みずほ FG Increase In Cash And Cash Equivalents From Newly Consolidated SubsidiaryCCE、Revaluation Reserve For Land Net Of TaxOCI、Purchase Of Investments In Subsidiaries Resulting In Change In Scope Of Consolidation InvCF他1件
Increase In Cash And Cash Equivalents From Newly Consolidated SubsidiaryCCE、Revaluation Reserve For Land Net Of TaxOCI、Purchase Of Investments In Subsidiaries Resulting In Change In Scope Of Consolidation InvCF他1件 【期間】 年度 Increase In Cash And Cash Equivalents From Newly Consolidated SubsidiaryCCE Revaluation Reserve For Land Net Of TaxOCI Purchase Of Investments In Subsidiaries Resulting In Change In Scope Of Consolidation InvCF Fees And Commissions PaymentsOEBNK 2010/09 - - - 562億 2011/09 - - - 560億 -0.4% 2012/09 0 0 - 563億 +0.5% 2013/09 - 21百万 -303億 646億 +14.8% 2014/09 - - - 706億 +9.3% 2015/09 - 10百万 -52.4% - 769億 +8.9% 2016/09 - -5百万 赤転 - 761億 -1% 2017/09 - -2百万 赤縮 - 805億 +5.8% 2018/09 - - - 819億 +1.7% 2019/09 - - - 844億 +3.1% 2020/09 - - - 775億 -8.2% 2021/09 - - - 863億 +11.4% 2022/09 - - -38.3億 赤縮 854億 -1.1% 2023/09 - - - 1011億 +18.4%
勘定科目を追加して比較 貸借対照表 キャッシュ・フロー計算書 株主資本等変動計算書 各セグメントの情報