Structures Net - Module And System Segment Reportable Segment Member - Module Reportable Segment Member Net、その他資本剰余金、1年内返済予定の長期借入金
- 【期間】
年度 | Structures Net - Module And System Segment Reportable Segment Member - Module Reportable Segment Member Net | その他資本剰余金 | 1年内返済予定の長期借入金 |
---|
2008/03 | - | | 0 | | - | |
2009/03 | - | | - | | 42.5億 | |
2010/03 | - | | - | | 104億 | +144.7% |
2011/03 | - | | - | | 143億 | +37% |
2012/03 | - | | - | | 480億 | +236.8% |
2013/03 | - | | - | | 72億 | -85% |
2014/03 | - | | 35.1億 | | 114億 | +58.3% |
2015/03 | - | | 35億 | -0% | 365億 | +220.2% |
2016/03 | - | | 35.1億 | +0.1% | 99.3億 | -72.8% |
2017/03 | - | | 35.1億 | +0.2% | - | |
2018/03 | - | | 35.1億 | ±0% | - | |
2019/03 | - | | 35.3億 | +0.5% | 10億 | -89.9% |
2020/03 | - | | 35.2億 | -0.3% | 230億 | 大幅増 |
2021/03 | - | | 15.5億 | -56% | 10億 | -95.7% |
2022/03 | - | | 14.8億 | -4.4% | 110億 | +1000% |
2023/03 | - | | 14.5億 | -2.3% | 325億 | +195.5% |
2024/03 | - | | 13.8億 | -4.7% | 89億 | -72.6% |
2025/03 | - | | 13.7億 | -1.1% | 219億 | +146.1% |