|
(単位:百万円)
|
4Q14
|
4Q15
|
2Q16
|
3Q16
|
4Q16
|
1Q17
|
2Q17
|
3Q17
|
4Q17
|
1Q18
|
2Q18
|
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
|
3Q25
|
4Q25
|
1Q26
|
2Q26
|
|
現金同等物
|
-
|
690
|
680
|
673
|
757
|
730
|
757
|
504
|
667
|
666
|
728
|
667
|
720
|
494
|
403
|
444
|
326
|
486
|
526
|
668
|
749
|
675
|
612
|
651
|
644
|
637
|
501
|
376
|
468
|
739
|
605
|
622
|
609
|
683
|
726
|
654
|
711
|
556
|
505
|
701
|
606
|
741
|
677
|
|
流動資産合計
|
-
|
832
|
840
|
890
|
975
|
926
|
970
|
913
|
1,168
|
1,024
|
1,117
|
1,063
|
1,329
|
876
|
846
|
891
|
886
|
914
|
1,067
|
1,093
|
1,196
|
1,050
|
1,073
|
1,105
|
1,172
|
1,097
|
1,052
|
1,047
|
1,056
|
1,238
|
1,154
|
1,156
|
1,232
|
1,070
|
1,381
|
1,274
|
1,437
|
1,200
|
1,193
|
1,369
|
1,512
|
1,275
|
1,254
|
|
有形固定資産
|
-
|
95
|
91
|
95
|
84
|
88
|
83
|
87
|
87
|
92
|
86
|
81
|
80
|
74
|
70
|
64
|
80
|
75
|
70
|
76
|
62
|
176
|
229
|
218
|
222
|
225
|
220
|
221
|
243
|
229
|
265
|
246
|
257
|
143
|
139
|
133
|
126
|
126
|
124
|
121
|
117
|
111
|
106
|
|
固定資産合計
|
-
|
157
|
166
|
182
|
184
|
197
|
241
|
720
|
764
|
793
|
830
|
874
|
848
|
1,051
|
1,103
|
1,107
|
1,058
|
1,007
|
966
|
1,059
|
1,038
|
1,106
|
1,141
|
1,075
|
1,069
|
1,056
|
1,091
|
1,094
|
1,174
|
1,196
|
1,253
|
1,259
|
1,327
|
1,161
|
1,249
|
1,182
|
1,120
|
1,123
|
1,061
|
981
|
927
|
856
|
796
|
|
総資産
|
-
|
989
|
1,006
|
1,072
|
1,159
|
1,124
|
1,212
|
1,633
|
1,932
|
1,817
|
1,947
|
1,937
|
2,178
|
1,927
|
1,950
|
1,999
|
1,945
|
1,921
|
2,034
|
2,153
|
2,235
|
2,157
|
2,214
|
2,181
|
2,242
|
2,154
|
2,143
|
2,142
|
2,232
|
2,436
|
2,408
|
2,416
|
2,560
|
2,232
|
2,631
|
2,457
|
2,558
|
2,324
|
2,255
|
2,351
|
2,441
|
2,131
|
2,050
|
|
短期借入金
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
100
|
100
|
100
|
100
|
100
|
100
|
100
|
100
|
30
|
30
|
20
|
20
|
10
|
10
|
10
|
10
|
-
|
-
|
33
|
71
|
126
|
126
|
172
|
200
|
200
|
400
|
300
|
300
|
300
|
300
|
300
|
300
|
300
|
300
|
300
|
|
一年内返済予定の長期借入金
|
-
|
20
|
20
|
20
|
20
|
20
|
20
|
118
|
116
|
115
|
116
|
116
|
112
|
107
|
203
|
177
|
150
|
126
|
136
|
166
|
166
|
166
|
233
|
233
|
233
|
233
|
227
|
213
|
197
|
240
|
201
|
157
|
115
|
73
|
182
|
295
|
304
|
304
|
304
|
363
|
363
|
363
|
363
|
|
流動負債合計
|
-
|
172
|
143
|
162
|
189
|
145
|
179
|
343
|
550
|
487
|
543
|
506
|
991
|
902
|
522
|
538
|
447
|
496
|
481
|
548
|
599
|
598
|
545
|
538
|
586
|
622
|
647
|
611
|
751
|
817
|
782
|
754
|
831
|
973
|
989
|
863
|
1,010
|
946
|
1,013
|
1,110
|
1,210
|
1,049
|
1,032
|
|
長期借入金
|
-
|
56
|
46
|
43
|
36
|
31
|
26
|
191
|
160
|
132
|
104
|
75
|
50
|
26
|
385
|
358
|
333
|
308
|
344
|
372
|
330
|
288
|
369
|
311
|
252
|
194
|
141
|
97
|
55
|
253
|
225
|
210
|
195
|
180
|
742
|
798
|
722
|
645
|
569
|
630
|
539
|
448
|
357
|
|
固定負債合計
|
-
|
72
|
58
|
53
|
45
|
38
|
31
|
195
|
162
|
132
|
104
|
75
|
50
|
26
|
385
|
358
|
333
|
308
|
344
|
372
|
330
|
288
|
369
|
311
|
252
|
194
|
141
|
97
|
55
|
255
|
228
|
214
|
201
|
187
|
752
|
810
|
731
|
657
|
583
|
646
|
556
|
467
|
377
|
|
総負債
|
-
|
244
|
201
|
216
|
234
|
183
|
211
|
538
|
712
|
620
|
647
|
581
|
1,042
|
929
|
908
|
896
|
780
|
805
|
826
|
921
|
930
|
887
|
914
|
849
|
839
|
817
|
789
|
708
|
807
|
1,072
|
1,010
|
968
|
1,032
|
1,161
|
1,742
|
1,674
|
1,741
|
1,604
|
1,596
|
1,756
|
1,766
|
1,516
|
1,409
|
|
資本金及び資本剰余金
|
-
|
404
|
404
|
404
|
404
|
412
|
412
|
412
|
417
|
417
|
417
|
417
|
417
|
417
|
417
|
417
|
417
|
416
|
416
|
416
|
416
|
416
|
416
|
416
|
416
|
416
|
416
|
416
|
421
|
421
|
421
|
421
|
421
|
421
|
421
|
421
|
421
|
421
|
421
|
421
|
421
|
421
|
421
|
|
利益剰余金
|
-
|
341
|
400
|
452
|
520
|
528
|
588
|
630
|
740
|
722
|
819
|
876
|
648
|
531
|
576
|
637
|
700
|
669
|
758
|
784
|
854
|
821
|
851
|
883
|
948
|
885
|
900
|
975
|
996
|
936
|
970
|
1,019
|
1,098
|
642
|
460
|
354
|
386
|
290
|
230
|
169
|
246
|
189
|
214
|
|
株主資本
|
292
|
745
|
804
|
856
|
925
|
940
|
1,000
|
1,095
|
1,220
|
1,197
|
1,299
|
1,355
|
1,136
|
998
|
1,042
|
1,102
|
1,164
|
1,116
|
1,208
|
1,232
|
1,304
|
1,269
|
1,299
|
1,331
|
1,402
|
1,336
|
1,353
|
1,434
|
1,424
|
1,363
|
1,397
|
1,447
|
1,527
|
1,070
|
888
|
782
|
816
|
718
|
658
|
594
|
674
|
615
|
641
|