資本剰余金、1年内返済予定の長期借入金
- 【期間】
年度 | 資本剰余金 | 1年内返済予定の長期借入金 |
---|
2008/03 | 7.44億 | | 17億 | |
2009/03 | 7.44億 | ±0% | 13.6億 | -20.2% |
2010/03 | 7.44億 | ±0% | 16.3億 | +20.5% |
2010/12 | 7.44億 | ±0% | - | |
2011/03 | 7.44億 | ±0% | 13.9億 | -15.2% |
2011/06 | 7.44億 | ±0% | - | |
2011/09 | 7.44億 | ±0% | - | |
2011/12 | 7.44億 | ±0% | - | |
2012/03 | 7.44億 | ±0% | 8.8億 | -36.5% |
2012/06 | 7.44億 | ±0% | - | |
2012/09 | 7.44億 | ±0% | - | |
2012/12 | 7.44億 | ±0% | - | |
2013/03 | 7.44億 | ±0% | 6.96億 | -20.9% |
2013/06 | 7.44億 | ±0% | - | |
2013/09 | 7.44億 | ±0% | - | |
2013/12 | 7.44億 | ±0% | - | |
2014/03 | 7.44億 | ±0% | 5.45億 | -21.7% |
2014/06 | 7.44億 | ±0% | - | |
2014/09 | 7.44億 | ±0% | - | |
2014/12 | 7.44億 | ±0% | - | |
2015/03 | 7.44億 | ±0% | 5.63億 | +3.3% |
2015/06 | 7.44億 | ±0% | - | |
2015/09 | 7.44億 | ±0% | - | |
2015/12 | 12.6億 | +69% | - | |
2016/03 | 12.6億 | ±0% | 6.11億 | +8.5% |
2016/06 | 12.6億 | ±0% | - | |
2016/09 | 12.6億 | ±0% | - | |
2016/12 | 12.6億 | ±0% | - | |
2017/03 | 12.6億 | ±0% | 9.11億 | +49.1% |
2017/06 | 12.6億 | ±0% | - | |
2017/09 | 12.6億 | ±0% | - | |
2017/12 | 12.6億 | ±0% | - | |
2018/03 | 12.6億 | ±0% | 7.28億 | -20.1% |
2018/06 | 12.6億 | ±0% | - | |
2018/09 | 12.6億 | ±0% | - | |
2018/12 | 12.6億 | ±0% | - | |
2019/03 | 12.6億 | ±0% | 4.26億 | -41.5% |
2019/06 | 12.6億 | ±0% | - | |
2019/09 | 12.6億 | ±0% | - | |
2019/12 | 12.6億 | ±0% | - | |
2020/03 | 12.6億 | ±0% | 3億 | -29.6% |
2020/06 | 12.6億 | ±0% | - | |
2020/09 | 12.6億 | ±0% | - | |
2020/12 | 12.6億 | ±0% | - | |
2021/03 | 12.6億 | ±0% | 8.15億 | +171.7% |
2021/06 | 12.6億 | ±0% | - | |
2021/09 | 12.6億 | ±0% | - | |
2021/12 | 12.6億 | ±0% | - | |
2022/03 | 12.6億 | ±0% | 9.87億 | +21.1% |
2022/06 | 12.6億 | ±0% | - | |
2022/09 | 12.8億 | +2% | - | |
2022/12 | 12.8億 | ±0% | - | |
2023/03 | 12.8億 | ±0% | 6.87億 | -30.4% |
2023/06 | 12.8億 | ±0% | - | |
2023/09 | 12.8億 | ±0% | - | |
2023/12 | 12.8億 | ±0% | - | |
2024/03 | 12.8億 | ±0% | 7.87億 | +14.6% |
2024/06 | 12.8億 | ±0% | - | |