Structures - Module And System Segment Reportable Segment Member And Structures Net - Module And System Segment Reportable Segment Member And Structures - Module And System Segment Reportable Segment Member And Structures Net - Module Reportable Segment Member And Structures Net - Module Reportable Segment Member And Intangible Deferred Intangible Current Net Current Structures Net Net And Net Current Structures Net Net Net Net Net Net Net Net Net Net Net Net And Net Structures Net And Net Structures NetCL And Net Work In Process Net、営業活動によるキャッシュ・フロー、会計方針の変更を反映した当期首残高
2008年3月
- Structures - Module And System Segment Reportable Segment Member And Structures Net - Module And System Segment Reportable Segment Member And Structures - Module And System Segment Reportable Segment Member And Structures Net - Module Reportable Segment Member And Structures Net - Module Reportable Segment Member And Intangible Deferred Intangible Current Net Current Structures Net Net And Net Current Structures Net Net Net Net Net Net Net Net Net Net Net Net And Net Structures Net And Net Structures NetCL And Net Work In Process Net
- -
- 営業活動によるキャッシュ・フロー
- 531億1700万
- 会計方針の変更を反映した当期首残高
- -
2009年3月
- Structures - Module And System Segment Reportable Segment Member And Structures Net - Module And System Segment Reportable Segment Member And Structures - Module And System Segment Reportable Segment Member And Structures Net - Module Reportable Segment Member And Structures Net - Module Reportable Segment Member And Intangible Deferred Intangible Current Net Current Structures Net Net And Net Current Structures Net Net Net Net Net Net Net Net Net Net Net Net And Net Structures Net And Net Structures NetCL And Net Work In Process Net
- -
- 営業活動によるキャッシュ・フロー
- 150億400万
- 会計方針の変更を反映した当期首残高
- -
2009年12月
- Structures - Module And System Segment Reportable Segment Member And Structures Net - Module And System Segment Reportable Segment Member And Structures - Module And System Segment Reportable Segment Member And Structures Net - Module Reportable Segment Member And Structures Net - Module Reportable Segment Member And Intangible Deferred Intangible Current Net Current Structures Net Net And Net Current Structures Net Net Net Net Net Net Net Net Net Net Net Net And Net Structures Net And Net Structures NetCL And Net Work In Process Net
- -
- 営業活動によるキャッシュ・フロー
- 123億8100万
- 会計方針の変更を反映した当期首残高
- -
2010年3月
- Structures - Module And System Segment Reportable Segment Member And Structures Net - Module And System Segment Reportable Segment Member And Structures - Module And System Segment Reportable Segment Member And Structures Net - Module Reportable Segment Member And Structures Net - Module Reportable Segment Member And Intangible Deferred Intangible Current Net Current Structures Net Net And Net Current Structures Net Net Net Net Net Net Net Net Net Net Net Net And Net Structures Net And Net Structures NetCL And Net Work In Process Net
- -
- 営業活動によるキャッシュ・フロー
- 289億7000万
- 会計方針の変更を反映した当期首残高
- -
2010年9月
- Structures - Module And System Segment Reportable Segment Member And Structures Net - Module And System Segment Reportable Segment Member And Structures - Module And System Segment Reportable Segment Member And Structures Net - Module Reportable Segment Member And Structures Net - Module Reportable Segment Member And Intangible Deferred Intangible Current Net Current Structures Net Net And Net Current Structures Net Net Net Net Net Net Net Net Net Net Net Net And Net Structures Net And Net Structures NetCL And Net Work In Process Net
- -
- 営業活動によるキャッシュ・フロー
- 64億3500万
- 会計方針の変更を反映した当期首残高
- -
2010年12月
- Structures - Module And System Segment Reportable Segment Member And Structures Net - Module And System Segment Reportable Segment Member And Structures - Module And System Segment Reportable Segment Member And Structures Net - Module Reportable Segment Member And Structures Net - Module Reportable Segment Member And Intangible Deferred Intangible Current Net Current Structures Net Net And Net Current Structures Net Net Net Net Net Net Net Net Net Net Net Net And Net Structures Net And Net Structures NetCL And Net Work In Process Net
- -
- 営業活動によるキャッシュ・フロー
- 165億300万
- 会計方針の変更を反映した当期首残高
- -
2011年3月
- Structures - Module And System Segment Reportable Segment Member And Structures Net - Module And System Segment Reportable Segment Member And Structures - Module And System Segment Reportable Segment Member And Structures Net - Module Reportable Segment Member And Structures Net - Module Reportable Segment Member And Intangible Deferred Intangible Current Net Current Structures Net Net And Net Current Structures Net Net Net Net Net Net Net Net Net Net Net Net And Net Structures Net And Net Structures NetCL And Net Work In Process Net
- -
- 営業活動によるキャッシュ・フロー
- 285億5200万
- 会計方針の変更を反映した当期首残高
- -
2011年9月
- Structures - Module And System Segment Reportable Segment Member And Structures Net - Module And System Segment Reportable Segment Member And Structures - Module And System Segment Reportable Segment Member And Structures Net - Module Reportable Segment Member And Structures Net - Module Reportable Segment Member And Intangible Deferred Intangible Current Net Current Structures Net Net And Net Current Structures Net Net Net Net Net Net Net Net Net Net Net Net And Net Structures Net And Net Structures NetCL And Net Work In Process Net
- -
- 営業活動によるキャッシュ・フロー
- 72億4000万
- 会計方針の変更を反映した当期首残高
- -
2012年3月
- Structures - Module And System Segment Reportable Segment Member And Structures Net - Module And System Segment Reportable Segment Member And Structures - Module And System Segment Reportable Segment Member And Structures Net - Module Reportable Segment Member And Structures Net - Module Reportable Segment Member And Intangible Deferred Intangible Current Net Current Structures Net Net And Net Current Structures Net Net Net Net Net Net Net Net Net Net Net Net And Net Structures Net And Net Structures NetCL And Net Work In Process Net
- -
- 営業活動によるキャッシュ・フロー
- 234億2600万
- 会計方針の変更を反映した当期首残高
- -
2012年9月
- Structures - Module And System Segment Reportable Segment Member And Structures Net - Module And System Segment Reportable Segment Member And Structures - Module And System Segment Reportable Segment Member And Structures Net - Module Reportable Segment Member And Structures Net - Module Reportable Segment Member And Intangible Deferred Intangible Current Net Current Structures Net Net And Net Current Structures Net Net Net Net Net Net Net Net Net Net Net Net And Net Structures Net And Net Structures NetCL And Net Work In Process Net
- -
- 営業活動によるキャッシュ・フロー
- 44億4400万
- 会計方針の変更を反映した当期首残高
- -
2013年3月
- Structures - Module And System Segment Reportable Segment Member And Structures Net - Module And System Segment Reportable Segment Member And Structures - Module And System Segment Reportable Segment Member And Structures Net - Module Reportable Segment Member And Structures Net - Module Reportable Segment Member And Intangible Deferred Intangible Current Net Current Structures Net Net And Net Current Structures Net Net Net Net Net Net Net Net Net Net Net Net And Net Structures Net And Net Structures NetCL And Net Work In Process Net
- -
- 営業活動によるキャッシュ・フロー
- 248億500万
- 会計方針の変更を反映した当期首残高
- -
2013年9月
- Structures - Module And System Segment Reportable Segment Member And Structures Net - Module And System Segment Reportable Segment Member And Structures - Module And System Segment Reportable Segment Member And Structures Net - Module Reportable Segment Member And Structures Net - Module Reportable Segment Member And Intangible Deferred Intangible Current Net Current Structures Net Net And Net Current Structures Net Net Net Net Net Net Net Net Net Net Net Net And Net Structures Net And Net Structures NetCL And Net Work In Process Net
- -
- 営業活動によるキャッシュ・フロー
- 209億7500万
- 会計方針の変更を反映した当期首残高
- -
2014年3月
- Structures - Module And System Segment Reportable Segment Member And Structures Net - Module And System Segment Reportable Segment Member And Structures - Module And System Segment Reportable Segment Member And Structures Net - Module Reportable Segment Member And Structures Net - Module Reportable Segment Member And Intangible Deferred Intangible Current Net Current Structures Net Net And Net Current Structures Net Net Net Net Net Net Net Net Net Net Net Net And Net Structures Net And Net Structures NetCL And Net Work In Process Net
- -
- 営業活動によるキャッシュ・フロー
- 577億300万
- 会計方針の変更を反映した当期首残高
- 2271億6700万
2014年9月
- Structures - Module And System Segment Reportable Segment Member And Structures Net - Module And System Segment Reportable Segment Member And Structures - Module And System Segment Reportable Segment Member And Structures Net - Module Reportable Segment Member And Structures Net - Module Reportable Segment Member And Intangible Deferred Intangible Current Net Current Structures Net Net And Net Current Structures Net Net Net Net Net Net Net Net Net Net Net Net And Net Structures Net And Net Structures NetCL And Net Work In Process Net
- -
- 営業活動によるキャッシュ・フロー
- 192億2200万
- 会計方針の変更を反映した当期首残高
- -
2015年3月
- Structures - Module And System Segment Reportable Segment Member And Structures Net - Module And System Segment Reportable Segment Member And Structures - Module And System Segment Reportable Segment Member And Structures Net - Module Reportable Segment Member And Structures Net - Module Reportable Segment Member And Intangible Deferred Intangible Current Net Current Structures Net Net And Net Current Structures Net Net Net Net Net Net Net Net Net Net Net Net And Net Structures Net And Net Structures NetCL And Net Work In Process Net
- -
- 営業活動によるキャッシュ・フロー
- 651億1100万
- 会計方針の変更を反映した当期首残高
- 2837億
2015年9月
- Structures - Module And System Segment Reportable Segment Member And Structures Net - Module And System Segment Reportable Segment Member And Structures - Module And System Segment Reportable Segment Member And Structures Net - Module Reportable Segment Member And Structures Net - Module Reportable Segment Member And Intangible Deferred Intangible Current Net Current Structures Net Net And Net Current Structures Net Net Net Net Net Net Net Net Net Net Net Net And Net Structures Net And Net Structures NetCL And Net Work In Process Net
- -
- 営業活動によるキャッシュ・フロー
- 230億2300万
- 会計方針の変更を反映した当期首残高
- -
2016年3月
- Structures - Module And System Segment Reportable Segment Member And Structures Net - Module And System Segment Reportable Segment Member And Structures - Module And System Segment Reportable Segment Member And Structures Net - Module Reportable Segment Member And Structures Net - Module Reportable Segment Member And Intangible Deferred Intangible Current Net Current Structures Net Net And Net Current Structures Net Net Net Net Net Net Net Net Net Net Net Net And Net Structures Net And Net Structures NetCL And Net Work In Process Net
- -
- 営業活動によるキャッシュ・フロー
- 539億5800万
- 会計方針の変更を反映した当期首残高
- 3317億7700万
2016年9月
- Structures - Module And System Segment Reportable Segment Member And Structures Net - Module And System Segment Reportable Segment Member And Structures - Module And System Segment Reportable Segment Member And Structures Net - Module Reportable Segment Member And Structures Net - Module Reportable Segment Member And Intangible Deferred Intangible Current Net Current Structures Net Net And Net Current Structures Net Net Net Net Net Net Net Net Net Net Net Net And Net Structures Net And Net Structures NetCL And Net Work In Process Net
- -
- 営業活動によるキャッシュ・フロー
- 151億4500万
- 会計方針の変更を反映した当期首残高
- -
2017年3月
- Structures - Module And System Segment Reportable Segment Member And Structures Net - Module And System Segment Reportable Segment Member And Structures - Module And System Segment Reportable Segment Member And Structures Net - Module Reportable Segment Member And Structures Net - Module Reportable Segment Member And Intangible Deferred Intangible Current Net Current Structures Net Net And Net Current Structures Net Net Net Net Net Net Net Net Net Net Net Net And Net Structures Net And Net Structures NetCL And Net Work In Process Net
- -
- 営業活動によるキャッシュ・フロー
- 416億300万
- 会計方針の変更を反映した当期首残高
- 3611億1400万
2017年9月
- Structures - Module And System Segment Reportable Segment Member And Structures Net - Module And System Segment Reportable Segment Member And Structures - Module And System Segment Reportable Segment Member And Structures Net - Module Reportable Segment Member And Structures Net - Module Reportable Segment Member And Intangible Deferred Intangible Current Net Current Structures Net Net And Net Current Structures Net Net Net Net Net Net Net Net Net Net Net Net And Net Structures Net And Net Structures NetCL And Net Work In Process Net
- -
- 営業活動によるキャッシュ・フロー
- 170億400万
- 会計方針の変更を反映した当期首残高
- -
2018年3月
- Structures - Module And System Segment Reportable Segment Member And Structures Net - Module And System Segment Reportable Segment Member And Structures - Module And System Segment Reportable Segment Member And Structures Net - Module Reportable Segment Member And Structures Net - Module Reportable Segment Member And Intangible Deferred Intangible Current Net Current Structures Net Net And Net Current Structures Net Net Net Net Net Net Net Net Net Net Net Net And Net Structures Net And Net Structures NetCL And Net Work In Process Net
- -
- 営業活動によるキャッシュ・フロー
- 703億8700万
- 会計方針の変更を反映した当期首残高
- -
2018年9月
- Structures - Module And System Segment Reportable Segment Member And Structures Net - Module And System Segment Reportable Segment Member And Structures - Module And System Segment Reportable Segment Member And Structures Net - Module Reportable Segment Member And Structures Net - Module Reportable Segment Member And Intangible Deferred Intangible Current Net Current Structures Net Net And Net Current Structures Net Net Net Net Net Net Net Net Net Net Net Net And Net Structures Net And Net Structures NetCL And Net Work In Process Net
- -
- 営業活動によるキャッシュ・フロー
- 363億7000万
- 会計方針の変更を反映した当期首残高
- -
2019年3月
- Structures - Module And System Segment Reportable Segment Member And Structures Net - Module And System Segment Reportable Segment Member And Structures - Module And System Segment Reportable Segment Member And Structures Net - Module Reportable Segment Member And Structures Net - Module Reportable Segment Member And Intangible Deferred Intangible Current Net Current Structures Net Net And Net Current Structures Net Net Net Net Net Net Net Net Net Net Net Net And Net Structures Net And Net Structures NetCL And Net Work In Process Net
- -
- 営業活動によるキャッシュ・フロー
- 726億7100万
- 会計方針の変更を反映した当期首残高
- -
2019年9月
- Structures - Module And System Segment Reportable Segment Member And Structures Net - Module And System Segment Reportable Segment Member And Structures - Module And System Segment Reportable Segment Member And Structures Net - Module Reportable Segment Member And Structures Net - Module Reportable Segment Member And Intangible Deferred Intangible Current Net Current Structures Net Net And Net Current Structures Net Net Net Net Net Net Net Net Net Net Net Net And Net Structures Net And Net Structures NetCL And Net Work In Process Net
- -
- 営業活動によるキャッシュ・フロー
- 409億1900万
- 会計方針の変更を反映した当期首残高
- -
2020年3月
- Structures - Module And System Segment Reportable Segment Member And Structures Net - Module And System Segment Reportable Segment Member And Structures - Module And System Segment Reportable Segment Member And Structures Net - Module Reportable Segment Member And Structures Net - Module Reportable Segment Member And Intangible Deferred Intangible Current Net Current Structures Net Net And Net Current Structures Net Net Net Net Net Net Net Net Net Net Net Net And Net Structures Net And Net Structures NetCL And Net Work In Process Net
- -
- 営業活動によるキャッシュ・フロー
- 872億1000万
- 会計方針の変更を反映した当期首残高
- -
2020年9月
- Structures - Module And System Segment Reportable Segment Member And Structures Net - Module And System Segment Reportable Segment Member And Structures - Module And System Segment Reportable Segment Member And Structures Net - Module Reportable Segment Member And Structures Net - Module Reportable Segment Member And Intangible Deferred Intangible Current Net Current Structures Net Net And Net Current Structures Net Net Net Net Net Net Net Net Net Net Net Net And Net Structures Net And Net Structures NetCL And Net Work In Process Net
- -
- 営業活動によるキャッシュ・フロー
- 79億8200万
- 会計方針の変更を反映した当期首残高
- -
2021年3月
- Structures - Module And System Segment Reportable Segment Member And Structures Net - Module And System Segment Reportable Segment Member And Structures - Module And System Segment Reportable Segment Member And Structures Net - Module Reportable Segment Member And Structures Net - Module Reportable Segment Member And Intangible Deferred Intangible Current Net Current Structures Net Net And Net Current Structures Net Net Net Net Net Net Net Net Net Net Net Net And Net Structures Net And Net Structures NetCL And Net Work In Process Net
- -
- 営業活動によるキャッシュ・フロー
- 426億3600万
- 会計方針の変更を反映した当期首残高
- 3781億6100万
2021年9月
- Structures - Module And System Segment Reportable Segment Member And Structures Net - Module And System Segment Reportable Segment Member And Structures - Module And System Segment Reportable Segment Member And Structures Net - Module Reportable Segment Member And Structures Net - Module Reportable Segment Member And Intangible Deferred Intangible Current Net Current Structures Net Net And Net Current Structures Net Net Net Net Net Net Net Net Net Net Net Net And Net Structures Net And Net Structures NetCL And Net Work In Process Net
- -
- 営業活動によるキャッシュ・フロー
- -13億5800万
- 会計方針の変更を反映した当期首残高
- -
2022年3月
- Structures - Module And System Segment Reportable Segment Member And Structures Net - Module And System Segment Reportable Segment Member And Structures - Module And System Segment Reportable Segment Member And Structures Net - Module Reportable Segment Member And Structures Net - Module Reportable Segment Member And Intangible Deferred Intangible Current Net Current Structures Net Net And Net Current Structures Net Net Net Net Net Net Net Net Net Net Net Net And Net Structures Net And Net Structures NetCL And Net Work In Process Net
- -
- 営業活動によるキャッシュ・フロー
- 343億400万
- 会計方針の変更を反映した当期首残高
- 4253億800万
2022年9月
- Structures - Module And System Segment Reportable Segment Member And Structures Net - Module And System Segment Reportable Segment Member And Structures - Module And System Segment Reportable Segment Member And Structures Net - Module Reportable Segment Member And Structures Net - Module Reportable Segment Member And Intangible Deferred Intangible Current Net Current Structures Net Net And Net Current Structures Net Net Net Net Net Net Net Net Net Net Net Net And Net Structures Net And Net Structures NetCL And Net Work In Process Net
- -
- 営業活動によるキャッシュ・フロー
- 23億8300万
- 会計方針の変更を反映した当期首残高
- -
2023年3月
- Structures - Module And System Segment Reportable Segment Member And Structures Net - Module And System Segment Reportable Segment Member And Structures - Module And System Segment Reportable Segment Member And Structures Net - Module Reportable Segment Member And Structures Net - Module Reportable Segment Member And Intangible Deferred Intangible Current Net Current Structures Net Net And Net Current Structures Net Net Net Net Net Net Net Net Net Net Net Net And Net Structures Net And Net Structures NetCL And Net Work In Process Net
- -
- 営業活動によるキャッシュ・フロー
- 154億1300万
- 会計方針の変更を反映した当期首残高
- -
2023年9月
- Structures - Module And System Segment Reportable Segment Member And Structures Net - Module And System Segment Reportable Segment Member And Structures - Module And System Segment Reportable Segment Member And Structures Net - Module Reportable Segment Member And Structures Net - Module Reportable Segment Member And Intangible Deferred Intangible Current Net Current Structures Net Net And Net Current Structures Net Net Net Net Net Net Net Net Net Net Net Net And Net Structures Net And Net Structures NetCL And Net Work In Process Net
- -
- 営業活動によるキャッシュ・フロー
- 324億6700万
- 会計方針の変更を反映した当期首残高
- -
2024年3月
- Structures - Module And System Segment Reportable Segment Member And Structures Net - Module And System Segment Reportable Segment Member And Structures - Module And System Segment Reportable Segment Member And Structures Net - Module Reportable Segment Member And Structures Net - Module Reportable Segment Member And Intangible Deferred Intangible Current Net Current Structures Net Net And Net Current Structures Net Net Net Net Net Net Net Net Net Net Net Net And Net Structures Net And Net Structures NetCL And Net Work In Process Net
- -
- 営業活動によるキャッシュ・フロー
- 891億7300万
- 会計方針の変更を反映した当期首残高
- -
2024年9月
- Structures - Module And System Segment Reportable Segment Member And Structures Net - Module And System Segment Reportable Segment Member And Structures - Module And System Segment Reportable Segment Member And Structures Net - Module Reportable Segment Member And Structures Net - Module Reportable Segment Member And Intangible Deferred Intangible Current Net Current Structures Net Net And Net Current Structures Net Net Net Net Net Net Net Net Net Net Net Net And Net Structures Net And Net Structures NetCL And Net Work In Process Net
- -
- 営業活動によるキャッシュ・フロー
- 179億8900万
- 会計方針の変更を反映した当期首残高
- -
2025年3月
- Structures - Module And System Segment Reportable Segment Member And Structures Net - Module And System Segment Reportable Segment Member And Structures - Module And System Segment Reportable Segment Member And Structures Net - Module Reportable Segment Member And Structures Net - Module Reportable Segment Member And Intangible Deferred Intangible Current Net Current Structures Net Net And Net Current Structures Net Net Net Net Net Net Net Net Net Net Net Net And Net Structures Net And Net Structures NetCL And Net Work In Process Net
- -
- 営業活動によるキャッシュ・フロー
- 658億1700万
- 会計方針の変更を反映した当期首残高
- -
2025年9月
- Structures - Module And System Segment Reportable Segment Member And Structures Net - Module And System Segment Reportable Segment Member And Structures - Module And System Segment Reportable Segment Member And Structures Net - Module Reportable Segment Member And Structures Net - Module Reportable Segment Member And Intangible Deferred Intangible Current Net Current Structures Net Net And Net Current Structures Net Net Net Net Net Net Net Net Net Net Net Net And Net Structures Net And Net Structures NetCL And Net Work In Process Net
- -
- 営業活動によるキャッシュ・フロー
- 342億5100万
- 会計方針の変更を反映した当期首残高
- -