無形固定資産合計、1年内返済予定の長期借入金、剰余金の配当他1件
- 【期間】
年度 | 無形固定資産合計 | 1年内返済予定の長期借入金 | 剰余金の配当 | 減損損失 |
---|
2017/03 | 9.38億 | | 4.68億 | | - | | 456百万 | |
2017/09 | 11.9億 | +26.4% | 4.32億 | -7.7% | - | | - | |
2017/12 | 12.1億 | +1.7% | 4.32億 | ±0% | - | | 55百万 | -87.9% |
2018/03 | 12.1億 | +0.5% | 2.68億 | -38% | - | | 93百万 | +69.1% |
2018/06 | 11.8億 | -3% | 2.65億 | -1.1% | - | | - | |
2018/09 | 14.1億 | +20.1% | 1.53億 | -42.3% | - | | 200百万 | +115.1% |
2018/12 | 14.1億 | +0.1% | 1.53億 | ±0% | - | | 200百万 | ±0% |
2019/03 | 12億 | -15.4% | 1.53億 | ±0% | -397百万 | | 218百万 | +9% |
2019/06 | 12.1億 | +1.3% | 1.53億 | ±0% | - | | - | |
2019/09 | 11.7億 | -3.8% | 1.53億 | ±0% | - | | - | |
2019/12 | 14.1億 | +21% | 2.22億 | +45.1% | - | | - | |
2020/03 | 14.6億 | +3.3% | 2.57億 | +15.8% | -499百万 | 赤拡 | 326百万 | +49.5% |
2020/06 | 13.6億 | -6.6% | 2.91億 | +13.2% | - | | - | |
2020/09 | 12.4億 | -9% | 2.91億 | ±0% | - | | - | |
2020/12 | 12.2億 | -1.2% | 3.41億 | +17.2% | - | | - | |
2021/03 | 17.3億 | +41.3% | 11.8億 | +246.6% | -401百万 | 赤縮 | 531百万 | +62.9% |
2021/06 | 18.8億 | +8.4% | 10.5億 | -11.3% | - | | - | |
2021/09 | 18.2億 | -3.3% | 3.76億 | -64.1% | - | | - | |
2021/12 | 18.5億 | +1.8% | 3.88億 | +3.2% | - | | - | |
2022/03 | 19.4億 | +5.1% | 4.01億 | +3.4% | -391百万 | 赤縮 | - | |
2022/06 | 20.7億 | +6.6% | 4.01億 | ±0% | - | | - | |
2022/09 | 22億 | +6.4% | 4.01億 | ±0% | - | | - | |
2022/12 | 23.1億 | +5% | 4.01億 | ±0% | - | | - | |
2023/03 | 21.5億 | -7.2% | 4.01億 | ±0% | -392百万 | 赤拡 | - | |
2023/06 | 22.2億 | +3.5% | 5.22億 | +30.2% | - | | - | |
2023/09 | 23.2億 | +4.5% | 6.63億 | +27% | - | | - | |
2023/12 | 23.5億 | +1.3% | 8.89億 | +34.1% | - | | - | |
2024/03 | 26.1億 | +11.1% | 10.1億 | +13.6% | -399百万 | 赤拡 | 513百万 | -3.4% |
2024/06 | 27.1億 | +3.8% | 10.1億 | ±0% | - | | - | |