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 | 232 322.0 | 250 422.0 | 255 519.0 | 231 368.0 | 236 454.0 | 250 976.0 | 255 024.0 | 225 864.0 | 226 151.0 | 243 646.0 | 247 646.0 | 226 627.0 | 229 345.0 | 245 007.0 | 264 457.0 | 247 728.0 | 246 024.0 | 253 380.0 | 265 586.0 | 261 223.0 | 259 015.0 | 265 436.0 | 270 410.0 | 255 458.0 | 255 988.0 | 269 164.0 | 279 059.0 | 267 413.0 | 263 956.0 | 283 247.0 | 290 899.0 | 283 732.0 | 282 780.0 | 296 343.0 | 307 390.0 | 295 979.0 | 304 510.0 | 315 224.0 | 334 787.0 | 315 768.0 |
Aktywa trwałe | 106 528.0 | 107 512.0 | 108 439.0 | 111 344.0 | 109 657.0 | 109 496.0 | 106 266.0 | 106 949.0 | 109 585.0 | 110 624.0 | 110 066.0 | 109 518.0 | 109 993.0 | 110 267.0 | 110 650.0 | 114 714.0 | 114 895.0 | 111 319.0 | 111 852.0 | 112 788.0 | 116 827.0 | 118 865.0 | 113 850.0 | 116 327.0 | 119 568.0 | 120 852.0 | 121 872.0 | 121 995.0 | 121 282.0 | 119 212.0 | 119 601.0 | 120 686.0 | 120 438.0 | 120 141.0 | 119 638.0 | 122 253.0 | 124 179.0 | 121 373.0 | 126 284.0 | 125 045.0 |
Rzeczowe aktywa trwałe netto | 66 129.0 | 66 474.0 | 67 204.0 | 67 536.0 | 67 655.0 | 66 951.0 | 66 769.0 | 65 070.0 | 64 597.0 | 64 277.0 | 64 026.0 | 63 393.0 | 63 853.0 | 63 113.0 | 64 999.0 | 64 109.0 | 63 684.0 | 63 160.0 | 63 330.0 | 65 346.0 | 69 216.0 | 71 172.0 | 71 274.0 | 71 928.0 | 74 572.0 | 75 161.0 | 75 623.0 | 76 259.0 | 75 280.0 | 74 640.0 | 74 947.0 | 75 629.0 | 75 825.0 | 75 802.0 | 75 788.0 | 75 591.0 | 76 163.0 | 74 977.0 | 75 363.0 | 75 494.0 |
Wartość firmy | 840.0 | 828.0 | 1 037.0 | 2 279.0 | 2 276.0 | 2 314.0 | 1 145.0 | 1 119.0 | 1 081.0 | 1 060.0 | 1 055.0 | 1 036.0 | 1 023.0 | 1 005.0 | 5 738.0 | 5 238.0 | 5 018.0 | 4 767.0 | 4 645.0 | 4 563.0 | 4 325.0 | 4 122.0 | 3 976.0 | 3 679.0 | 3 508.0 | 3 394.0 | 3 210.0 | 3 663.0 | 3 479.0 | 3 351.0 | 3 272.0 | 3 263.0 | 3 194.0 | 2 836.0 | 2 675.0 | 2 652.0 | 2 532.0 | 2 286.0 | 2 175.0 | 2 085.0 |
Wartości niematerialne i prawne | 5 382.0 | 5 159.0 | 5 449.0 | 5 391.0 | 5 562.0 | 5 320.0 | 6 381.0 | 6 841.0 | 6 796.0 | 6 546.0 | 6 599.0 | 6 461.0 | 6 376.0 | 6 091.0 | 6 917.0 | 6 719.0 | 6 978.0 | 6 585.0 | 6 563.0 | 6 771.0 | 6 532.0 | 6 245.0 | 6 216.0 | 6 061.0 | 6 083.0 | 6 078.0 | 6 366.0 | 6 036.0 | 6 242.0 | 6 079.0 | 6 293.0 | 6 108.0 | 6 095.0 | 5 802.0 | 5 787.0 | 5 449.0 | 5 344.0 | 5 180.0 | 5 475.0 | 5 290.0 |
Wartość firmy i wartości niematerialne i prawne | 6 222.0 | 5 987.0 | 6 486.0 | 7 670.0 | 7 838.0 | 7 634.0 | 7 526.0 | 7 960.0 | 7 877.0 | 7 606.0 | 7 654.0 | 7 497.0 | 7 399.0 | 7 096.0 | 12 655.0 | 11 957.0 | 11 996.0 | 11 352.0 | 11 208.0 | 11 334.0 | 10 857.0 | 10 367.0 | 10 192.0 | 9 740.0 | 9 591.0 | 9 472.0 | 9 576.0 | 9 699.0 | 9 721.0 | 9 430.0 | 9 565.0 | 9 371.0 | 9 289.0 | 8 638.0 | 8 462.0 | 8 101.0 | 7 876.0 | 7 466.0 | 7 650.0 | 7 375.0 |
Należności netto | 59 077.0 | 62 935.0 | 95 030.0 | 54 780.0 | 57 559.0 | 58 075.0 | 90 936.0 | 53 108.0 | 52 527.0 | 55 955.0 | 82 216.0 | 51 186.0 | 48 868.0 | 54 915.0 | 91 671.0 | 50 048.0 | 50 366.0 | 50 907.0 | 87 453.0 | 54 390.0 | 56 352.0 | 50 659.0 | 88 565.0 | 49 135.0 | 56 001.0 | 59 167.0 | 87 523.0 | 53 318.0 | 59 655.0 | 70 224.0 | 93 772.0 | 59 057.0 | 64 529.0 | 67 806.0 | 99 354.0 | 66 145.0 | 71 132.0 | 76 538.0 | 115 400.0 | 77 449.0 |
Inwestycje długoterminowe | 22 157.0 | 23 276.0 | 23 952.0 | 25 647.0 | 22 651.0 | 23 565.0 | 19 671.0 | 21 289.0 | 24 809.0 | 27 215.0 | 26 917.0 | 27 453.0 | 27 761.0 | 29 596.0 | 21 751.0 | 21 506.0 | 22 126.0 | 18 852.0 | 20 179.0 | 17 451.0 | 17 805.0 | 18 419.0 | 14 137.0 | 15 298.0 | 15 740.0 | 17 769.0 | 19 516.0 | 18 386.0 | 20 531.0 | 19 858.0 | 19 141.0 | 18 622.0 | 15 896.0 | 16 657.0 | 16 733.0 | 21 960.0 | 21 906.0 | 21 770.0 | 26 561.0 | 25 143.0 |
Aktywa obrotowe | 125 791.0 | 142 908.0 | 147 077.0 | 120 020.0 | 126 794.0 | 141 477.0 | 148 757.0 | 118 913.0 | 116 564.0 | 133 019.0 | 137 579.0 | 117 109.0 | 119 351.0 | 134 737.0 | 153 803.0 | 133 011.0 | 131 128.0 | 142 059.0 | 153 731.0 | 148 433.0 | 142 185.0 | 146 568.0 | 156 558.0 | 139 129.0 | 136 417.0 | 148 309.0 | 157 183.0 | 145 415.0 | 142 672.0 | 164 032.0 | 171 294.0 | 163 043.0 | 162 339.0 | 176 201.0 | 187 751.0 | 173 724.0 | 180 328.0 | 193 849.0 | 208 503.0 | 190 723.0 |
Środki pieniężne i Inwestycje | 9 301.0 | 9 226.0 | 8 781.0 | 11 601.0 | 10 969.0 | 12 234.0 | 14 538.0 | 11 640.0 | 8 502.0 | 8 215.0 | 10 105.0 | 12 834.0 | 14 064.0 | 10 228.0 | 9 506.0 | 16 680.0 | 11 948.0 | 9 926.0 | 12 687.0 | 24 925.0 | 16 151.0 | 11 566.0 | 13 272.0 | 21 381.0 | 17 264.0 | 14 518.0 | 14 307.0 | 24 551.0 | 14 705.0 | 15 348.0 | 14 070.0 | 25 964.0 | 16 322.0 | 18 888.0 | 14 917.0 | 21 200.0 | 21 769.0 | 21 444.0 | 18 984.0 | 27 988.0 |
Zapasy | 53 036.0 | 65 087.0 | 39 030.0 | 48 635.0 | 53 639.0 | 65 080.0 | 38 980.0 | 47 745.0 | 48 806.0 | 60 856.0 | 40 104.0 | 46 468.0 | 50 772.0 | 63 332.0 | 41 724.0 | 52 661.0 | 57 674.0 | 68 355.0 | 42 648.0 | 53 817.0 | 56 773.0 | 69 065.0 | 43 204.0 | 52 232.0 | 51 631.0 | 59 688.0 | 43 855.0 | 52 278.0 | 55 528.0 | 63 644.0 | 50 714.0 | 61 591.0 | 64 291.0 | 71 848.0 | 58 738.0 | 68 293.0 | 71 507.0 | 79 197.0 | 67 223.0 | 78 321.0 |
Inwestycje krótkoterminowe | (30.0) | (31.0) | (32.0) | (31.0) | (31.0) | (31.0) | (31.0) | (31.0) | (2 387.0) | (2 556.0) | (31.0) | (31.0) | (31.0) | (31.0) | (32.0) | (32.0) | (32.0) | (32.0) | (30.0) | (32.0) | (32.0) | (33.0) | (33.0) | (35.0) | (35.0) | (35.0) | (34.0) | (35.0) | (2 029.0) | (1 930.0) | (2 009.0) | (2 033.0) | (34.0) | (38.0) | (37.0) | (2 221.0) | (37.0) | (39.0) | 1 733.0 | 0.0 |
Środki pieniężne i inne aktywa pieniężne | 9 301.0 | 9 226.0 | 8 781.0 | 11 601.0 | 10 969.0 | 12 234.0 | 14 538.0 | 11 640.0 | 8 502.0 | 8 215.0 | 10 105.0 | 12 834.0 | 14 064.0 | 10 228.0 | 9 506.0 | 16 680.0 | 11 948.0 | 9 926.0 | 12 687.0 | 24 925.0 | 16 151.0 | 11 566.0 | 13 272.0 | 21 381.0 | 17 264.0 | 14 518.0 | 14 307.0 | 24 551.0 | 14 705.0 | 15 348.0 | 14 070.0 | 25 964.0 | 16 322.0 | 18 888.0 | 14 917.0 | 21 200.0 | 21 769.0 | 21 444.0 | 18 984.0 | 27 988.0 |
Należności krótkoterminowe | 29 162.0 | 30 422.0 | 36 873.0 | 28 055.0 | 31 097.0 | 33 608.0 | 36 679.0 | 25 886.0 | 24 939.0 | 27 463.0 | 32 815.0 | 26 174.0 | 26 161.0 | 29 414.0 | 36 840.0 | 28 630.0 | 27 979.0 | 28 763.0 | 33 685.0 | 27 395.0 | 28 650.0 | 29 365.0 | 35 966.0 | 23 056.0 | 23 523.0 | 25 586.0 | 31 557.0 | 24 747.0 | 25 623.0 | 29 760.0 | 34 796.0 | 31 663.0 | 32 533.0 | 32 371.0 | 38 971.0 | 34 973.0 | 33 278.0 | 33 903.0 | 40 156.0 | 33 661.0 |
Dług krótkoterminowy | 24 947.0 | 36 720.0 | 24 814.0 | 13 426.0 | 32 031.0 | 42 282.0 | 32 870.0 | 22 378.0 | 18 987.0 | 29 053.0 | 22 938.0 | 6 803.0 | 4 394.0 | 15 166.0 | 14 196.0 | 7 141.0 | 7 427.0 | 16 260.0 | 9 928.0 | 11 709.0 | 10 801.0 | 14 299.0 | 13 063.0 | 13 103.0 | 22 005.0 | 34 448.0 | 20 479.0 | 16 350.0 | 13 004.0 | 28 363.0 | 17 255.0 | 16 036.0 | 13 997.0 | 25 820.0 | 23 514.0 | 13 886.0 | 27 268.0 | 36 284.0 | 25 912.0 | 14 023.0 |
Zobowiązania krótkoterminowe | 108 166.0 | 125 065.0 | 114 678.0 | 94 930.0 | 116 614.0 | 130 618.0 | 123 157.0 | 99 765.0 | 92 967.0 | 110 004.0 | 103 361.0 | 85 350.0 | 83 962.0 | 99 739.0 | 110 495.0 | 97 939.0 | 97 709.0 | 108 614.0 | 104 779.0 | 102 573.0 | 95 003.0 | 102 069.0 | 101 022.0 | 88 516.0 | 97 132.0 | 109 782.0 | 103 824.0 | 94 542.0 | 88 105.0 | 106 137.0 | 104 406.0 | 98 628.0 | 99 683.0 | 113 318.0 | 118 307.0 | 106 255.0 | 117 632.0 | 126 711.0 | 124 242.0 | 104 793.0 |
Rozliczenia międzyokresowe | 42 952.0 | 44 566.0 | 38 400.0 | 40 050.0 | 41 947.0 | 41 142.0 | 38 349.0 | 38 576.0 | 37 911.0 | 40 434.0 | 33 825.0 | 39 598.0 | 41 407.0 | 41 364.0 | 40 856.0 | 43 828.0 | 46 049.0 | 46 042.0 | 39 453.0 | 41 461.0 | 37 371.0 | 36 328.0 | 29 791.0 | 32 010.0 | 34 705.0 | 31 260.0 | 30 096.0 | 32 829.0 | 32 593.0 | 28 743.0 | 29 421.0 | 30 812.0 | 35 745.0 | 34 484.0 | 34 616.0 | 35 254.0 | 37 361.0 | 35 376.0 | 19 461.0 | 28 113.0 |
Zobowiązania długoterminowe | 71 066.0 | 70 994.0 | 73 437.0 | 71 480.0 | 57 549.0 | 58 310.0 | 63 097.0 | 62 887.0 | 71 059.0 | 70 979.0 | 69 974.0 | 69 860.0 | 74 834.0 | 74 948.0 | 72 734.0 | 72 733.0 | 72 200.0 | 72 271.0 | 76 311.0 | 77 033.0 | 83 364.0 | 83 689.0 | 79 272.0 | 79 522.0 | 72 130.0 | 72 655.0 | 75 500.0 | 76 172.0 | 80 180.0 | 80 688.0 | 81 073.0 | 81 751.0 | 79 954.0 | 81 836.0 | 78 204.0 | 78 554.0 | 73 047.0 | 73 271.0 | 81 055.0 | 81 834.0 |
Rezerwy z tytułu odroczonego podatku | 0.0 | 0.0 | 62.0 | 0.0 | 0.0 | 63.0 | 43.0 | 39.0 | 38.0 | 41.0 | 7.0 | 8.0 | 8.0 | 8.0 | 7.0 | 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 |
Zobowiązania długoterminowe | 71 066.0 | 70 994.0 | 73 437.0 | 71 480.0 | 57 549.0 | 58 310.0 | 63 097.0 | 62 887.0 | 71 059.0 | 70 979.0 | 69 974.0 | 69 860.0 | 74 834.0 | 74 948.0 | 72 734.0 | 72 733.0 | 72 200.0 | 72 271.0 | 76 311.0 | 77 033.0 | 83 364.0 | 83 689.0 | 79 272.0 | 79 522.0 | 72 130.0 | 72 655.0 | 75 500.0 | 76 172.0 | 80 180.0 | 80 688.0 | 81 073.0 | 81 751.0 | 79 954.0 | 81 836.0 | 78 204.0 | 78 554.0 | 73 047.0 | 73 271.0 | 81 055.0 | 81 834.0 |
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 | 0.0 | 0.0 | 0.0 | 0.0 | 1 233.0 | 0.0 | 0.0 | 0.0 | 1 430.0 | 0.0 | 0.0 | 0.0 | 1 325.0 | 0.0 |
Zobowiązania ogółem | 179 232.0 | 196 059.0 | 188 115.0 | 166 410.0 | 174 163.0 | 188 928.0 | 186 254.0 | 162 652.0 | 164 026.0 | 180 983.0 | 173 335.0 | 155 210.0 | 158 796.0 | 174 687.0 | 183 229.0 | 170 672.0 | 169 909.0 | 180 885.0 | 181 090.0 | 179 606.0 | 178 367.0 | 185 758.0 | 180 294.0 | 168 038.0 | 169 262.0 | 182 437.0 | 179 324.0 | 170 714.0 | 168 285.0 | 186 825.0 | 185 479.0 | 180 379.0 | 179 637.0 | 195 154.0 | 196 511.0 | 184 809.0 | 190 679.0 | 199 982.0 | 205 297.0 | 186 627.0 |
Kapitał (fundusz) podstawowy | 17 070.0 | 17 070.0 | 17 070.0 | 17 070.0 | 17 070.0 | 17 070.0 | 17 070.0 | 17 070.0 | 17 070.0 | 17 070.0 | 17 070.0 | 17 070.0 | 17 070.0 | 17 070.0 | 17 070.0 | 17 070.0 | 17 070.0 | 17 070.0 | 17 070.0 | 17 070.0 | 17 070.0 | 17 070.0 | 17 070.0 | 17 070.0 | 17 070.0 | 17 070.0 | 17 070.0 | 17 070.0 | 17 070.0 | 17 070.0 | 17 070.0 | 17 070.0 | 17 070.0 | 17 070.0 | 17 070.0 | 17 070.0 | 17 070.0 | 17 070.0 | 17 070.0 | 17 070.0 |
Zyski zatrzymane | 20 298.0 | 19 679.0 | 30 466.0 | 26 934.0 | 25 736.0 | 25 296.0 | 34 933.0 | 31 354.0 | 30 291.0 | 28 398.0 | 38 861.0 | 35 585.0 | 33 721.0 | 31 916.0 | 44 103.0 | 40 602.0 | 39 476.0 | 38 551.0 | 49 665.0 | 46 334.0 | 45 439.0 | 43 474.0 | 55 604.0 | 52 314.0 | 51 153.0 | 50 160.0 | 60 866.0 | 57 811.0 | 57 064.0 | 56 906.0 | 64 844.0 | 61 213.0 | 60 963.0 | 59 857.0 | 69 568.0 | 66 468.0 | 66 954.0 | 69 078.0 | 78 642.0 | 77 391.0 |
Kapitał własny | 53 090.0 | 54 363.0 | 67 404.0 | 64 958.0 | 62 291.0 | 62 048.0 | 68 770.0 | 63 212.0 | 62 125.0 | 62 663.0 | 74 311.0 | 71 417.0 | 70 549.0 | 70 320.0 | 81 228.0 | 77 056.0 | 76 115.0 | 72 495.0 | 84 496.0 | 81 617.0 | 80 648.0 | 79 678.0 | 90 116.0 | 87 420.0 | 86 726.0 | 86 727.0 | 99 735.0 | 96 699.0 | 95 671.0 | 96 422.0 | 105 420.0 | 103 353.0 | 103 143.0 | 101 189.0 | 110 879.0 | 111 170.0 | 113 831.0 | 115 242.0 | 129 488.0 | 129 139.0 |
Udziały mniejszościowe | 1 046.0 | 1 123.0 | 1 296.0 | 1 250.0 | 1 264.0 | 1 265.0 | 1 239.0 | 1 044.0 | 1 004.0 | 927.0 | 1 075.0 | 1 048.0 | 1 090.0 | 990.0 | 995.0 | 807.0 | 782.0 | 783.0 | 777.0 | 2 793.0 | 2 832.0 | 2 848.0 | 3 005.0 | 2 935.0 | 2 953.0 | 2 965.0 | 3 201.0 | 3 237.0 | 3 255.0 | 3 297.0 | 3 455.0 | 3 411.0 | 3 421.0 | 3 331.0 | 2 983.0 | 2 947.0 | 2 917.0 | 2 955.0 | 3 081.0 | 3 099.0 |
Pasywa | 232 322.0 | 250 422.0 | 255 519.0 | 231 368.0 | 236 454.0 | 250 976.0 | 255 024.0 | 225 864.0 | 226 151.0 | 243 646.0 | 247 646.0 | 226 627.0 | 229 345.0 | 245 007.0 | 264 457.0 | 247 728.0 | 246 024.0 | 253 380.0 | 265 586.0 | 261 223.0 | 259 015.0 | 265 436.0 | 270 410.0 | 255 458.0 | 255 988.0 | 269 164.0 | 279 059.0 | 267 413.0 | 263 956.0 | 283 247.0 | 290 899.0 | 283 732.0 | 282 780.0 | 296 343.0 | 307 390.0 | 295 979.0 | 304 510.0 | 315 224.0 | 334 787.0 | 315 768.0 |
Inwestycje | 22 127.0 | 23 245.0 | 23 920.0 | 25 616.0 | 22 620.0 | 23 534.0 | 19 640.0 | 21 258.0 | 22 422.0 | 24 659.0 | 26 886.0 | 27 422.0 | 27 730.0 | 29 565.0 | 21 719.0 | 21 474.0 | 22 094.0 | 18 820.0 | 20 149.0 | 17 419.0 | 17 773.0 | 18 386.0 | 14 104.0 | 15 263.0 | 15 705.0 | 17 734.0 | 19 482.0 | 18 351.0 | 18 502.0 | 17 928.0 | 17 132.0 | 16 589.0 | 15 862.0 | 16 619.0 | 16 696.0 | 19 739.0 | 21 869.0 | 21 731.0 | 26 561.0 | 25 143.0 |
Dług | 48 220.0 | 59 796.0 | 51 586.0 | 38 057.0 | 42 940.0 | 53 088.0 | 47 844.0 | 37 209.0 | 42 202.0 | 52 230.0 | 45 365.0 | 28 919.0 | 31 496.0 | 42 221.0 | 40 103.0 | 33 015.0 | 32 859.0 | 41 710.0 | 39 521.0 | 41 137.0 | 46 205.0 | 49 704.0 | 45 994.0 | 45 789.0 | 47 015.0 | 59 443.0 | 47 598.0 | 43 680.0 | 44 063.0 | 59 414.0 | 48 465.0 | 47 387.0 | 43 341.0 | 56 490.0 | 50 509.0 | 41 018.0 | 48 601.0 | 57 584.0 | 54 679.0 | 42 968.0 |
Środki pieniężne i inne aktywa pieniężne | 9 301.0 | 9 226.0 | 8 781.0 | 11 601.0 | 10 969.0 | 12 234.0 | 14 538.0 | 11 640.0 | 8 502.0 | 8 215.0 | 10 105.0 | 12 834.0 | 14 064.0 | 10 228.0 | 9 506.0 | 16 680.0 | 11 948.0 | 9 926.0 | 12 687.0 | 24 925.0 | 16 151.0 | 11 566.0 | 13 272.0 | 21 381.0 | 17 264.0 | 14 518.0 | 14 307.0 | 24 551.0 | 14 705.0 | 15 348.0 | 14 070.0 | 25 964.0 | 16 322.0 | 18 888.0 | 14 917.0 | 21 200.0 | 21 769.0 | 21 444.0 | 18 984.0 | 27 988.0 |
Dług netto | 38 919.0 | 50 570.0 | 42 805.0 | 26 456.0 | 31 971.0 | 40 854.0 | 33 306.0 | 25 569.0 | 33 700.0 | 44 015.0 | 35 260.0 | 16 085.0 | 17 432.0 | 31 993.0 | 30 597.0 | 16 335.0 | 20 911.0 | 31 784.0 | 26 834.0 | 16 212.0 | 30 054.0 | 38 138.0 | 32 722.0 | 24 408.0 | 29 751.0 | 44 925.0 | 33 291.0 | 19 129.0 | 29 358.0 | 44 066.0 | 34 395.0 | 21 423.0 | 27 019.0 | 37 602.0 | 35 592.0 | 19 818.0 | 26 832.0 | 36 140.0 | 35 695.0 | 14 980.0 |
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