|
(単位:百万ドル)
|
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
|
1Q20
|
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
|
36
|
1
|
6
|
3
|
42
|
32
|
9
|
4
|
31
|
52
|
66
|
6
|
0
|
0
|
0
|
27
|
11
|
7
|
12
|
27
|
78
|
95
|
86
|
64
|
37
|
19
|
26
|
4
|
17
|
18
|
14
|
14
|
60
|
27
|
35
|
97
|
62
|
68
|
51
|
63
|
97
|
72
|
62
|
55
|
54
|
23
|
47
|
23
|
22
|
31
|
66
|
22
|
130
|
161
|
165
|
231
|
|
現金 + 有価証券
|
36
|
1
|
6
|
3
|
42
|
32
|
9
|
4
|
31
|
52
|
66
|
6
|
0
|
0
|
0
|
27
|
11
|
7
|
12
|
27
|
78
|
95
|
86
|
64
|
37
|
19
|
26
|
4
|
17
|
18
|
14
|
14
|
60
|
27
|
35
|
97
|
62
|
68
|
51
|
63
|
97
|
72
|
62
|
55
|
54
|
23
|
47
|
23
|
22
|
31
|
66
|
22
|
130
|
161
|
165
|
231
|
|
売掛金
|
44
|
41
|
22
|
57
|
50
|
50
|
21
|
54
|
59
|
54
|
31
|
75
|
71
|
64
|
37
|
89
|
72
|
84
|
41
|
104
|
102
|
89
|
57
|
131
|
130
|
139
|
82
|
178
|
163
|
162
|
121
|
179
|
143
|
185
|
199
|
280
|
269
|
313
|
268
|
405
|
418
|
394
|
319
|
564
|
417
|
335
|
214
|
340
|
299
|
338
|
214
|
344
|
333
|
319
|
199
|
357
|
|
商品及び製品
|
83
|
97
|
92
|
88
|
91
|
98
|
97
|
110
|
99
|
96
|
101
|
99
|
108
|
127
|
132
|
138
|
163
|
178
|
170
|
165
|
149
|
161
|
188
|
189
|
202
|
229
|
274
|
323
|
323
|
325
|
340
|
324
|
301
|
334
|
393
|
350
|
328
|
369
|
493
|
535
|
620
|
790
|
1,095
|
1,136
|
1,155
|
1,079
|
1,029
|
909
|
830
|
791
|
768
|
734
|
687
|
705
|
736
|
717
|
|
流動資産合計
|
182
|
160
|
137
|
165
|
204
|
202
|
154
|
188
|
212
|
222
|
225
|
202
|
208
|
222
|
207
|
294
|
284
|
306
|
268
|
321
|
355
|
374
|
367
|
421
|
415
|
434
|
417
|
545
|
548
|
556
|
526
|
553
|
538
|
580
|
670
|
769
|
697
|
795
|
869
|
1,068
|
1,215
|
1,360
|
1,566
|
1,827
|
1,697
|
1,505
|
1,390
|
1,364
|
1,235
|
1,230
|
1,116
|
1,169
|
1,218
|
1,244
|
1,160
|
1,367
|
|
有形固定資産
|
85
|
90
|
95
|
95
|
99
|
101
|
107
|
112
|
117
|
120
|
125
|
129
|
126
|
133
|
146
|
149
|
148
|
150
|
150
|
150
|
151
|
153
|
172
|
178
|
203
|
210
|
228
|
266
|
282
|
304
|
322
|
335
|
339
|
343
|
366
|
372
|
364
|
368
|
387
|
392
|
408
|
421
|
426
|
450
|
456
|
470
|
482
|
480
|
478
|
472
|
465
|
454
|
448
|
443
|
432
|
428
|
|
固定資産合計
|
171
|
211
|
213
|
214
|
214
|
215
|
219
|
223
|
225
|
227
|
227
|
274
|
307
|
326
|
336
|
334
|
349
|
363
|
354
|
387
|
402
|
399
|
419
|
430
|
509
|
521
|
528
|
633
|
655
|
677
|
717
|
789
|
792
|
834
|
1,191
|
1,281
|
1,320
|
1,315
|
1,428
|
1,432
|
1,560
|
1,727
|
1,721
|
1,813
|
1,784
|
1,763
|
1,856
|
1,844
|
1,841
|
1,803
|
1,842
|
1,811
|
1,792
|
1,780
|
1,734
|
1,732
|
|
総資産
|
354
|
371
|
351
|
380
|
419
|
418
|
373
|
411
|
437
|
449
|
453
|
477
|
515
|
549
|
543
|
629
|
633
|
669
|
622
|
709
|
757
|
774
|
786
|
852
|
924
|
955
|
945
|
1,178
|
1,204
|
1,234
|
1,243
|
1,342
|
1,330
|
1,414
|
1,862
|
2,051
|
2,018
|
2,110
|
2,298
|
2,500
|
2,776
|
3,088
|
3,288
|
3,641
|
3,483
|
3,269
|
3,247
|
3,209
|
3,076
|
3,034
|
2,959
|
2,981
|
3,012
|
3,025
|
2,895
|
3,100
|
|
一年内返済予定の長期借入金
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
17
|
18
|
20
|
19
|
17
|
67
|
65
|
74
|
71
|
21
|
20
|
22
|
23
|
25
|
27
|
0
|
0
|
0
|
0
|
0
|
0
|
3
|
|
流動負債合計
|
66
|
69
|
51
|
67
|
93
|
80
|
69
|
89
|
90
|
85
|
118
|
104
|
108
|
106
|
107
|
180
|
130
|
128
|
98
|
155
|
166
|
153
|
149
|
171
|
195
|
197
|
182
|
207
|
203
|
182
|
177
|
215
|
220
|
256
|
271
|
300
|
309
|
400
|
416
|
534
|
550
|
684
|
627
|
741
|
638
|
500
|
421
|
436
|
441
|
414
|
394
|
409
|
432
|
431
|
412
|
461
|
|
長期借入金
|
-
|
8
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
10
|
22
|
40
|
15
|
50
|
80
|
91
|
50
|
49
|
49
|
49
|
49
|
49
|
49
|
49
|
49
|
226
|
215
|
243
|
293
|
286
|
245
|
261
|
612
|
750
|
681
|
616
|
720
|
726
|
941
|
1,012
|
1,231
|
1,265
|
1,101
|
1,039
|
1,095
|
1,055
|
915
|
908
|
846
|
854
|
829
|
822
|
756
|
934
|
|
固定負債合計
|
20
|
28
|
21
|
21
|
21
|
20
|
19
|
21
|
21
|
21
|
21
|
35
|
47
|
65
|
41
|
78
|
107
|
123
|
85
|
86
|
88
|
89
|
87
|
97
|
109
|
110
|
111
|
292
|
288
|
315
|
360
|
405
|
356
|
381
|
790
|
943
|
891
|
834
|
973
|
1,005
|
1,239
|
1,372
|
1,568
|
1,640
|
1,450
|
1,345
|
1,444
|
1,413
|
1,264
|
1,247
|
1,209
|
1,215
|
1,185
|
1,174
|
1,095
|
1,272
|
|
総負債
|
86
|
97
|
73
|
89
|
114
|
100
|
89
|
110
|
112
|
106
|
139
|
139
|
156
|
172
|
148
|
259
|
237
|
251
|
184
|
241
|
254
|
243
|
236
|
268
|
304
|
308
|
293
|
500
|
491
|
498
|
537
|
620
|
577
|
637
|
1,061
|
1,243
|
1,201
|
1,235
|
1,389
|
1,540
|
1,790
|
2,057
|
2,195
|
2,381
|
2,088
|
1,845
|
1,865
|
1,849
|
1,705
|
1,661
|
1,604
|
1,624
|
1,617
|
1,606
|
1,507
|
1,733
|
|
資本金及び資本剰余金
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
利益剰余金
|
212
|
218
|
222
|
233
|
244
|
254
|
213
|
221
|
237
|
252
|
216
|
230
|
249
|
264
|
276
|
248
|
267
|
285
|
301
|
329
|
359
|
381
|
395
|
425
|
452
|
472
|
475
|
508
|
540
|
558
|
563
|
582
|
613
|
632
|
644
|
656
|
653
|
702
|
731
|
786
|
831
|
871
|
930
|
1,103
|
1,231
|
1,265
|
1,221
|
1,201
|
1,207
|
1,206
|
1,177
|
1,186
|
1,220
|
1,228
|
1,208
|
1,227
|
|
株主資本
|
267
|
273
|
277
|
290
|
304
|
317
|
284
|
300
|
325
|
343
|
313
|
337
|
359
|
377
|
394
|
370
|
396
|
417
|
438
|
467
|
503
|
531
|
550
|
584
|
619
|
647
|
652
|
678
|
713
|
735
|
706
|
721
|
752
|
777
|
800
|
807
|
816
|
875
|
908
|
959
|
986
|
1,031
|
1,092
|
1,259
|
1,394
|
1,423
|
1,381
|
1,359
|
1,370
|
1,372
|
1,355
|
1,356
|
1,394
|
1,418
|
1,386
|
1,366
|
|
有利子負債合計
|
-
|
8
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
10
|
22
|
40
|
15
|
49
|
79
|
91
|
49
|
49
|
49
|
49
|
49
|
49
|
49
|
49
|
49
|
226
|
215
|
243
|
294
|
286
|
245
|
261
|
630
|
768
|
702
|
635
|
738
|
793
|
1,007
|
1,086
|
1,302
|
1,286
|
1,122
|
1,061
|
1,118
|
1,081
|
943
|
908
|
847
|
855
|
829
|
822
|
757
|
938
|
|
純有利子負債
|
-
|
6
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
3
|
22
|
39
|
15
|
22
|
68
|
84
|
37
|
22
|
-29
|
-46
|
-37
|
-15
|
11
|
30
|
23
|
221
|
197
|
225
|
279
|
271
|
184
|
234
|
595
|
670
|
639
|
567
|
686
|
730
|
909
|
1,013
|
1,240
|
1,231
|
1,067
|
1,038
|
1,071
|
1,057
|
921
|
877
|
781
|
832
|
699
|
661
|
591
|
707
|
|
DEレシオ(%)
|
-
|
2.95
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
-
|
2.96
|
6.21
|
10.6
|
3.96
|
13.5
|
20.17
|
21.96
|
11.38
|
10.68
|
9.93
|
9.4
|
9.08
|
8.54
|
8.05
|
7.71
|
7.65
|
33.33
|
30.19
|
33.1
|
41.65
|
39.67
|
32.58
|
33.66
|
78.78
|
95.17
|
85.98
|
72.63
|
81.28
|
82.72
|
102.18
|
105.36
|
119.22
|
102.16
|
80.52
|
74.6
|
81.03
|
79.52
|
68.82
|
66.23
|
62.54
|
63.04
|
59.51
|
57.99
|
54.6
|
68.65
|