その他業務費用、買入金銭債権、剰余金の配当他2件
- 【期間】
年度 | その他業務費用 | 買入金銭債権 | 剰余金の配当 | 貸倒引当金繰入額 | 純資産の部合計 |
---|
2007/03 | - | | - | | - | | - | | 6.72兆 | |
2008/03 | 3121億 | | 3.39兆 | | -1012億 | | - | | 5.69兆 | -15.3% |
2009/03 | 2951億 | -5.4% | 2.61兆 | -22.9% | -1339億 | 赤拡 | 2803億 | | 4.19兆 | -26.5% |
2010/03 | 1616億 | -45.2% | 2.04兆 | -21.9% | -1310億 | 赤縮 | 1161億 | -58.6% | 5.84兆 | +39.4% |
2011/03 | 1436億 | -11.1% | 1.67兆 | -18.3% | -1350億 | 赤拡 | - | | 6.62兆 | +13.5% |
2012/03 | 993億 | -30.9% | 1.54兆 | -7.5% | -2165億 | 赤拡 | - | | 6.87兆 | +3.7% |
2013/03 | 883億 | -11.1% | 1.28兆 | -17% | -1527億 | 赤縮 | 787億 | -32.2% | 7.74兆 | +12.6% |
2014/03 | 1286億 | +45.8% | 3.26兆 | +154.9% | - | | - | | 8.3兆 | +7.3% |
2015/03 | 1559億 | +21.2% | 3.24兆 | -0.7% | - | | - | | 9.8兆 | +18% |
2016/03 | 797億 | -48.9% | 2.98兆 | -8% | - | | 44.5億 | -94.4% | 9.35兆 | -4.6% |
2017/03 | 929億 | +16.6% | 2.75兆 | -7.9% | - | | 616億 | 大幅増 | 9.27兆 | -0.9% |
2018/03 | 1418億 | +52.7% | 2.71兆 | -1.1% | - | | - | | 9.82兆 | +5.9% |
2019/03 | 2255億 | +59.1% | 2.83兆 | +4.2% | - | | - | | 9.19兆 | -6.4% |
2020/03 | 1525億 | -32.4% | 2.69兆 | -5% | - | | 1610億 | +161.6% | 8.66兆 | -5.8% |
2021/03 | 1957億 | +28.3% | 3.21兆 | +19.3% | - | | 1806億 | +12.2% | 9.36兆 | +8.1% |
2022/03 | 2241億 | +14.5% | 3.48兆 | +8.4% | - | | 2365億 | +30.9% | 9.2兆 | -1.7% |
2023/03 | 2804億 | +25.1% | 3.84兆 | +10.4% | - | | 657億 | -72.2% | 9.21兆 | +0.1% |
2024/03 | 1897億 | -32.3% | 4.17兆 | +8.8% | - | | 787億 | +19.7% | 10.3兆 | +12% |