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 | 4 637 414.0 | 4 651 246.0 | 4 784 735.0 | 4 645 407.0 | 4 672 291.0 | 4 629 029.0 | 4 748 237.0 | 4 636 095.0 | 4 646 102.0 | 4 439 873.0 | 4 587 541.0 | 4 505 254.0 | 4 517 885.0 | 4 543 243.0 | 4 710 158.0 | 4 615 928.0 | 4 685 458.0 | 4 663 073.0 | 4 794 039.0 | 4 749 166.0 | 4 836 855.0 | 4 917 466.0 | 4 948 063.0 | 4 941 949.0 | 5 019 817.0 | 5 116 603.0 | 5 126 822.0 | 5 143 567.0 | 5 223 039.0 | 5 284 758.0 | 5 342 350.0 | 5 428 835.0 | 5 597 503.0 | 5 649 134.0 | 5 603 678.0 | 5 522 197.0 | 5 685 624.0 | 5 711 947.0 | 5 727 240.0 | 5 664 586.0 |
Aktywa trwałe | 3 835 458.0 | 3 872 405.0 | 3 925 712.0 | 3 927 471.0 | 3 934 045.0 | 3 953 017.0 | 4 019 430.0 | 4 011 030.0 | 4 002 272.0 | 3 761 562.0 | 3 817 903.0 | 3 828 765.0 | 3 842 967.0 | 3 882 363.0 | 3 982 601.0 | 4 071 390.0 | 4 099 361.0 | 4 123 777.0 | 4 188 483.0 | 4 247 071.0 | 4 248 580.0 | 4 311 700.0 | 4 368 934.0 | 4 361 363.0 | 4 387 752.0 | 4 446 862.0 | 4 497 782.0 | 4 513 886.0 | 4 512 290.0 | 4 542 151.0 | 4 610 151.0 | 4 653 833.0 | 4 674 447.0 | 4 724 375.0 | 4 741 909.0 | 4 748 468.0 | 4 765 354.0 | 4 762 849.0 | 4 799 252.0 | 4 831 025.0 |
Rzeczowe aktywa trwałe netto | 2 916 684.0 | 2 950 273.0 | 2 960 924.0 | 2 963 497.0 | 2 964 491.0 | 2 980 124.0 | 3 041 240.0 | 3 046 164.0 | 3 040 638.0 | 3 029 011.0 | 3 077 032.0 | 3 090 135.0 | 3 103 261.0 | 3 138 525.0 | 3 154 037.0 | 3 201 239.0 | 3 223 284.0 | 3 240 046.0 | 3 321 805.0 | 3 360 470.0 | 3 368 054.0 | 3 397 586.0 | 3 458 057.0 | 3 463 496.0 | 3 485 630.0 | 3 510 383.0 | 3 552 490.0 | 3 558 369.0 | 3 558 951.0 | 3 565 529.0 | 3 587 689.0 | 3 597 904.0 | 3 592 340.0 | 3 605 181.0 | 3 658 098.0 | 3 674 918.0 | 3 667 694.0 | 3 664 799.0 | 4 133 863.0 | 4 133 672.0 |
Wartość firmy | 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 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 |
Wartości niematerialne i prawne | 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 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 |
Wartość firmy i wartości niematerialne i prawne | (475 450.0) | (480 969.0) | (510 403.0) | (511 869.0) | (510 393.0) | (508 324.0) | (504 786.0) | (498 147.0) | (491 856.0) | (272 329.0) | (281 249.0) | (284 032.0) | (287 591.0) | (292 024.0) | (294 882.0) | (298 699.0) | (312 705.0) | (321 582.0) | (308 700.0) | (335 624.0) | (338 957.0) | (375 395.0) | (381 755.0) | (384 572.0) | (387 238.0) | (400 307.0) | (417 500.0) | (231 126.0) | (234 192.0) | (240 960.0) | (246 352.0) | (259 134.0) | (267 072.0) | (279 731.0) | (468 128.0) | (220 767.0) | (281 870.0) | (280 184.0) | 3.0 | 3.0 |
Należności netto | 220 540.0 | 210 112.0 | 213 133.0 | 224 580.0 | 234 748.0 | 217 386.0 | 200 573.0 | 228 496.0 | 253 259.0 | 229 688.0 | 230 785.0 | 262 458.0 | 295 217.0 | 261 144.0 | 259 945.0 | 246 663.0 | 275 643.0 | 238 424.0 | 228 132.0 | 259 971.0 | 272 845.0 | 254 131.0 | 235 706.0 | 276 889.0 | 306 615.0 | 279 192.0 | 258 788.0 | 151 472.0 | 175 529.0 | 167 528.0 | 177 827.0 | 168 172.0 | 227 493.0 | 233 877.0 | 196 439.0 | 164 893.0 | 187 276.0 | 177 994.0 | 179 869.0 | 203 974.0 |
Inwestycje długoterminowe | 475 450.0 | 480 969.0 | 510 403.0 | 511 869.0 | 510 393.0 | 508 324.0 | 504 786.0 | 498 147.0 | 491 856.0 | 272 329.0 | 281 249.0 | 284 032.0 | 287 591.0 | 292 024.0 | 294 882.0 | 298 699.0 | 312 705.0 | 321 582.0 | 308 700.0 | 335 624.0 | 338 957.0 | 375 395.0 | 381 755.0 | 384 572.0 | 387 238.0 | 400 307.0 | 417 500.0 | 231 126.0 | 234 192.0 | 240 960.0 | 246 352.0 | 259 134.0 | 267 072.0 | 279 731.0 | 468 128.0 | 504 257.0 | 281 870.0 | 280 184.0 | 476 304.0 | 273 934.0 |
Aktywa obrotowe | 801 950.0 | 778 831.0 | 859 015.0 | 717 927.0 | 738 236.0 | 676 004.0 | 728 799.0 | 625 058.0 | 643 823.0 | 678 303.0 | 769 630.0 | 676 482.0 | 674 909.0 | 660 871.0 | 727 549.0 | 544 528.0 | 586 089.0 | 539 287.0 | 605 547.0 | 502 085.0 | 588 265.0 | 605 756.0 | 579 121.0 | 580 577.0 | 632 054.0 | 669 732.0 | 629 032.0 | 629 672.0 | 710 741.0 | 742 598.0 | 732 189.0 | 774 990.0 | 923 046.0 | 924 750.0 | 861 761.0 | 773 719.0 | 920 260.0 | 949 088.0 | 927 988.0 | 833 561.0 |
Środki pieniężne i Inwestycje | 427 923.0 | 427 172.0 | 512 472.0 | 364 271.0 | 369 805.0 | 334 525.0 | 420 340.0 | 274 558.0 | 278 645.0 | 314 089.0 | 414 476.0 | 271 983.0 | 261 716.0 | 287 986.0 | 345 701.0 | 150 277.0 | 161 242.0 | 145 195.0 | 218 236.0 | 104 372.0 | 169 622.0 | 213 040.0 | 204 040.0 | 149 016.0 | 191 078.0 | 248 975.0 | 234 163.0 | 174 338.0 | 225 707.0 | 259 905.0 | 261 660.0 | 239 332.0 | 263 061.0 | 265 950.0 | 295 450.0 | 193 987.0 | 331 350.0 | 374 054.0 | 393 161.0 | 228 938.0 |
Zapasy | 98 897.0 | 88 239.0 | 81 433.0 | 87 625.0 | 89 054.0 | 86 952.0 | 59 827.0 | 64 197.0 | 63 852.0 | 80 058.0 | 64 344.0 | 81 019.0 | 73 010.0 | 79 293.0 | 70 039.0 | 81 652.0 | 80 662.0 | 91 045.0 | 91 827.0 | 82 356.0 | 93 453.0 | 89 155.0 | 83 059.0 | 98 836.0 | 91 479.0 | 83 527.0 | 70 533.0 | 82 458.0 | 91 091.0 | 111 412.0 | 101 699.0 | 133 235.0 | 184 476.0 | 184 882.0 | 159 420.0 | 167 272.0 | 160 388.0 | 151 744.0 | 130 018.0 | 125 381.0 |
Inwestycje krótkoterminowe | (365 443.0) | (373 403.0) | (404 385.0) | (404 453.0) | (401 331.0) | (398 741.0) | (392 640.0) | (384 032.0) | (377 371.0) | (126 328.0) | (131 506.0) | (133 894.0) | (136 139.0) | (138 072.0) | (141 043.0) | (146 097.0) | (158 629.0) | (162 366.0) | (152 933.0) | (178 788.0) | (179 614.0) | (186 111.0) | (179 272.0) | (179 610.0) | (178 576.0) | (183 147.0) | (201 519.0) | 0.0 | 14 370.0 | 0.0 | 8 780.0 | 0.0 | 15 287.0 | 0.0 | 13 153.0 | (233 803.0) | 12 195.0 | 0.0 | 17 161.0 | 0.0 |
Środki pieniężne i inne aktywa pieniężne | 427 923.0 | 427 172.0 | 512 472.0 | 364 271.0 | 369 805.0 | 334 525.0 | 420 340.0 | 274 558.0 | 278 645.0 | 314 089.0 | 414 476.0 | 271 983.0 | 261 716.0 | 287 986.0 | 345 701.0 | 150 277.0 | 161 242.0 | 145 195.0 | 218 236.0 | 104 372.0 | 169 622.0 | 213 040.0 | 204 040.0 | 149 016.0 | 191 078.0 | 248 975.0 | 234 163.0 | 174 338.0 | 225 707.0 | 259 905.0 | 261 660.0 | 239 332.0 | 263 061.0 | 265 950.0 | 295 450.0 | 193 987.0 | 331 350.0 | 374 054.0 | 376 000.0 | 228 938.0 |
Należności krótkoterminowe | 77 981.0 | 90 089.0 | 97 115.0 | 85 278.0 | 75 740.0 | 75 859.0 | 86 662.0 | 59 784.0 | 51 512.0 | 57 865.0 | 59 412.0 | 58 910.0 | 54 457.0 | 64 833.0 | 81 987.0 | 61 727.0 | 68 259.0 | 61 306.0 | 70 270.0 | 58 519.0 | 57 857.0 | 55 677.0 | 65 753.0 | 65 067.0 | 66 268.0 | 66 172.0 | 78 125.0 | 68 494.0 | 81 071.0 | 85 860.0 | 142 614.0 | 113 348.0 | 132 384.0 | 128 286.0 | 141 658.0 | 84 291.0 | 85 670.0 | 95 190.0 | 127 846.0 | 132 829.0 |
Dług krótkoterminowy | 187 152.0 | 121 141.0 | 119 001.0 | 118 051.0 | 116 251.0 | 118 134.0 | 116 912.0 | 117 544.0 | 116 394.0 | 118 122.0 | 117 272.0 | 120 303.0 | 120 304.0 | 119 791.0 | 117 371.0 | 176 792.0 | 118 592.0 | 119 463.0 | 115 063.0 | 180 333.0 | 143 462.0 | 156 862.0 | 210 012.0 | 320 833.0 | 223 332.0 | 176 449.0 | 163 108.0 | 162 149.0 | 153 230.0 | 155 230.0 | 120 810.0 | 272 630.0 | 351 830.0 | 229 630.0 | 164 530.0 | 236 130.0 | 128 410.0 | 133 010.0 | 553 990.0 | 559 161.0 |
Zobowiązania krótkoterminowe | 670 151.0 | 676 055.0 | 832 155.0 | 776 752.0 | 820 786.0 | 800 576.0 | 832 374.0 | 757 365.0 | 820 905.0 | 869 555.0 | 837 396.0 | 801 360.0 | 820 285.0 | 885 418.0 | 968 707.0 | 907 208.0 | 909 062.0 | 826 379.0 | 1 014 729.0 | 1 017 116.0 | 984 920.0 | 1 075 884.0 | 1 058 584.0 | 1 009 098.0 | 1 004 168.0 | 993 975.0 | 1 046 705.0 | 973 645.0 | 995 037.0 | 1 039 419.0 | 1 075 424.0 | 1 102 954.0 | 1 223 034.0 | 1 137 693.0 | 1 135 241.0 | 1 003 745.0 | 1 031 689.0 | 1 007 182.0 | 1 119 049.0 | 987 136.0 |
Rozliczenia międzyokresowe | 20 766.0 | 17 800.0 | 27 391.0 | 14 082.0 | 24 693.0 | 20 657.0 | 29 588.0 | 14 599.0 | 28 344.0 | 15 234.0 | 17 059.0 | 14 194.0 | 39 753.0 | 39 280.0 | 45 875.0 | 13 551.0 | 20 408.0 | 13 020.0 | 20 346.0 | 12 828.0 | 21 118.0 | 21 426.0 | 19 403.0 | 12 059.0 | 31 814.0 | 32 261.0 | 38 025.0 | 11 363.0 | 22 409.0 | 17 454.0 | 19 798.0 | 10 541.0 | 19 772.0 | 18 437.0 | 21 407.0 | 19 668.0 | 50 690.0 | 51 607.0 | 6 992.0 | 0.0 |
Zobowiązania długoterminowe | 3 411 671.0 | 3 464 795.0 | 3 501 591.0 | 3 403 093.0 | 3 353 061.0 | 3 333 317.0 | 3 415 961.0 | 3 369 303.0 | 3 257 055.0 | 2 994 434.0 | 3 175 570.0 | 3 117 588.0 | 3 059 607.0 | 3 020 969.0 | 3 087 489.0 | 3 066 288.0 | 3 103 465.0 | 3 165 271.0 | 3 114 060.0 | 3 071 701.0 | 3 190 495.0 | 3 192 962.0 | 3 251 521.0 | 3 288 504.0 | 3 323 936.0 | 3 444 155.0 | 3 397 367.0 | 3 476 426.0 | 3 506 729.0 | 3 542 427.0 | 3 590 591.0 | 3 671 227.0 | 3 723 708.0 | 3 903 019.0 | 3 851 208.0 | 3 824 962.0 | 3 765 963.0 | 3 774 010.0 | 3 687 143.0 | 3 721 894.0 |
Rezerwy z tytułu odroczonego podatku | 293.0 | 426.0 | 527.0 | 713.0 | 821.0 | 1 024.0 | 95.0 | 92.0 | 108.0 | 186.0 | 354.0 | 660.0 | 751.0 | 1 054.0 | 1 682.0 | 2 075.0 | 2 620.0 | 2 994.0 | 3 682.0 | 4 374.0 | 4 596.0 | 4 447.0 | 7 534.0 | 5 494.0 | 7 264.0 | 7 648.0 | 8 280.0 | 10 527.0 | 9 911.0 | 11 656.0 | 12 899.0 | 17 554.0 | 17 084.0 | 19 549.0 | 16 437.0 | 18 347.0 | 21 821.0 | 21 097.0 | 16 675.0 | 18 445.0 |
Zobowiązania długoterminowe | 3 411 671.0 | 3 464 795.0 | 3 501 591.0 | 3 403 093.0 | 3 353 061.0 | 3 333 317.0 | 3 415 961.0 | 3 369 303.0 | 3 257 055.0 | 2 994 434.0 | 3 175 570.0 | 3 117 588.0 | 3 059 607.0 | 3 020 969.0 | 3 087 489.0 | 3 066 288.0 | 3 103 465.0 | 3 165 271.0 | 3 114 060.0 | 3 071 701.0 | 3 190 495.0 | 3 192 962.0 | 3 251 521.0 | 3 288 504.0 | 3 323 936.0 | 3 444 155.0 | 3 397 367.0 | 3 476 426.0 | 3 506 729.0 | 3 542 427.0 | 3 590 591.0 | 3 671 227.0 | 3 723 708.0 | 3 903 019.0 | 3 851 208.0 | 3 824 962.0 | 3 765 963.0 | 3 774 010.0 | 3 687 143.0 | 3 721 894.0 |
Zobowiązania z tytułu leasingu | 0.0 | 0.0 | 3 090.0 | 0.0 | 0.0 | 0.0 | 3 866.0 | 0.0 | 0.0 | 0.0 | 3 948.0 | 0.0 | 0.0 | 0.0 | 4 146.0 | 0.0 | 0.0 | 0.0 | 4 356.0 | 0.0 | 0.0 | 0.0 | 5 010.0 | 0.0 | 0.0 | 0.0 | 4 187.0 | 0.0 | 0.0 | 0.0 | 4 277.0 | 0.0 | 0.0 | 0.0 | 11 923.0 | 0.0 | 0.0 | 0.0 | 14 845.0 | 0.0 |
Zobowiązania ogółem | 4 081 822.0 | 4 140 850.0 | 4 333 746.0 | 4 179 845.0 | 4 173 847.0 | 4 133 893.0 | 4 248 335.0 | 4 126 668.0 | 4 077 960.0 | 3 863 989.0 | 4 012 966.0 | 3 918 948.0 | 3 879 892.0 | 3 906 387.0 | 4 056 196.0 | 3 973 496.0 | 4 012 527.0 | 3 991 650.0 | 4 128 789.0 | 4 088 817.0 | 4 175 415.0 | 4 268 846.0 | 4 310 105.0 | 4 297 602.0 | 4 328 104.0 | 4 438 130.0 | 4 444 072.0 | 4 450 071.0 | 4 501 766.0 | 4 581 846.0 | 4 666 015.0 | 4 774 181.0 | 4 946 742.0 | 5 040 712.0 | 4 986 449.0 | 4 828 707.0 | 4 797 652.0 | 4 781 192.0 | 4 806 192.0 | 4 709 030.0 |
Kapitał (fundusz) podstawowy | 237 304.0 | 237 304.0 | 237 304.0 | 237 304.0 | 237 304.0 | 237 304.0 | 237 304.0 | 237 304.0 | 237 304.0 | 237 304.0 | 237 304.0 | 237 304.0 | 237 304.0 | 237 304.0 | 237 304.0 | 237 304.0 | 237 304.0 | 237 304.0 | 237 304.0 | 237 304.0 | 237 304.0 | 237 304.0 | 237 304.0 | 237 304.0 | 237 304.0 | 237 304.0 | 237 304.0 | 237 304.0 | 237 304.0 | 237 304.0 | 237 304.0 | 237 304.0 | 237 304.0 | 237 304.0 | 237 304.0 | 237 304.0 | 237 304.0 | 237 304.0 | 137 304.0 | 237 304.0 |
Zyski zatrzymane | 138 969.0 | 97 055.0 | 60 175.0 | 78 983.0 | 113 743.0 | 112 868.0 | 133 675.0 | 155 282.0 | 215 119.0 | 219 027.0 | 212 945.0 | 222 632.0 | 272 945.0 | 269 483.0 | 282 504.0 | 271 261.0 | 300 012.0 | 298 198.0 | 300 551.0 | 299 838.0 | 294 628.0 | 278 839.0 | 276 997.0 | 287 093.0 | 331 911.0 | 314 872.0 | 291 659.0 | 296 851.0 | 326 409.0 | 306 436.0 | 277 382.0 | 232 042.0 | 219 177.0 | 177 421.0 | 209 734.0 | 302 815.0 | 381 203.0 | 418 395.0 | 397 802.0 | 418 729.0 |
Kapitał własny | 555 592.0 | 510 396.0 | 450 989.0 | 465 562.0 | 498 444.0 | 495 136.0 | 499 902.0 | 509 427.0 | 568 142.0 | 575 884.0 | 574 575.0 | 586 306.0 | 637 993.0 | 636 856.0 | 653 962.0 | 642 432.0 | 672 931.0 | 671 423.0 | 665 250.0 | 660 349.0 | 661 440.0 | 648 620.0 | 637 958.0 | 644 347.0 | 691 713.0 | 678 473.0 | 682 750.0 | 693 496.0 | 721 273.0 | 702 912.0 | 676 335.0 | 654 654.0 | 650 761.0 | 608 422.0 | 617 229.0 | 693 490.0 | 887 972.0 | 930 755.0 | 921 043.0 | 955 551.0 |
Udziały mniejszościowe | 19 416.0 | 19 076.0 | 19 462.0 | 19 347.0 | 19 669.0 | 20 064.0 | 19 973.0 | 20 152.0 | 20 571.0 | 20 530.0 | 23 611.0 | 23 912.0 | 24 212.0 | 24 435.0 | 24 822.0 | 25 178.0 | 25 354.0 | 25 436.0 | 25 814.0 | 26 038.0 | 26 353.0 | 26 917.0 | 27 316.0 | 27 671.0 | 27 588.0 | 28 075.0 | 29 166.0 | 29 341.0 | 29 541.0 | 29 853.0 | 30 840.0 | 32 773.0 | 33 982.0 | 34 442.0 | 35 166.0 | 33 234.0 | 33 301.0 | 33 658.0 | 30 513.0 | 30 569.0 |
Pasywa | 4 637 414.0 | 4 651 246.0 | 4 784 735.0 | 4 645 407.0 | 4 672 291.0 | 4 629 029.0 | 4 748 237.0 | 4 636 095.0 | 4 646 102.0 | 4 439 873.0 | 4 587 541.0 | 4 505 254.0 | 4 517 885.0 | 4 543 243.0 | 4 710 158.0 | 4 615 928.0 | 4 685 458.0 | 4 663 073.0 | 4 794 039.0 | 4 749 166.0 | 4 836 855.0 | 4 917 466.0 | 4 948 063.0 | 4 941 949.0 | 5 019 817.0 | 5 116 603.0 | 5 126 822.0 | 5 143 567.0 | 5 223 039.0 | 5 284 758.0 | 5 342 350.0 | 5 428 835.0 | 5 597 503.0 | 5 649 134.0 | 5 603 678.0 | 5 522 197.0 | 5 685 624.0 | 5 711 947.0 | 5 727 235.0 | 5 664 586.0 |
Inwestycje | 110 007.0 | 107 566.0 | 106 018.0 | 107 416.0 | 109 062.0 | 109 583.0 | 112 146.0 | 114 115.0 | 114 485.0 | 146 001.0 | 149 743.0 | 150 138.0 | 151 452.0 | 153 952.0 | 153 839.0 | 152 602.0 | 154 076.0 | 159 216.0 | 155 767.0 | 156 836.0 | 159 343.0 | 189 284.0 | 202 483.0 | 204 962.0 | 208 662.0 | 217 160.0 | 215 981.0 | 231 126.0 | 234 192.0 | 240 960.0 | 246 352.0 | 259 134.0 | 267 072.0 | 279 731.0 | 263 961.0 | 270 454.0 | 281 870.0 | 280 184.0 | 493 465.0 | 273 934.0 |
Dług | 2 969 990.0 | 2 968 531.0 | 2 957 142.0 | 2 856 482.0 | 2 803 302.0 | 2 784 627.0 | 2 853 165.0 | 2 802 118.0 | 2 692 118.0 | 2 725 106.0 | 2 906 309.0 | 2 852 413.0 | 2 792 612.0 | 2 752 757.0 | 2 816 467.0 | 2 824 160.0 | 2 799 589.0 | 2 859 666.0 | 2 781 240.0 | 2 810 508.0 | 2 893 232.0 | 2 908 518.0 | 3 005 806.0 | 3 159 279.0 | 3 091 932.0 | 3 165 322.0 | 3 108 070.0 | 3 190 054.0 | 3 214 569.0 | 3 253 043.0 | 3 258 074.0 | 3 489 049.0 | 3 620 906.0 | 3 670 264.0 | 3 558 382.0 | 3 599 758.0 | 3 405 720.0 | 3 424 200.0 | 3 793 032.0 | 3 843 968.0 |
Środki pieniężne i inne aktywa pieniężne | 427 923.0 | 427 172.0 | 512 472.0 | 364 271.0 | 369 805.0 | 334 525.0 | 420 340.0 | 274 558.0 | 278 645.0 | 314 089.0 | 414 476.0 | 271 983.0 | 261 716.0 | 287 986.0 | 345 701.0 | 150 277.0 | 161 242.0 | 145 195.0 | 218 236.0 | 104 372.0 | 169 622.0 | 213 040.0 | 204 040.0 | 149 016.0 | 191 078.0 | 248 975.0 | 234 163.0 | 174 338.0 | 225 707.0 | 259 905.0 | 261 660.0 | 239 332.0 | 263 061.0 | 265 950.0 | 295 450.0 | 193 987.0 | 331 350.0 | 374 054.0 | 376 000.0 | 228 938.0 |
Dług netto | 2 542 067.0 | 2 541 359.0 | 2 444 670.0 | 2 492 211.0 | 2 433 497.0 | 2 450 102.0 | 2 432 825.0 | 2 527 560.0 | 2 413 473.0 | 2 411 017.0 | 2 491 833.0 | 2 580 430.0 | 2 530 896.0 | 2 464 771.0 | 2 470 766.0 | 2 673 883.0 | 2 638 347.0 | 2 714 471.0 | 2 563 004.0 | 2 706 136.0 | 2 723 610.0 | 2 695 478.0 | 2 801 766.0 | 3 010 263.0 | 2 900 854.0 | 2 916 347.0 | 2 873 907.0 | 3 015 716.0 | 2 988 862.0 | 2 993 138.0 | 2 996 414.0 | 3 249 717.0 | 3 357 845.0 | 3 404 314.0 | 3 262 932.0 | 3 405 771.0 | 3 074 370.0 | 3 050 146.0 | 3 417 032.0 | 3 615 030.0 |
Ticker | 9508.T | 9508.T | 9508.T | 9508.T | 9508.T | 9508.T | 9508.T | 9508.T | 9508.T | 9508.T | 9508.T | 9508.T | 9508.T | 9508.T | 9508.T | 9508.T | 9508.T | 9508.T | 9508.T | 9508.T | 9508.T | 9508.T | 9508.T | 9508.T | 9508.T | 9508.T | 9508.T | 9508.T | 9508.T | 9508.T | 9508.T | 9508.T | 9508.T | 9508.T | 9508.T | 9508.T | 9508.T | 9508.T | 9508.T | 9508.T |
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