Bilans kwartalnie
dane w mln
index | 0 | 1 | 2 | 3 | 4 | 5 | 6 | 7 | 8 | 9 | 10 | 11 | 12 | 13 | 14 | 15 | 16 | 17 | 18 | 19 | 20 | 21 | 22 | 23 | 24 | 25 | 26 | 27 | 28 | 29 | 30 | 31 | 32 | 33 | 34 | 35 | 36 | 37 | 38 | 39 |
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Rok finansowy | 2014 | 2014 | 2014 | 2015 | 2015 | 2015 | 2015 | 2016 | 2016 | 2016 | 2016 | 2017 | 2017 | 2017 | 2017 | 2018 | 2018 | 2018 | 2018 | 2019 | 2019 | 2019 | 2019 | 2020 | 2020 | 2020 | 2020 | 2021 | 2021 | 2021 | 2021 | 2022 | 2022 | 2022 | 2022 | 2023 | 2023 | 2023 | 2023 | 2024 |
Kwartał | Q2 | Q3 | Q4 | Q1 | Q2 | Q3 | Q4 | Q1 | Q2 | Q3 | Q4 | Q1 | Q2 | Q3 | Q4 | Q1 | Q2 | Q3 | Q4 | Q1 | Q2 | Q3 | Q4 | Q1 | Q2 | Q3 | Q4 | Q1 | Q2 | Q3 | Q4 | Q1 | Q2 | Q3 | Q4 | Q1 | Q2 | Q3 | Q4 | Q1 |
Aktywa | 969 936.0 | 1 050 171.0 | 1 053 818.0 | 1 001 720.0 | 987 104.0 | 1 018 233.0 | 973 987.0 | 963 054.0 | 965 198.0 | 1 040 411.0 | 1 030 764.0 | 1 020 445.0 | 1 034 582.0 | 1 048 176.0 | 1 049 031.0 | 1 066 616.0 | 1 080 199.0 | 1 025 953.0 | 1 071 520.0 | 1 026 208.0 | 1 010 151.0 | 1 051 383.0 | 1 062 140.0 | 1 040 296.0 | 1 046 620.0 | 1 028 554.0 | 1 090 009.0 | 1 129 341.0 | 1 140 111.0 | 1 167 356.0 | 1 239 315.0 | 1 272 871.0 | 1 261 278.0 | 1 251 069.0 | 1 263 350.0 | 1 305 093.0 | 1 333 993.0 | 1 311 234.0 | 1 393 799.0 | 1 420 247.0 |
Aktywa trwałe | 515 376.0 | 561 510.0 | 579 094.0 | 570 208.0 | 553 417.0 | 553 562.0 | 526 188.0 | 505 072.0 | 497 357.0 | 552 070.0 | 546 609.0 | 548 047.0 | 547 501.0 | 535 560.0 | 513 125.0 | 517 019.0 | 517 251.0 | 505 892.0 | 509 842.0 | 538 296.0 | 537 747.0 | 551 238.0 | 540 735.0 | 539 049.0 | 542 101.0 | 532 936.0 | 571 665.0 | 566 833.0 | 569 394.0 | 580 299.0 | 598 709.0 | 651 924.0 | 675 900.0 | 640 951.0 | 641 148.0 | 665 020.0 | 674 723.0 | 650 236.0 | 671 562.0 | 687 025.0 |
Rzeczowe aktywa trwałe netto | 132 426.0 | 135 110.0 | 132 999.0 | 121 828.0 | 114 836.0 | 109 274.0 | 104 555.0 | 100 355.0 | 97 239.0 | 102 259.0 | 103 574.0 | 103 842.0 | 104 079.0 | 103 683.0 | 103 060.0 | 97 775.0 | 93 941.0 | 94 408.0 | 105 172.0 | 138 030.0 | 135 174.0 | 139 066.0 | 144 638.0 | 144 310.0 | 143 104.0 | 143 481.0 | 160 933.0 | 159 074.0 | 159 346.0 | 162 411.0 | 169 926.0 | 172 902.0 | 175 688.0 | 165 160.0 | 166 633.0 | 166 000.0 | 165 291.0 | 159 943.0 | 164 894.0 | 165 352.0 |
Wartość firmy | 167 363.0 | 184 337.0 | 183 756.0 | 187 242.0 | 183 435.0 | 188 120.0 | 174 877.0 | 159 652.0 | 156 867.0 | 180 610.0 | 173 965.0 | 173 704.0 | 174 890.0 | 175 352.0 | 164 960.0 | 171 497.0 | 176 106.0 | 172 126.0 | 172 157.0 | 167 148.0 | 167 264.0 | 169 852.0 | 168 682.0 | 167 003.0 | 164 083.0 | 160 616.0 | 171 783.0 | 171 625.0 | 173 702.0 | 178 555.0 | 191 758.0 | 213 775.0 | 226 206.0 | 207 487.0 | 208 817.0 | 226 417.0 | 233 513.0 | 221 584.0 | 236 366.0 | 251 317.0 |
Wartości niematerialne i prawne | 102 783.0 | 106 011.0 | 127 629.0 | 123 159.0 | 114 745.0 | 112 000.0 | 104 163.0 | 104 464.0 | 102 289.0 | 111 438.0 | 112 501.0 | 113 317.0 | 111 421.0 | 111 100.0 | 107 440.0 | 105 740.0 | 105 078.0 | 102 368.0 | 98 144.0 | 113 777.0 | 115 173.0 | 117 938.0 | 106 094.0 | 103 455.0 | 109 812.0 | 107 499.0 | 108 641.0 | 110 889.0 | 107 782.0 | 105 314.0 | 95 451.0 | 93 919.0 | 93 772.0 | 89 111.0 | 89 230.0 | 87 555.0 | 86 033.0 | 86 229.0 | 85 493.0 | 82 971.0 |
Wartość firmy i wartości niematerialne i prawne | 270 146.0 | 290 348.0 | 311 385.0 | 310 401.0 | 298 180.0 | 300 120.0 | 279 040.0 | 264 116.0 | 259 156.0 | 292 048.0 | 286 466.0 | 287 021.0 | 286 311.0 | 286 452.0 | 272 400.0 | 277 237.0 | 281 184.0 | 274 494.0 | 270 301.0 | 280 925.0 | 282 437.0 | 287 790.0 | 274 776.0 | 270 458.0 | 273 895.0 | 268 115.0 | 280 424.0 | 282 514.0 | 281 484.0 | 283 869.0 | 287 209.0 | 307 694.0 | 319 978.0 | 296 598.0 | 298 047.0 | 313 972.0 | 319 546.0 | 307 813.0 | 321 859.0 | 334 288.0 |
Należności netto | 173 987.0 | 193 083.0 | 174 336.0 | 176 336.0 | 160 309.0 | 185 980.0 | 157 446.0 | 171 160.0 | 159 445.0 | 183 791.0 | 154 502.0 | 163 740.0 | 172 834.0 | 177 956.0 | 151 472.0 | 165 407.0 | 167 484.0 | 185 179.0 | 183 014.0 | 171 739.0 | 167 238.0 | 199 894.0 | 180 022.0 | 183 991.0 | 183 027.0 | 201 980.0 | 160 310.0 | 236 336.0 | 174 606.0 | 214 600.0 | 207 950.0 | 198 940.0 | 178 091.0 | 192 743.0 | 187 256.0 | 189 206.0 | 191 910.0 | 186 182.0 | 216 462.0 | 205 355.0 |
Inwestycje długoterminowe | 10 764.0 | (447.0) | 13 922.0 | 31 191.0 | 23 779.0 | 28 879.0 | 24 282.0 | 21 378.0 | 15 494.0 | 18 677.0 | 11 584.0 | 12 630.0 | 18 761.0 | 2 237.0 | 29 126.0 | 32 534.0 | 35 405.0 | 40 850.0 | 45 462.0 | 43 210.0 | 43 250.0 | 45 167.0 | 38 224.0 | 41 639.0 | 41 981.0 | 41 148.0 | 43 550.0 | 39 975.0 | 62 394.0 | 61 214.0 | 64 952.0 | 69 933.0 | 47 199.0 | 44 885.0 | 51 923.0 | 82 615.0 | 62 589.0 | 58 150.0 | 58 420.0 | 59 620.0 |
Aktywa obrotowe | 454 560.0 | 488 661.0 | 474 724.0 | 431 512.0 | 433 687.0 | 464 671.0 | 447 800.0 | 457 982.0 | 467 841.0 | 488 341.0 | 484 155.0 | 472 398.0 | 487 081.0 | 512 616.0 | 535 905.0 | 549 597.0 | 562 948.0 | 520 061.0 | 561 677.0 | 487 911.0 | 472 404.0 | 500 145.0 | 521 405.0 | 501 247.0 | 504 519.0 | 495 618.0 | 518 344.0 | 562 507.0 | 570 717.0 | 587 057.0 | 640 606.0 | 620 947.0 | 585 379.0 | 610 118.0 | 622 202.0 | 640 074.0 | 659 269.0 | 660 998.0 | 722 237.0 | 733 222.0 |
Środki pieniężne i Inwestycje | 183 139.0 | 197 375.0 | 201 756.0 | 153 728.0 | 181 209.0 | 190 058.0 | 196 372.0 | 192 227.0 | 217 228.0 | 210 214.0 | 229 650.0 | 206 401.0 | 216 242.0 | 240 510.0 | 289 188.0 | 298 327.0 | 310 548.0 | 256 246.0 | 293 977.0 | 232 352.0 | 221 915.0 | 214 984.0 | 255 799.0 | 226 974.0 | 228 965.0 | 194 435.0 | 249 007.0 | 213 574.0 | 283 724.0 | 259 341.0 | 310 065.0 | 290 455.0 | 265 527.0 | 268 985.0 | 267 890.0 | 271 118.0 | 281 953.0 | 285 192.0 | 304 678.0 | 303 935.0 |
Zapasy | 86 249.0 | 87 399.0 | 87 641.0 | 89 043.0 | 81 592.0 | 78 240.0 | 73 677.0 | 73 058.0 | 71 646.0 | 83 053.0 | 82 876.0 | 84 449.0 | 82 645.0 | 80 037.0 | 80 932.0 | 70 416.0 | 71 018.0 | 66 132.0 | 67 890.0 | 63 948.0 | 65 129.0 | 66 432.0 | 65 735.0 | 70 921.0 | 74 930.0 | 78 946.0 | 85 118.0 | 89 852.0 | 90 043.0 | 92 511.0 | 99 008.0 | 103 510.0 | 114 410.0 | 120 863.0 | 140 417.0 | 149 935.0 | 159 973.0 | 163 246.0 | 174 651.0 | 190 601.0 |
Inwestycje krótkoterminowe | 27 489.0 | 38 184.0 | 28 421.0 | 15 012.0 | 21 089.0 | 20 386.0 | 19 542.0 | 19 478.0 | 26 444.0 | 37 792.0 | 42 875.0 | 44 231.0 | 39 761.0 | 49 465.0 | 18 663.0 | 18 592.0 | 18 721.0 | 7 627.0 | 7 543.0 | 6 858.0 | 6 520.0 | 2 453.0 | 1 555.0 | 666.0 | 947.0 | 656.0 | 267.0 | 492.0 | 722.0 | 921.0 | 432.0 | 2 640.0 | 1 000.0 | 983.0 | 540.0 | 1 813.0 | 501.0 | 401.0 | 445.0 | 0.0 |
Środki pieniężne i inne aktywa pieniężne | 155 650.0 | 159 191.0 | 173 335.0 | 138 716.0 | 160 120.0 | 169 672.0 | 176 830.0 | 172 749.0 | 190 784.0 | 172 422.0 | 186 775.0 | 162 170.0 | 176 481.0 | 191 045.0 | 270 525.0 | 279 735.0 | 291 827.0 | 248 619.0 | 286 434.0 | 225 494.0 | 215 395.0 | 212 531.0 | 254 244.0 | 226 308.0 | 228 018.0 | 193 779.0 | 248 740.0 | 213 082.0 | 283 002.0 | 258 420.0 | 309 633.0 | 287 815.0 | 264 527.0 | 268 002.0 | 267 350.0 | 269 305.0 | 281 452.0 | 284 791.0 | 304 678.0 | 303 935.0 |
Należności krótkoterminowe | 50 990.0 | 49 275.0 | 84 586.0 | 53 238.0 | 48 438.0 | 49 572.0 | 56 399.0 | 54 494.0 | 57 882.0 | 66 152.0 | 70 750.0 | 55 601.0 | 56 339.0 | 57 818.0 | 68 096.0 | 52 645.0 | 52 115.0 | 51 396.0 | 77 526.0 | 58 324.0 | 52 869.0 | 60 278.0 | 76 879.0 | 61 868.0 | 77 900.0 | 70 190.0 | 94 548.0 | 80 776.0 | 76 277.0 | 90 642.0 | 108 065.0 | 96 106.0 | 76 827.0 | 68 871.0 | 86 826.0 | 61 434.0 | 61 089.0 | 56 063.0 | 72 249.0 | 77 798.0 |
Dług krótkoterminowy | 48 651.0 | 57 230.0 | 30 235.0 | 10 500.0 | 10 500.0 | 21 001.0 | 0.0 | 0.0 | 0.0 | 0.0 | 50 000.0 | 61 380.0 | 61 505.0 | 69 423.0 | 16 403.0 | 29 000.0 | 39 985.0 | 39 989.0 | 48 993.0 | 39 997.0 | 60 487.0 | 58 991.0 | 34 994.0 | 34 998.0 | 0.0 | 0.0 | 39 985.0 | 42 770.0 | 39 993.0 | 39 997.0 | 9 947.0 | 9 997.0 | 9 998.0 | 65 200.0 | 41 201.0 | 51 302.0 | 48 305.0 | 31 502.0 | 34 240.0 | 47 548.0 |
Zobowiązania krótkoterminowe | 188 451.0 | 203 467.0 | 209 065.0 | 161 083.0 | 157 003.0 | 178 420.0 | 154 711.0 | 149 768.0 | 150 484.0 | 172 864.0 | 223 691.0 | 222 609.0 | 223 768.0 | 238 251.0 | 241 670.0 | 249 497.0 | 267 264.0 | 274 032.0 | 295 735.0 | 255 437.0 | 273 229.0 | 275 703.0 | 251 965.0 | 231 520.0 | 203 232.0 | 191 430.0 | 256 017.0 | 277 934.0 | 280 829.0 | 304 993.0 | 313 333.0 | 301 894.0 | 266 536.0 | 313 676.0 | 298 945.0 | 295 869.0 | 307 306.0 | 277 781.0 | 304 472.0 | 311 018.0 |
Rozliczenia międzyokresowe | 21 230.0 | 21 044.0 | 19 608.0 | 20 171.0 | 23 730.0 | 33 364.0 | 0.0 | 0.0 | 0.0 | 0.0 | 24 523.0 | 25 842.0 | 23 510.0 | 28 939.0 | 76 700.0 | 84 215.0 | 84 625.0 | 82 560.0 | 78 116.0 | 69 527.0 | 65 197.0 | 58 630.0 | 49 601.0 | 45 411.0 | 0.0 | 0.0 | 37 364.0 | 64 832.0 | 66 553.0 | 70 626.0 | (9 947.0) | 73 293.0 | 71 398.0 | 70 473.0 | 59 885.0 | 69 340.0 | 72 589.0 | 71 648.0 | 8 718.0 | 6 051.0 |
Zobowiązania długoterminowe | 238 886.0 | 256 019.0 | 242 691.0 | 240 957.0 | 240 097.0 | 239 181.0 | 242 447.0 | 250 595.0 | 249 781.0 | 256 425.0 | 204 482.0 | 202 823.0 | 198 716.0 | 198 998.0 | 193 263.0 | 197 696.0 | 159 267.0 | 127 657.0 | 123 803.0 | 138 648.0 | 103 077.0 | 106 666.0 | 107 545.0 | 105 465.0 | 140 561.0 | 139 927.0 | 106 050.0 | 104 053.0 | 103 945.0 | 103 693.0 | 154 449.0 | 142 628.0 | 144 038.0 | 140 321.0 | 141 834.0 | 141 562.0 | 141 842.0 | 190 738.0 | 190 353.0 | 189 533.0 |
Rezerwy z tytułu odroczonego podatku | 460.0 | 559.0 | 514.0 | 401.0 | 358.0 | 411.0 | 287.0 | 317.0 | 297.0 | 340.0 | 448.0 | 381.0 | 424.0 | 452.0 | 496.0 | 128.0 | 136.0 | 134.0 | 282.0 | 159.0 | 165.0 | 241.0 | 569.0 | 298.0 | 453.0 | 490.0 | 511.0 | 276.0 | 531.0 | 316.0 | 483.0 | 730.0 | 1 005.0 | 1 221.0 | 664.0 | 768.0 | 480.0 | 489.0 | 704.0 | 801.0 |
Zobowiązania długoterminowe | 238 886.0 | 256 019.0 | 242 691.0 | 240 957.0 | 240 097.0 | 239 181.0 | 242 447.0 | 250 595.0 | 249 781.0 | 256 425.0 | 204 482.0 | 202 823.0 | 198 716.0 | 198 998.0 | 193 263.0 | 197 696.0 | 159 267.0 | 127 657.0 | 123 803.0 | 138 648.0 | 103 077.0 | 106 666.0 | 107 545.0 | 105 465.0 | 140 561.0 | 139 927.0 | 106 050.0 | 104 053.0 | 103 945.0 | 103 693.0 | 154 449.0 | 142 628.0 | 144 038.0 | 140 321.0 | 141 834.0 | 141 562.0 | 141 842.0 | 190 738.0 | 190 353.0 | 189 533.0 |
Zobowiązania z tytułu leasingu | 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 | 41 375.0 | 0.0 | 0.0 | 0.0 | 38 192.0 | 0.0 | 0.0 | 0.0 | 35 871.0 | 0.0 | 0.0 | 0.0 | 37 733.0 | 0.0 |
Zobowiązania ogółem | 427 337.0 | 459 486.0 | 451 756.0 | 402 040.0 | 397 100.0 | 417 601.0 | 397 158.0 | 400 363.0 | 400 265.0 | 429 289.0 | 428 173.0 | 425 432.0 | 422 484.0 | 437 249.0 | 434 933.0 | 447 193.0 | 426 531.0 | 401 689.0 | 419 538.0 | 394 085.0 | 376 306.0 | 382 369.0 | 359 510.0 | 336 985.0 | 343 793.0 | 331 357.0 | 362 067.0 | 381 987.0 | 384 774.0 | 408 686.0 | 467 782.0 | 444 522.0 | 410 574.0 | 453 997.0 | 440 779.0 | 437 431.0 | 449 148.0 | 468 519.0 | 494 825.0 | 500 551.0 |
Kapitał (fundusz) podstawowy | 44 986.0 | 44 986.0 | 44 986.0 | 44 986.0 | 44 986.0 | 44 986.0 | 44 986.0 | 44 986.0 | 44 986.0 | 44 986.0 | 44 986.0 | 44 986.0 | 44 986.0 | 44 986.0 | 44 986.0 | 44 986.0 | 44 986.0 | 44 986.0 | 44 986.0 | 44 986.0 | 44 986.0 | 44 986.0 | 44 986.0 | 44 986.0 | 44 986.0 | 44 986.0 | 44 986.0 | 44 986.0 | 44 986.0 | 44 986.0 | 44 986.0 | 44 986.0 | 44 986.0 | 44 986.0 | 44 986.0 | 44 986.0 | 44 986.0 | 44 986.0 | 44 986.0 | 44 986.0 |
Zyski zatrzymane | 365 955.0 | 372 887.0 | 387 967.0 | 373 428.0 | 378 306.0 | 388 568.0 | 394 974.0 | 389 738.0 | 398 862.0 | 390 884.0 | 394 981.0 | 384 134.0 | 394 386.0 | 388 843.0 | 414 966.0 | 407 132.0 | 429 504.0 | 412 892.0 | 438 489.0 | 434 755.0 | 440 197.0 | 461 834.0 | 505 359.0 | 507 957.0 | 509 578.0 | 505 639.0 | 507 976.0 | 526 030.0 | 531 214.0 | 521 066.0 | 506 583.0 | 513 310.0 | 518 186.0 | 504 946.0 | 522 774.0 | 523 632.0 | 526 663.0 | 507 730.0 | 526 490.0 | 514 225.0 |
Kapitał własny | 542 599.0 | 590 685.0 | 602 062.0 | 599 680.0 | 590 004.0 | 600 632.0 | 576 829.0 | 562 691.0 | 564 933.0 | 611 122.0 | 602 591.0 | 595 013.0 | 612 098.0 | 610 927.0 | 614 098.0 | 619 423.0 | 653 668.0 | 624 264.0 | 651 982.0 | 632 123.0 | 633 845.0 | 669 014.0 | 702 630.0 | 703 311.0 | 702 827.0 | 697 197.0 | 727 942.0 | 747 354.0 | 755 337.0 | 758 670.0 | 771 533.0 | 828 349.0 | 850 704.0 | 797 072.0 | 822 571.0 | 867 662.0 | 884 845.0 | 842 715.0 | 898 975.0 | 919 696.0 |
Udziały mniejszościowe | 3 145.0 | 3 222.0 | 3 313.0 | 3 372.0 | 3 344.0 | 3 345.0 | 3 168.0 | 16 758.0 | 17 241.0 | 17 617.0 | 17 961.0 | 18 723.0 | 19 456.0 | 20 481.0 | 20 516.0 | 24 269.0 | 24 529.0 | 24 544.0 | 23 862.0 | 24 280.0 | 24 180.0 | 24 438.0 | 24 503.0 | 24 663.0 | 24 623.0 | 25 019.0 | 24 759.0 | 24 802.0 | 25 000.0 | 23 881.0 | 22 712.0 | 23 804.0 | 22 576.0 | 23 038.0 | 22 612.0 | 22 793.0 | 23 176.0 | 23 822.0 | 23 361.0 | 23 930.0 |
Pasywa | 969 936.0 | 1 050 171.0 | 1 053 818.0 | 1 001 720.0 | 987 104.0 | 1 018 233.0 | 973 987.0 | 963 054.0 | 965 198.0 | 1 040 411.0 | 1 030 764.0 | 1 020 445.0 | 1 034 582.0 | 1 048 176.0 | 1 049 031.0 | 1 066 616.0 | 1 080 199.0 | 1 025 953.0 | 1 071 520.0 | 1 026 208.0 | 1 010 151.0 | 1 051 383.0 | 1 062 140.0 | 1 040 296.0 | 1 046 620.0 | 1 028 554.0 | 1 090 009.0 | 1 129 341.0 | 1 140 111.0 | 1 167 356.0 | 1 239 315.0 | 1 272 871.0 | 1 261 278.0 | 1 251 069.0 | 1 263 350.0 | 1 305 093.0 | 1 333 993.0 | 1 311 234.0 | 1 393 800.0 | 1 420 247.0 |
Inwestycje | 38 253.0 | 37 737.0 | 42 343.0 | 46 203.0 | 44 868.0 | 49 265.0 | 43 824.0 | 40 856.0 | 41 938.0 | 56 469.0 | 54 459.0 | 56 861.0 | 58 522.0 | 51 702.0 | 47 789.0 | 51 126.0 | 54 126.0 | 48 477.0 | 53 005.0 | 50 068.0 | 49 770.0 | 47 620.0 | 39 779.0 | 42 305.0 | 42 928.0 | 41 804.0 | 43 817.0 | 40 467.0 | 43 103.0 | 41 972.0 | 44 033.0 | 49 213.0 | 48 199.0 | 45 868.0 | 52 463.0 | 61 560.0 | 63 090.0 | 58 551.0 | 58 420.0 | 59 620.0 |
Dług | 240 313.0 | 263 179.0 | 236 081.0 | 217 042.0 | 216 307.0 | 227 040.0 | 203 593.0 | 210 654.0 | 210 129.0 | 214 752.0 | 213 474.0 | 224 809.0 | 220 166.0 | 228 177.0 | 173 141.0 | 192 022.0 | 163 943.0 | 129 885.0 | 138 898.0 | 129 910.0 | 115 422.0 | 113 931.0 | 89 939.0 | 89 949.0 | 89 875.0 | 89 884.0 | 89 893.0 | 92 683.0 | 89 912.0 | 89 921.0 | 94 893.0 | 94 902.0 | 94 910.0 | 150 120.0 | 126 105.0 | 136 215.0 | 133 227.0 | 166 260.0 | 206 746.0 | 182 334.0 |
Środki pieniężne i inne aktywa pieniężne | 155 650.0 | 159 191.0 | 173 335.0 | 138 716.0 | 160 120.0 | 169 672.0 | 176 830.0 | 172 749.0 | 190 784.0 | 172 422.0 | 186 775.0 | 162 170.0 | 176 481.0 | 191 045.0 | 270 525.0 | 279 735.0 | 291 827.0 | 248 619.0 | 286 434.0 | 225 494.0 | 215 395.0 | 212 531.0 | 254 244.0 | 226 308.0 | 228 018.0 | 193 779.0 | 248 740.0 | 213 082.0 | 283 002.0 | 258 420.0 | 309 633.0 | 287 815.0 | 264 527.0 | 268 002.0 | 267 350.0 | 269 305.0 | 281 452.0 | 284 791.0 | 304 678.0 | 303 935.0 |
Dług netto | 84 663.0 | 103 988.0 | 62 746.0 | 78 326.0 | 56 187.0 | 57 368.0 | 26 763.0 | 37 905.0 | 19 345.0 | 42 330.0 | 26 699.0 | 62 639.0 | 43 685.0 | 37 132.0 | (97 384.0) | (87 713.0) | (127 884.0) | (118 734.0) | (147 536.0) | (95 584.0) | (99 973.0) | (98 600.0) | (164 305.0) | (136 359.0) | (138 143.0) | (103 895.0) | (158 847.0) | (120 399.0) | (193 090.0) | (168 499.0) | (214 740.0) | (192 913.0) | (169 617.0) | (117 882.0) | (141 245.0) | (133 090.0) | (148 225.0) | (118 531.0) | (97 932.0) | (121 601.0) |
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