為替差損(IFRS)、減価償却費、1年内返済予定の長期借入金
- 【期間】
年度 | 為替差損(IFRS) | 減価償却費 | 1年内返済予定の長期借入金 |
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2008/03 | - | | 14百万 | | 65.7億 | |
2009/03 | - | | 14百万 | ±0% | 56.1億 | -14.5% |
2010/03 | - | | 12百万 | -14.3% | 50.6億 | -9.9% |
2010/12 | - | | - | | 53.3億 | +5.4% |
2011/03 | - | | 15百万 | +25% | 61.4億 | +15.2% |
2011/06 | - | | - | | 78億 | +27.1% |
2011/09 | - | | - | | 83.6億 | +7.1% |
2011/12 | - | | - | | 87.8億 | +5% |
2012/03 | - | | 16百万 | +6.7% | 84億 | -4.3% |
2012/06 | - | | - | | 71.2億 | -15.2% |
2012/09 | - | | - | | 63.4億 | -11.1% |
2012/12 | - | | - | | 63.9億 | +0.8% |
2013/03 | - | | 11百万 | -31.3% | 72.9億 | +14.2% |
2013/06 | - | | - | | 71.5億 | -1.9% |
2013/09 | - | | - | | 73.1億 | +2.2% |
2013/12 | - | | - | | 77億 | +5.4% |
2014/03 | - | | 12百万 | +9.1% | 85.6億 | +11.1% |
2014/06 | - | | - | | 89.1億 | +4.1% |
2014/09 | - | | - | | 110億 | +23% |
2014/12 | - | | - | | 119億 | +9% |
2015/03 | - | | 17百万 | +41.7% | 142億 | +18.9% |
2015/06 | - | | - | | 147億 | +3.8% |
2015/09 | - | | - | | 156億 | +6.1% |
2015/12 | - | | - | | 167億 | +6.5% |
2016/03 | - | | 12百万 | -29.4% | 175億 | +5.3% |
2017/03 | - | | 13百万 | +8.3% | 73.5億 | -58.1% |
2018/03 | -213百万 | | 15百万 | +15.4% | 106億 | +43.7% |
2019/03 | - | | 15百万 | ±0% | 78.5億 | -25.6% |
2020/03 | -365百万 | 赤拡 | 26百万 | +73.3% | 67.2億 | -14.4% |
2021/03 | - | | 26百万 | ±0% | 82.3億 | +22.5% |
2022/03 | - | | 25百万 | -3.8% | 112億 | +35.5% |
2023/03 | - | | 26百万 | +4% | 98.8億 | -11.5% |
2024/03 | - | | 27百万 | +3.8% | 109億 | +10.7% |