|
(単位:百万ドル)
|
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
|
2Q25
|
|
現金同等物
|
197
|
196
|
207
|
182
|
190
|
187
|
254
|
139
|
312
|
592
|
382
|
401
|
456
|
423
|
315
|
146
|
159
|
246
|
291
|
478
|
162
|
259
|
196
|
98
|
96
|
125
|
130
|
232
|
|
現金 + 有価証券
|
197
|
196
|
207
|
182
|
190
|
187
|
254
|
139
|
312
|
592
|
382
|
401
|
456
|
423
|
315
|
146
|
159
|
246
|
291
|
478
|
162
|
259
|
196
|
98
|
96
|
125
|
130
|
232
|
|
商品及び製品
|
183
|
172
|
181
|
193
|
193
|
220
|
225
|
234
|
237
|
235
|
258
|
275
|
278
|
244
|
301
|
284
|
283
|
270
|
301
|
312
|
294
|
263
|
272
|
272
|
267
|
286
|
265
|
287
|
|
流動資産合計
|
1,185
|
1,189
|
1,239
|
1,214
|
1,193
|
1,199
|
1,188
|
1,004
|
1,392
|
1,879
|
1,735
|
1,734
|
1,609
|
1,511
|
1,480
|
1,257
|
1,371
|
1,431
|
1,605
|
1,742
|
1,390
|
1,406
|
1,338
|
1,192
|
1,143
|
1,193
|
1,248
|
1,363
|
|
有形固定資産
|
422
|
438
|
424
|
435
|
430
|
471
|
457
|
457
|
465
|
505
|
484
|
481
|
472
|
485
|
469
|
443
|
419
|
470
|
462
|
452
|
437
|
477
|
452
|
438
|
450
|
449
|
444
|
458
|
|
固定資産合計
|
1,105
|
915
|
933
|
958
|
953
|
1,076
|
1,066
|
1,062
|
1,075
|
1,138
|
1,100
|
1,103
|
1,108
|
1,195
|
1,208
|
1,205
|
1,232
|
1,206
|
1,186
|
1,150
|
1,142
|
1,121
|
1,110
|
1,037
|
1,012
|
1,083
|
1,027
|
1,040
|
|
総資産
|
2,290
|
2,104
|
2,172
|
2,172
|
2,146
|
2,275
|
2,254
|
2,066
|
2,467
|
3,017
|
2,835
|
2,837
|
2,717
|
2,706
|
2,688
|
2,462
|
2,603
|
2,637
|
2,791
|
2,892
|
2,532
|
2,527
|
2,448
|
2,229
|
2,155
|
2,276
|
2,275
|
2,403
|
|
買掛金
|
828
|
916
|
881
|
883
|
897
|
1,009
|
935
|
705
|
461
|
1,019
|
1,099
|
1,114
|
921
|
1,006
|
1,071
|
979
|
1,001
|
1,048
|
1,123
|
1,136
|
1,066
|
1,074
|
1,029
|
984
|
896
|
972
|
935
|
1,005
|
|
一年内返済予定の長期借入金
|
28
|
23
|
23
|
14
|
4
|
4
|
4
|
4
|
-
|
-
|
-
|
-
|
5
|
7
|
7
|
7
|
7
|
7
|
7
|
60
|
7
|
7
|
7
|
7
|
7
|
7
|
7
|
7
|
|
流動負債合計
|
1,458
|
1,492
|
1,461
|
1,401
|
1,388
|
1,392
|
1,376
|
1,165
|
1,032
|
1,837
|
1,852
|
1,492
|
1,499
|
1,508
|
1,380
|
1,273
|
1,339
|
1,375
|
1,478
|
1,518
|
1,385
|
1,374
|
1,319
|
1,274
|
1,222
|
1,278
|
1,269
|
1,319
|
|
長期借入金
|
1,577
|
1,569
|
1,542
|
1,552
|
1,477
|
1,409
|
1,389
|
1,403
|
1,045
|
1,082
|
1,049
|
1,204
|
1,195
|
1,181
|
1,166
|
1,139
|
1,108
|
1,148
|
1,157
|
1,772
|
1,622
|
1,643
|
1,633
|
1,465
|
1,464
|
1,464
|
1,462
|
1,460
|
|
固定負債合計
|
3,288
|
3,205
|
3,163
|
3,188
|
3,022
|
3,016
|
2,924
|
3,004
|
3,631
|
3,488
|
3,283
|
2,051
|
1,851
|
1,666
|
1,665
|
1,420
|
1,366
|
1,378
|
1,393
|
1,997
|
1,839
|
1,888
|
1,864
|
1,680
|
1,711
|
1,671
|
1,706
|
1,896
|
|
総負債
|
4,746
|
4,697
|
4,624
|
4,589
|
4,410
|
4,408
|
4,300
|
4,169
|
4,663
|
5,325
|
5,135
|
3,543
|
3,350
|
3,174
|
3,045
|
2,693
|
2,705
|
2,753
|
2,871
|
3,515
|
3,224
|
3,262
|
3,183
|
2,954
|
2,933
|
2,949
|
2,975
|
3,215
|
|
資本金及び資本剰余金
|
-
|
5
|
10
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
1,332
|
1,334
|
1,326
|
1,327
|
1,329
|
1,331
|
1,333
|
1,336
|
1,184
|
1,188
|
1,190
|
1,198
|
1,203
|
1,207
|
1,213
|
1,219
|
1,226
|
|
利益剰余金
|
-2,464
|
-
|
-
|
-2,532
|
-2,494
|
-2,282
|
-2,235
|
-2,244
|
-2,233
|
-2,207
|
-2,312
|
-1,972
|
-1,909
|
-1,790
|
-1,703
|
-1,618
|
-1,555
|
-1,485
|
-1,446
|
-1,834
|
-1,939
|
-1,922
|
-1,856
|
-1,792
|
-1,740
|
-1,653
|
-1,591
|
-1,517
|
|
株主資本
|
-2,456
|
-2,593
|
-2,452
|
-2,417
|
-2,264
|
-2,133
|
-2,046
|
-2,103
|
-2,196
|
-2,308
|
-2,300
|
-706
|
-633
|
-468
|
-357
|
-231
|
-102
|
-116
|
-80
|
-623
|
-692
|
-735
|
-735
|
-725
|
-778
|
-673
|
-700
|
-812
|
|
有利子負債合計
|
1,605
|
1,592
|
1,565
|
1,566
|
1,481
|
1,413
|
1,393
|
1,407
|
1,045
|
1,082
|
1,049
|
1,204
|
1,200
|
1,188
|
1,173
|
1,146
|
1,115
|
1,155
|
1,164
|
1,832
|
1,629
|
1,650
|
1,640
|
1,472
|
1,471
|
1,471
|
1,469
|
1,467
|
|
純有利子負債
|
1,408
|
1,396
|
1,358
|
1,384
|
1,291
|
1,226
|
1,139
|
1,268
|
733
|
490
|
667
|
803
|
744
|
765
|
858
|
1,000
|
956
|
909
|
873
|
1,354
|
1,467
|
1,391
|
1,444
|
1,374
|
1,375
|
1,346
|
1,339
|
1,235
|
|
DEレシオ(%)
|
-65.35
|
-61.4
|
-63.83
|
-64.79
|
-65.42
|
-66.24
|
-68.08
|
-66.9
|
-47.59
|
-46.88
|
-45.61
|
-170.54
|
-189.57
|
-253.85
|
-328.57
|
-496.1
|
-1093.14
|
-995.69
|
-1455
|
-294.06
|
-235.4
|
-224.49
|
-223.13
|
-203.03
|
-189.07
|
-218.57
|
-209.86
|
-180.67
|