Illinois Tool Works Inc.【ITW】 業績推移・財務諸表

(単位:百万ドル) 1Q10 2Q10 3Q10 4Q10 1Q11 2Q11 3Q11 4Q11 1Q12 2Q12 3Q12 4Q12 1Q13 2Q13 3Q13 4Q13 1Q14 2Q14 3Q14 4Q14 1Q15 2Q15 3Q15 4Q15 1Q16 2Q16 3Q16 4Q16 1Q17 2Q17 3Q17 4Q17 1Q18 2Q18 3Q18 4Q18 1Q19 2Q19 3Q19 4Q19 3Q20 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 1,417 1,265 1,649 1,190 1,084 1,230 1,318 1,177 1,304 1,692 2,054 2,779 2,662 2,768 3,018 3,618 3,547 5,297 4,820 3,990 2,672 2,858 3,001 3,090 2,448 2,355 2,299 2,472 2,493 2,496 2,785 3,094 1,940 1,628 1,589 1,504 1,755 1,677 1,825 1,981 1,430 1,812 2,169 2,564 2,484 2,058 1,987 1,527 1,296 879 774 708 1,143 922 990 1,065 959 862 947 948 873
現金 + 有価証券 1,417 1,265 1,649 1,190 1,084 1,230 1,318 1,177 1,304 1,692 2,054 2,779 2,662 2,768 3,018 3,618 3,547 5,297 4,820 3,990 2,672 2,858 3,001 3,090 2,448 2,355 2,299 2,472 2,493 2,496 2,785 3,094 1,940 1,628 1,589 1,504 1,755 1,677 1,825 1,981 1,430 1,812 2,169 2,564 2,484 2,058 1,987 1,527 1,296 879 774 708 1,143 922 990 1,065 959 862 947 948 873
商品及び製品 1,413 1,458 1,544 1,547 1,824 1,919 1,794 1,715 1,824 1,796 - 1,585 1,514 1,490 1,308 1,247 1,298 1,305 1,265 1,180 1,187 1,191 1,153 1,086 1,134 1,145 1,167 1,076 1,158 1,199 1,225 1,220 1,335 1,320 1,338 1,318 1,346 1,256 1,209 1,164 1,185 1,167 1,149 1,189 1,292 1,400 1,524 1,694 1,883 1,975 2,007 2,054 2,000 1,921 1,799 1,707 1,825 1,819 1,817 1,605 1,663
流動資産合計 5,792 5,766 6,335 5,968 6,596 7,557 7,334 6,849 7,389 7,551 - 7,960 8,110 8,213 9,582 9,816 10,028 9,791 9,152 8,076 6,667 7,033 6,969 6,720 6,241 6,167 6,185 6,123 6,430 6,570 6,912 7,278 6,423 6,119 5,940 5,778 6,075 6,289 6,245 6,253 5,506 5,609 6,031 6,523 6,704 6,509 6,577 6,374 6,682 6,371 6,196 6,270 6,688 6,404 6,288 6,235 6,371 6,256 6,304 5,856 6,037
有形固定資産 2,035 1,943 1,952 2,023 2,122 2,132 2,037 2,025 2,100 2,067 - 1,994 1,960 1,936 1,667 1,709 1,699 1,700 1,693 1,686 1,624 1,636 1,601 1,577 1,598 1,580 1,702 1,652 1,674 1,726 1,759 1,778 1,829 1,783 1,799 1,791 1,765 1,717 1,693 1,729 1,704 1,711 1,736 1,777 1,746 1,767 1,744 1,809 1,795 1,736 1,705 1,848 1,885 1,901 1,904 1,976 1,973 2,011 2,071 2,036 2,085
投資有価証券 445 445 437 441 430 435 424 408 287 271 - 146 - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -
固定資産合計 10,074 9,905 9,969 10,282 11,045 10,969 11,029 11,134 11,555 11,370 - 11,349 11,096 10,986 10,169 10,150 10,142 10,145 9,876 9,602 9,270 9,315 9,135 9,009 9,196 9,055 9,524 9,078 9,099 9,352 9,402 9,502 9,740 9,404 9,379 9,092 9,251 8,898 8,715 8,815 8,643 8,654 8,909 9,089 8,959 9,071 8,940 9,703 9,604 9,295 9,030 9,152 9,233 9,248 9,107 9,283 9,282 9,321 9,520 9,211 9,431
総資産 15,867 15,672 16,304 16,250 17,641 18,526 18,363 17,984 18,944 18,921 - 19,309 19,206 19,199 19,751 19,966 20,170 19,936 19,028 17,678 15,937 16,348 16,104 15,729 15,437 15,222 15,709 15,201 15,529 15,922 16,314 16,780 16,163 15,523 15,319 14,870 15,326 15,187 14,960 15,068 14,149 14,263 14,940 15,612 15,663 15,580 15,517 16,077 16,286 15,666 15,226 15,422 15,921 15,652 15,395 15,518 15,653 15,577 15,824 15,067 15,468
買掛金 696 731 722 754 866 864 770 696 831 785 - 676 749 717 616 634 689 683 594 512 670 533 498 449 525 519 582 511 574 582 585 590 655 623 576 524 568 512 493 472 488 402 521 534 589 607 565 585 696 679 618 594 599 590 580 581 597 576 556 519 594
一年内返済予定の長期借入金 - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - 4 - - - 350 - - - 568 - - - 535 - - - 1,361 - - - 777 -
流動負債合計 2,841 2,777 3,221 3,094 3,250 4,062 3,636 2,977 3,777 3,936 - 2,651 2,802 3,711 3,941 6,034 5,360 3,923 3,874 3,533 3,744 2,746 2,724 2,368 2,716 2,824 3,486 2,760 2,875 2,826 2,867 3,053 2,925 3,547 3,663 3,542 3,961 2,188 2,223 2,154 2,032 2,042 2,540 2,589 2,680 2,960 2,996 3,470 3,858 4,294 4,392 4,460 5,596 4,040 3,982 4,675 4,844 4,804 4,627 4,308 3,780
長期借入金 2,807 2,724 2,737 2,512 2,597 2,623 3,522 3,488 3,521 3,468 - 4,589 4,556 3,771 3,808 2,793 4,789 6,140 6,034 5,981 5,845 6,994 7,000 6,896 - - - 7,177 - - - 7,478 - - - 6,029 - - - 7,754 - - - 7,772 - - - 6,909 6,817 6,115 5,940 6,173 5,510 6,947 6,818 6,339 6,259 6,429 6,578 6,308 7,282
固定負債合計 4,283 4,164 4,192 3,775 4,012 4,042 4,875 4,973 5,032 4,884 - 6,088 6,125 5,257 5,342 4,223 6,230 7,573 7,353 7,321 7,211 8,296 8,290 8,133 7,499 7,448 7,430 8,182 8,156 8,322 8,421 9,138 9,075 8,188 8,110 8,070 8,165 9,904 9,767 9,884 9,833 9,863 9,703 9,841 9,707 9,099 9,028 8,981 8,846 7,993 7,820 7,873 7,224 8,518 8,409 7,830 7,788 7,811 7,805 7,442 8,446
資本金及び資本剰余金 5 5 5 5 5 5 5 5 5 5 - 5 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6
利益剰余金 9,660 9,925 10,176 10,399 10,861 11,192 11,526 11,794 12,108 12,821 - 13,973 14,156 14,451 14,716 14,943 15,243 16,568 16,909 17,173 17,453 17,755 18,066 18,316 18,586 18,916 19,223 19,505 19,817 20,180 20,553 20,210 20,228 20,633 20,938 21,217 21,488 21,788 22,104 22,403 22,631 22,612 22,833 23,114 23,425 23,842 24,098 24,325 24,607 24,967 25,292 25,799 26,115 26,473 26,823 27,122 27,523 27,866 28,583 28,893 29,154
株主資本 8,743 8,732 8,891 9,381 10,379 10,422 9,852 10,034 10,135 10,101 - 10,570 10,279 10,231 10,468 9,709 8,580 8,440 7,801 6,824 4,982 5,306 5,090 5,228 5,222 4,950 4,793 4,259 4,498 4,774 5,026 4,589 4,163 3,788 3,546 3,258 3,200 3,095 2,970 3,030 2,284 2,358 2,697 3,182 3,276 3,521 3,493 3,626 3,582 3,379 3,014 3,089 3,101 3,094 3,004 3,013 3,021 2,962 3,392 3,317 3,242
有利子負債合計 2,807 2,724 2,737 2,542 2,597 2,623 3,522 3,488 3,521 3,468 - 4,589 4,556 3,771 3,808 2,793 4,789 6,140 6,034 5,943 5,845 6,994 7,000 6,896 - - - 7,177 - - - 7,478 - - - 7,379 - - - 7,758 - - - 8,122 - - - 7,477 6,817 6,115 5,940 6,708 5,510 6,947 6,818 7,700 6,259 6,429 6,578 7,085 7,282
純有利子負債 1,389 1,459 1,088 1,352 1,512 1,392 2,203 2,310 2,217 1,776 - 1,810 1,894 1,003 790 -825 1,242 843 1,214 1,953 3,173 4,136 3,999 3,806 - - - 4,705 - - - 4,384 - - - 5,875 - - - 5,777 - - - 5,558 - - - 5,950 5,521 5,236 5,166 6,000 4,367 6,025 5,828 6,635 5,300 5,567 5,631 6,137 6,409
DEレシオ(%) 32.11 31.2 30.79 27.1 25.02 25.17 35.75 34.76 34.74 34.33 - 43.42 44.32 36.86 36.38 28.77 55.82 72.75 77.35 87.09 117.32 131.81 137.52 131.91 - - - 168.51 - - - 162.95 - - - 226.49 - - - 256.04 - - - 255.25 - - - 206.21 190.31 180.97 197.08 217.16 177.68 224.53 226.96 255.56 207.18 217.05 193.93 213.6 224.61