|
(単位:百万ドル)
|
1Q18
|
2Q18
|
3Q18
|
4Q18
|
1Q19
|
2Q19
|
3Q19
|
4Q19
|
1Q20
|
2Q20
|
3Q20
|
4Q20
|
1Q21
|
2Q21
|
3Q21
|
4Q21
|
1Q22
|
2Q22
|
3Q22
|
4Q22
|
1Q23
|
2Q23
|
3Q23
|
4Q23
|
1Q24
|
2Q24
|
3Q24
|
4Q24
|
1Q25
|
|
現金同等物
|
17
|
30
|
18
|
41
|
28
|
24
|
40
|
35
|
53
|
141
|
171
|
201
|
259
|
238
|
257
|
255
|
180
|
170
|
190
|
250
|
247
|
263
|
285
|
288
|
386
|
393
|
389
|
507
|
526
|
|
現金 + 有価証券
|
17
|
30
|
18
|
41
|
28
|
24
|
40
|
35
|
53
|
141
|
171
|
201
|
259
|
238
|
257
|
255
|
180
|
170
|
190
|
250
|
247
|
263
|
285
|
288
|
386
|
393
|
389
|
507
|
526
|
|
売掛金
|
227
|
254
|
277
|
249
|
258
|
256
|
236
|
219
|
218
|
517
|
516
|
559
|
528
|
576
|
590
|
584
|
658
|
614
|
611
|
601
|
539
|
522
|
520
|
534
|
471
|
441
|
434
|
466
|
417
|
|
商品及び製品
|
210
|
215
|
219
|
218
|
232
|
234
|
219
|
211
|
206
|
527
|
471
|
430
|
435
|
467
|
497
|
542
|
625
|
606
|
570
|
542
|
591
|
599
|
588
|
521
|
543
|
538
|
546
|
496
|
497
|
|
流動資産合計
|
472
|
522
|
535
|
530
|
537
|
529
|
531
|
493
|
504
|
1,258
|
1,232
|
1,265
|
1,301
|
1,350
|
1,417
|
1,460
|
1,535
|
1,469
|
1,476
|
1,498
|
1,468
|
1,484
|
1,485
|
1,425
|
1,476
|
1,445
|
1,438
|
1,563
|
1,768
|
|
有形固定資産
|
220
|
233
|
236
|
244
|
244
|
250
|
249
|
248
|
235
|
944
|
868
|
-
|
833
|
818
|
780
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
|
固定資産合計
|
1,458
|
1,457
|
1,447
|
1,441
|
1,450
|
1,445
|
1,441
|
1,429
|
740
|
2,262
|
2,221
|
2,210
|
2,175
|
2,135
|
2,085
|
2,073
|
2,036
|
1,993
|
1,925
|
1,888
|
1,858
|
1,845
|
1,825
|
1,816
|
1,846
|
1,844
|
1,939
|
1,906
|
1,731
|
|
総資産
|
1,930
|
1,980
|
1,983
|
1,971
|
1,988
|
1,975
|
1,972
|
1,922
|
1,245
|
3,521
|
3,454
|
3,476
|
3,476
|
3,486
|
3,503
|
3,535
|
3,572
|
3,463
|
3,403
|
3,387
|
3,327
|
3,330
|
3,311
|
3,242
|
3,323
|
3,289
|
3,378
|
3,470
|
3,500
|
|
買掛金
|
108
|
131
|
127
|
131
|
124
|
128
|
114
|
120
|
118
|
274
|
262
|
299
|
333
|
391
|
430
|
473
|
508
|
496
|
499
|
469
|
539
|
550
|
500
|
451
|
532
|
484
|
455
|
455
|
498
|
|
一年内返済予定の長期借入金
|
-
|
4
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
31
|
31
|
26
|
26
|
26
|
26
|
26
|
26
|
4
|
4
|
6
|
6
|
6
|
6
|
6
|
6
|
6
|
6
|
6
|
6
|
|
流動負債合計
|
159
|
225
|
217
|
201
|
212
|
201
|
206
|
199
|
198
|
558
|
574
|
622
|
632
|
686
|
756
|
802
|
831
|
753
|
796
|
858
|
841
|
814
|
793
|
782
|
807
|
727
|
740
|
785
|
784
|
|
長期借入金
|
-
|
703
|
687
|
-
|
637
|
613
|
588
|
-
|
-
|
1,071
|
989
|
905
|
899
|
838
|
743
|
697
|
691
|
694
|
644
|
621
|
595
|
595
|
594
|
594
|
593
|
592
|
592
|
591
|
590
|
|
固定負債合計
|
109
|
818
|
801
|
788
|
771
|
742
|
723
|
686
|
654
|
1,377
|
1,293
|
1,240
|
1,214
|
1,140
|
1,034
|
978
|
962
|
917
|
911
|
851
|
816
|
803
|
811
|
797
|
820
|
832
|
838
|
853
|
810
|
|
総負債
|
268
|
1,044
|
1,018
|
990
|
983
|
943
|
930
|
886
|
852
|
1,936
|
1,867
|
1,863
|
1,846
|
1,827
|
1,791
|
1,780
|
1,794
|
1,670
|
1,708
|
1,710
|
1,657
|
1,617
|
1,605
|
1,580
|
1,627
|
1,560
|
1,578
|
1,639
|
1,595
|
|
資本金及び資本剰余金
|
-
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
1
|
1
|
2
|
2
|
2
|
2
|
2
|
2
|
2
|
1
|
1
|
1
|
1
|
1
|
1
|
1
|
1
|
1
|
1
|
1
|
|
利益剰余金
|
1,685
|
7
|
33
|
55
|
76
|
100
|
110
|
107
|
-529
|
-638
|
-646
|
-639
|
-633
|
-626
|
-569
|
-526
|
-504
|
-504
|
-531
|
-528
|
-507
|
-458
|
-443
|
-456
|
-392
|
-358
|
-304
|
-240
|
-172
|
|
株主資本
|
1,661
|
935
|
964
|
981
|
1,005
|
1,031
|
1,041
|
1,036
|
392
|
1,598
|
1,599
|
1,625
|
1,644
|
1,674
|
1,726
|
1,770
|
1,792
|
1,808
|
1,710
|
1,694
|
1,688
|
1,730
|
1,721
|
1,676
|
1,710
|
1,745
|
1,814
|
1,846
|
1,916
|
|
有利子負債合計
|
-
|
707
|
687
|
-
|
637
|
613
|
588
|
-
|
-
|
1,103
|
1,021
|
932
|
926
|
865
|
770
|
724
|
718
|
699
|
648
|
627
|
602
|
601
|
601
|
600
|
599
|
599
|
598
|
597
|
596
|
|
純有利子負債
|
-
|
676
|
669
|
-
|
609
|
588
|
547
|
-
|
-
|
961
|
849
|
731
|
666
|
626
|
513
|
469
|
537
|
528
|
457
|
377
|
354
|
338
|
316
|
311
|
213
|
205
|
209
|
89
|
70
|
|
DEレシオ(%)
|
-
|
75.61
|
71.27
|
-
|
63.43
|
59.44
|
56.5
|
-
|
-
|
69.02
|
63.84
|
57.36
|
56.32
|
51.7
|
44.61
|
40.92
|
40.07
|
38.66
|
37.92
|
37.06
|
35.66
|
34.76
|
34.92
|
35.82
|
35.07
|
34.33
|
32.98
|
32.37
|
31.14
|
|
運転資本
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|