Garrett Motion Inc.【GTX】 業績推移・財務諸表

(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