長期借入金の返済による支出、税引前当年度純利益、Valuation And Translation Adjustments他2件
- 【期間】
年度 | 長期借入金の返済による支出 | 税引前当年度純利益 | Valuation And Translation Adjustments | Accumulated Depreciation Tools Furniture And Fixtures | Cash And Cash Equivalents |
---|
2009/11 | -462億 | | -24.2億 | | - | | - | | - | |
2010/11 | -643億 | 赤拡 | 137億 | 黒転 | - | | - | | - | |
2011/11 | -967億 | 赤拡 | 104億 | -24.1% | - | | - | | - | |
2012/11 | - | | 206億 | +98.5% | - | | - | | - | |
2013/12 | - | | 232億 | +12.5% | - | | - | | - | |
2014/12 | - | | 339億 | +46.3% | - | | - | | - | |
2015/12 | - | | 411億 | +21.3% | - | | - | | - | |
2016/12 | - | | 421億 | +2.3% | - | | - | | - | |
2017/12 | - | | 457億 | +8.6% | - | | - | | - | |
2018/12 | - | | 523億 | +14.4% | - | | - | | - | |
2019/12 | - | | 428億 | -18.2% | - | | - | | - | |
2020/11 | - | | 238億 | -44.4% | - | | - | | - | |
2021/11 | - | | 453億 | +90.5% | - | | - | | - | |
2022/11 | - | | 439億 | -2.9% | - | | - | | - | |
2023/11 | - | | 261億 | -40.7% | - | | - | | - | |