- -259億3900万
2021年12月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 1245億3300万
- 投資活動によるキャッシュ・フロー
- -
2022年3月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 1245億4900万
- 投資活動によるキャッシュ・フロー
- -455億700万
2022年6月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 1245億5300万
- 投資活動によるキャッシュ・フロー
- -
2022年9月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 1241億7800万
- 投資活動によるキャッシュ・フロー
- -254億2800万
2022年12月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 1242億600万
- 投資活動によるキャッシュ・フロー
- -
2023年3月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 1242億600万
- 投資活動によるキャッシュ・フロー
- -542億500万
2023年6月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 1242億1100万
- 投資活動によるキャッシュ・フロー
- -
2023年9月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 1241億3800万
- 投資活動によるキャッシュ・フロー
- -272億8000万
2023年12月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 1241億3800万
- 投資活動によるキャッシュ・フロー
- -
2024年3月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 1241億3800万
- 投資活動によるキャッシュ・フロー
- -550億9500万
2024年6月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 1238億8700万
- 投資活動によるキャッシュ・フロー
- -
2024年9月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 1238億7200万
- 投資活動によるキャッシュ・フロー
- -212億8300万
2024年12月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 1238億7200万
- 投資活動によるキャッシュ・フロー
- -
2025年3月
- Operating Income - Module And System Segment Reportable Segment Member - Module Reportable Segment Member - Module Reportable Segment Member Net - Module And System Segment Reportable Segment Member And Structures - Module Reportable Segment Member Net - Module Reportable Segment Member Net Net Net Net And Structures Net
- -
- Deferred Structures Net
- -
- Structures Net Net
- -
- 資本剰余金
- 1238億7200万
- 投資活動によるキャッシュ・フロー
- -16億8300万