|
(単位:百万ドル)
|
1Q18
|
2Q18
|
3Q18
|
4Q18
|
1Q19
|
2Q19
|
3Q19
|
4Q19
|
1Q20
|
2Q20
|
3Q20
|
4Q20
|
1Q21
|
2Q20
|
3Q21
|
4Q21
|
1Q22
|
2Q22
|
3Q22
|
4Q22
|
1Q23
|
2Q23
|
3Q23
|
4Q23
|
1Q24
|
2Q24
|
3Q24
|
4Q24
|
1Q25
|
|
現金同等物
|
98
|
83
|
87
|
103
|
58
|
32
|
140
|
112
|
56
|
124
|
84
|
69
|
69
|
30
|
34
|
20
|
32
|
41
|
24
|
43
|
20
|
31
|
26
|
36
|
23
|
30
|
23
|
20
|
24
|
|
現金 + 有価証券
|
98
|
83
|
87
|
103
|
58
|
32
|
140
|
112
|
56
|
124
|
84
|
69
|
69
|
30
|
34
|
20
|
32
|
41
|
24
|
43
|
20
|
31
|
26
|
36
|
23
|
30
|
23
|
20
|
24
|
|
売掛金
|
211
|
221
|
241
|
153
|
223
|
248
|
203
|
204
|
281
|
58
|
105
|
244
|
200
|
337
|
325
|
298
|
360
|
399
|
480
|
410
|
488
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
|
商品及び製品
|
60
|
62
|
55
|
60
|
74
|
86
|
86
|
88
|
87
|
81
|
76
|
118
|
129
|
120
|
116
|
134
|
139
|
163
|
185
|
214
|
196
|
201
|
211
|
205
|
210
|
206
|
197
|
203
|
202
|
|
流動資産合計
|
478
|
518
|
502
|
461
|
479
|
486
|
496
|
488
|
517
|
299
|
337
|
567
|
583
|
668
|
671
|
630
|
761
|
840
|
996
|
956
|
1,070
|
1,073
|
1,067
|
954
|
978
|
1,002
|
922
|
848
|
858
|
|
有形固定資産
|
549
|
561
|
583
|
627
|
640
|
647
|
638
|
651
|
642
|
613
|
582
|
1,120
|
1,105
|
1,076
|
1,069
|
1,199
|
1,218
|
1,267
|
1,295
|
1,362
|
1,430
|
1,546
|
1,613
|
1,645
|
1,694
|
1,750
|
1,834
|
1,890
|
1,926
|
|
固定資産合計
|
560
|
572
|
598
|
655
|
789
|
817
|
798
|
794
|
780
|
751
|
721
|
1,322
|
1,333
|
1,306
|
1,294
|
1,410
|
1,429
|
1,494
|
1,529
|
1,619
|
1,690
|
1,850
|
2,021
|
2,079
|
2,119
|
2,239
|
2,350
|
2,448
|
2,497
|
|
総資産
|
1,038
|
1,091
|
1,101
|
1,116
|
1,268
|
1,303
|
1,295
|
1,283
|
1,298
|
1,051
|
1,058
|
1,889
|
1,916
|
1,975
|
1,966
|
2,040
|
2,191
|
2,335
|
2,525
|
2,576
|
2,761
|
2,925
|
3,089
|
3,034
|
3,098
|
3,241
|
3,273
|
3,296
|
3,356
|
|
買掛金
|
139
|
93
|
95
|
80
|
122
|
108
|
91
|
117
|
108
|
27
|
70
|
193
|
184
|
182
|
228
|
288
|
333
|
311
|
378
|
326
|
412
|
368
|
358
|
293
|
315
|
348
|
347
|
314
|
369
|
|
一年内返済予定の長期借入金
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
1
|
1
|
1
|
1
|
1
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
|
流動負債合計
|
250
|
205
|
204
|
219
|
274
|
270
|
253
|
266
|
283
|
100
|
166
|
356
|
393
|
491
|
509
|
569
|
623
|
622
|
704
|
649
|
754
|
744
|
793
|
639
|
662
|
743
|
748
|
666
|
716
|
|
長期借入金
|
106
|
106
|
106
|
106
|
106
|
106
|
105
|
105
|
105
|
105
|
105
|
105
|
105
|
105
|
121
|
121
|
211
|
252
|
252
|
217
|
210
|
288
|
223
|
140
|
166
|
147
|
123
|
190
|
210
|
|
固定負債合計
|
137
|
146
|
152
|
155
|
238
|
240
|
237
|
235
|
233
|
230
|
216
|
223
|
245
|
254
|
265
|
240
|
334
|
383
|
412
|
429
|
415
|
506
|
506
|
552
|
550
|
560
|
555
|
651
|
665
|
|
総負債
|
388
|
352
|
357
|
375
|
513
|
510
|
491
|
501
|
517
|
331
|
382
|
579
|
639
|
745
|
774
|
810
|
957
|
1,005
|
1,117
|
1,078
|
1,170
|
1,250
|
1,300
|
1,192
|
1,213
|
1,304
|
1,303
|
1,317
|
1,381
|
|
資本金及び資本剰余金
|
347
|
349
|
311
|
312
|
314
|
318
|
368
|
410
|
413
|
435
|
446
|
1,125
|
1,212
|
1,274
|
1,278
|
1,367
|
1,389
|
1,384
|
1,320
|
1,266
|
1,208
|
1,146
|
1,123
|
1,093
|
1,070
|
1,027
|
996
|
977
|
965
|
|
利益剰余金
|
23
|
73
|
103
|
119
|
133
|
152
|
159
|
143
|
140
|
94
|
60
|
23
|
-11
|
-62
|
-101
|
-156
|
-162
|
-57
|
90
|
234
|
388
|
531
|
671
|
752
|
822
|
918
|
980
|
1,019
|
1,026
|
|
株主資本
|
650
|
739
|
743
|
740
|
755
|
792
|
803
|
781
|
781
|
719
|
676
|
1,310
|
1,277
|
1,229
|
1,191
|
1,230
|
1,233
|
1,330
|
1,407
|
1,497
|
1,590
|
1,673
|
1,788
|
1,841
|
1,884
|
1,936
|
1,968
|
1,978
|
1,974
|
|
有利子負債合計
|
107
|
107
|
107
|
106
|
106
|
106
|
106
|
106
|
106
|
105
|
105
|
105
|
105
|
105
|
121
|
122
|
212
|
253
|
253
|
218
|
210
|
288
|
223
|
140
|
166
|
147
|
123
|
190
|
210
|
|
純有利子負債
|
9
|
23
|
20
|
3
|
47
|
74
|
-34
|
-7
|
49
|
-19
|
21
|
36
|
36
|
74
|
86
|
102
|
179
|
212
|
229
|
174
|
189
|
256
|
196
|
103
|
142
|
116
|
99
|
170
|
185
|
|
DEレシオ(%)
|
16.48
|
14.5
|
14.4
|
14.38
|
14.09
|
13.47
|
13.22
|
13.58
|
13.57
|
14.72
|
15.65
|
8.07
|
8.27
|
8.59
|
10.19
|
9.95
|
17.2
|
19.09
|
18.03
|
14.59
|
13.21
|
17.2
|
12.47
|
7.6
|
8.81
|
7.59
|
6.25
|
9.63
|
10.64
|
|
運転資本
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|