ゼネラルダイナミクス・コーポレーション【GD】 バランスシート

機能の使い方
(単位:百万ドル) 2010/12 2011/12 2012/12 2013/12 2014/12 2015/12 2016/12 2017/12 2018/12 2019/12 2020/12 2021/12 2022/12 2023/12 2024/12 2025/12
現金同等物 2,613 2,649 3,296 5,301 4,388 2,785 2,334 2,983 963 902 2,824 1,603 1,242 1,913 1,700 2,333
現金 + 有価証券 2,613 2,649 3,296 5,301 4,388 2,785 2,334 2,983 963 902 2,824 1,603 1,242 1,913 1,700 2,333
売掛金 3,848 4,452 4,204 4,402 4,050 3,446 3,611 3,617 3,759 3,544 3,161 3,041 3,008 3,004 2,977 2,406
商品及び製品 2,158 2,310 2,776 2,968 3,221 3,366 3,523 5,303 5,977 6,306 5,745 5,340 6,322 8,578 9,724 9,232
流動資産合計 14,186 15,368 15,744 17,886 17,407 14,571 15,447 18,328 18,189 19,780 21,543 19,987 21,063 23,615 24,386 24,248
有形固定資産 2,971 3,284 3,403 3,415 3,329 3,466 3,467 3,517 4,348 4,475 5,100 5,417 5,900 6,198 6,467 7,525
固定資産合計 18,359 19,515 18,565 17,562 17,948 17,426 17,425 16,718 27,219 29,061 29,765 30,086 30,522 31,195 31,494 33,001
総資産 32,545 34,883 34,309 35,448 35,355 31,997 32,872 35,046 45,408 48,841 51,308 50,073 51,585 54,810 55,880 57,249
買掛金 2,736 2,895 2,469 2,248 2,057 1,964 2,538 3,207 3,179 3,162 2,952 3,167 3,398 3,095 3,344 2,678
流動負債合計 11,177 11,145 11,620 12,194 13,751 12,445 12,846 13,099 14,739 16,801 15,964 13,978 15,341 16,432 17,824 16,796
長期借入金 2,430 3,907 3,908 3,908 3,410 2,898 2,988 3,980 11,444 9,010 9,995 10,490 9,243 8,754 7,260 7,007
固定負債合計 8,052 10,506 11,299 8,753 9,775 8,814 9,050 10,512 18,937 18,463 19,683 18,454 17,676 17,079 15,993 14,831
利益剰余金 17,076 18,917 17,860 19,428 21,127 23,204 25,227 26,444 29,326 31,633 33,498 35,420 37,403 39,270 41,487 44,080
株主資本 13,316 13,232 11,390 14,501 11,829 10,738 10,976 11,435 11,732 13,577 15,661 17,641 18,568 21,299 22,063 25,622
運転資本 5,214 5,932 8,487 9,357 8,960