|
(単位:百万円)
|
2013/3
|
2014/3
|
2015/3
|
2016/3
|
2017/3
|
2018/3
|
2019/3
|
2020/3
|
2021/3
|
2022/3
|
2023/3
|
2024/3
|
2025/3
|
|
減価償却費
|
45,836
|
48,533
|
53,283
|
56,515
|
59,597
|
64,163
|
71,020
|
75,207
|
78,403
|
100,328
|
113,464
|
117,204
|
131,786
|
|
営業キャッシュフロー
|
164,247
|
78,451
|
139,465
|
278,497
|
287,691
|
382,365
|
355,599
|
149,651
|
430,314
|
336,436
|
230,298
|
302,294
|
420,561
|
|
資本的支出
|
-109,156
|
-217,295
|
-232,211
|
-178,179
|
-323,184
|
-276,941
|
-255,940
|
-291,468
|
-334,698
|
-410,981
|
-486,516
|
-356,048
|
-381,786
|
|
投資キャッシュフロー
|
-140,736
|
-240,439
|
-235,027
|
-202,447
|
-343,643
|
-313,664
|
-313,989
|
-317,273
|
-389,980
|
-467,423
|
-505,181
|
-310,419
|
-493,370
|
|
配当金の支払額
|
-14,467
|
-33,436
|
-36,251
|
-46,319
|
-56,515
|
-64,618
|
-74,612
|
-79,016
|
-72,556
|
-79,239
|
-86,089
|
-87,520
|
-95,635
|
|
自己株式の取得による支出
|
-55
|
-104
|
-51
|
-2,652
|
-12,191
|
-26
|
-7,982
|
-244
|
-26,054
|
-12
|
-10
|
-87,171
|
-100,015
|
|
長期借入れによる収入
|
105,465
|
40,568
|
134,083
|
61,703
|
108,048
|
106,658
|
85,919
|
275,988
|
260,299
|
181,281
|
433,846
|
390,513
|
530,283
|
|
長期借入金の返済による支出
|
-150,041
|
-45,443
|
-66,234
|
-46,641
|
-72,844
|
-94,901
|
-80,583
|
-129,617
|
-98,555
|
-115,838
|
-201,940
|
-354,719
|
-373,850
|
|
財務キャッシュフロー
|
-28,633
|
110,131
|
129,202
|
-130,185
|
80,086
|
41,804
|
-86,979
|
169,128
|
102,731
|
24,427
|
287,452
|
97,399
|
-44,682
|