1年内返済予定の長期借入金、構築物、事務外注費
- 【期間】
年度 | 1年内返済予定の長期借入金 | 構築物 | 事務外注費 |
---|
2009/02 | - | | 3.34億 | | 377百万 | |
2010/02 | - | | 3.76億 | +12.6% | 356百万 | -5.6% |
2011/02 | - | | 3.76億 | ±0% | 355百万 | -0.3% |
2012/02 | - | | 3.75億 | -0.3% | 367百万 | +3.4% |
2013/02 | - | | 3.75億 | ±0% | 349百万 | -4.9% |
2014/02 | - | | 3.73億 | -0.5% | 335百万 | -4% |
2014/11 | 5億 | | - | | - | |
2015/02 | 5億 | ±0% | 19.4億 | +420.4% | 318百万 | -5.1% |
2015/05 | 10億 | +100% | - | | - | |
2015/08 | 10億 | ±0% | - | | - | |
2015/11 | 65億 | +550% | - | | - | |
2016/02 | 68.1億 | +4.8% | 19.3億 | -0.5% | 271百万 | -14.8% |
2016/05 | 67.1億 | -1.6% | - | | - | |
2016/08 | 14.6億 | -78.2% | - | | - | |
2016/11 | 4.67億 | -68% | - | | - | |
2017/02 | 78.9億 | 大幅増 | 19.3億 | +0.1% | 276百万 | +1.8% |
2017/05 | 75億 | -4.9% | - | | - | |
2017/08 | 75億 | ±0% | - | | - | |
2017/11 | 75億 | ±0% | - | | - | |
2018/02 | - | | 19.4億 | +0.2% | 285百万 | +3.3% |
2018/05 | 3.99億 | -94.7% | - | | - | |
2018/08 | 3.95億 | -1% | - | | - | |
2018/11 | 4.09億 | +3.5% | - | | - | |
2019/02 | 3.97億 | -2.9% | 19.4億 | +0.3% | 297百万 | +4.2% |
2020/02 | - | | 19.4億 | +0.1% | 409百万 | +37.7% |
2020/05 | 8.36億 | +110.6% | - | | - | |
2020/08 | 3.6億 | -56.9% | 19.4億 | ±0% | 319百万 | -22% |
2020/11 | 3.76億 | +4.4% | - | | - | |
2021/02 | 3.79億 | +0.8% | - | | - | |
2021/05 | 650億 | 大幅増 | - | | - | |
2021/08 | 671億 | +3.2% | 18.6億 | -4.5% | 836百万 | +162.1% |
2021/11 | 671億 | -0% | - | | - | |
2022/02 | 671億 | +0% | - | | - | |
2022/05 | 21.9億 | -96.7% | - | | - | |
2022/08 | 22.3億 | +1.9% | 18.6億 | +0.1% | - | |
2022/11 | 23億 | +2.8% | - | | - | |
2023/02 | 23億 | ±0% | - | | - | |
2023/05 | 23.8億 | +3.8% | - | | - | |
2023/08 | 225億 | +846.5% | 18.7億 | +0.6% | - | |
2023/11 | 218億 | -3.5% | - | | - | |
2024/02 | 218億 | +0.1% | - | | - | |
2024/05 | 7.88億 | -96.4% | - | | - | |