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Financial Statement Details: OTORI HOLDINGS (Annual )

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U-Chart(pie chart)2009-09-302010-09-30
  • Cash etc.
  • Other Current Assets
  • Tangible Assets
  • Intangible Assets
  • Investment etc.
  • Current Liabilities
  • Fixed Liabilities
  • Capital stock
  • Capital surplus etc.
*IN(*Right half), OUT(*Left half), BALANCE(*Net Assets)
[BS] 2009-09-30
 *  Total: ¥ 164 B
 *  Net: ¥ 4 B
 (Ratio: 2.96%)
[BS] 2010-09-30
 *  Total: ¥ 153 B
 *  Net: ¥ 4 B
 (Ratio: 2.93%)
Financial Statement Details2009-09-302010-09-30
Cash etc. ¥ 14 B ¥ 20 B
Other Current Assets ¥ 87 B ¥ 73 B
Tangible Assets ¥ 31 B ¥ 30 B
Intangible Assets ¥ 301 M ¥ 301 M
Investment etc. ¥ 30 B ¥ 27 B
Total Assets ¥ 164 B ¥ 153 B
Current Liabilities ¥ 149 B ¥ 140 B
Fixed Liabilities ¥ 10 B ¥ 8 B
Capital stock ¥ 22 B ¥ 22 B
Capital surplus etc. ¥ -17 B ¥ -17 B
Liabilities and net assets ¥ 164 B ¥ 153 B
U-Chart(pie chart)2009-09-302010-09-30
  • Sales
  • Cost of Sales
  • Other income
  • SG&A
  • Other expenses
  • Net income
*IN(*Right half), OUT(*Left half), BALANCE(*Net Income)
[PL] 2009-09-30
 *  Sales: ¥ 243 B
 *  Income: ¥ -2 B
 (Ratio: -0.97%)
[PL] 2010-09-30
 *  Sales: ¥ 211 B
 *  Income: ¥ 646 M
 (Ratio: 0.31%)
Financial Statement Details2009-09-302010-09-30
Sales ¥ 243 B ¥ 211 B
Cost of Sales ¥ 229 B ¥ 195 B
Gross profit ¥ 14 B ¥ 15 B
Other income ¥ 1 B ¥ 1 B
SG&A ¥ 11 B ¥ 10 B
Other expenses ¥ 7 B ¥ 6 B
Net income ¥ -2 B ¥ 646 M
U-Chart(pie chart)2009-09-302010-09-30
  • Operating CF
  • Investment CF
  • Financial CF
  • Foreign Exchange Effects
  • Net Change in Cash
*IN(*Right half), OUT(*Left half), BALANCE(*Net Change in Cash)
[CF] 2009-09-30
 *  OCF: ¥ 855 M
 *  Cash: ¥ +8 B
[CF] 2010-09-30
 *  OCF: ¥ 11 B
 *  Cash: ¥ +6 B
Financial Statement Details2009-09-302010-09-30
Operating CF ¥ 855 M ¥ 11 B
Investment CF ¥ 620 M ¥ 997 M
Financial CF ¥ 6 B ¥ -5 B
Foreign Exchange Effects - -
Net Change in Cash ¥ 8 B ¥ 6 B
U-Chart(pie chart)2009-09-302010-09-30
  • Issuance of new shares
  • Dividends from surplus
  • Net income
  • Purchase of treasury stock
  • Other Change in Stockholders Equity
  • Other Change in Net Assets
  • Net Change in Net Assets
*IN(*Right half), OUT(*Left half), BALANCE(*Net Change in Net Assets)
[SS] 2009-09-30
 *  Income: ¥ -2 B
 *  Net: ¥ -5 B
[SS] 2010-09-30
 *  Income: ¥ 646 M
 *  Net: ¥ -357 M
Financial Statement Details2009-09-302010-09-30
Issuance of new shares - -
Dividends from surplus - -
Net income ¥ -2 B ¥ 646 M
Purchase of treasury stock - -
Other Change in Stockholders Equity - -
Other Change in Net Assets ¥ -2 B ¥ -1 B
Net Change in Net Assets ¥ -5 B ¥ -357 M
U-Chart(pie chart)2009-09-302010-09-30
  • Cash etc.
  • Other Current Assets
  • Tangible Assets
  • Intangible Assets
  • Investment etc.
  • Current Liabilities
  • Fixed Liabilities
  • Capital stock
  • Capital surplus etc.
*IN(*Right half), OUT(*Left half), BALANCE(*Net Assets)
[BS] 2009-09-30
 *  Total: ¥ 6 B
 *  Net: ¥ 5 B
 (Ratio: 79.99%)
[BS] 2010-09-30
 *  Total: ¥ 6 B
 *  Net: ¥ 5 B
 (Ratio: 80.07%)
Financial Statement Details2009-09-302010-09-30
Cash etc. ¥ 175 M ¥ 257 M
Other Current Assets ¥ 53 M -
Tangible Assets - -
Intangible Assets - -
Investment etc. ¥ 6 B ¥ 6 B
Total Assets ¥ 6 B ¥ 6 B
Current Liabilities ¥ 42 M ¥ 46 M
Fixed Liabilities ¥ 1 B ¥ 1 B
Capital stock ¥ 22 B ¥ 22 B
Capital surplus etc. ¥ -16 B ¥ -16 B
Liabilities and net assets ¥ 6 B ¥ 6 B
U-Chart(pie chart)2009-09-302010-09-30
  • Sales
  • Cost of Sales
  • Other income
  • SG&A
  • Other expenses
  • Net income
*IN(*Right half), OUT(*Left half), BALANCE(*Net Income)
[PL] 2009-09-30
 *  Sales: ¥ 1 B
 *  Income: ¥ -16 B
 (Ratio: -1,352.43%)
[PL] 2010-09-30
 *  Sales: ¥ 884 M
 *  Income: ¥ 29 M
 (Ratio: 3.28%)
Financial Statement Details2009-09-302010-09-30
Sales ¥ 1 B ¥ 884 M
Cost of Sales ¥ 983 M ¥ 822 M
Gross profit ¥ 230 M ¥ 62 M
Other income ¥ 62 M ¥ 29 M
SG&A ¥ 76 M ¥ 62 M
Other expenses ¥ 16 B ¥ 62 M
Net income ¥ -16 B ¥ 29 M

Consolidated :Balance sheet (Annual ) 2008-09-302009-09-302010-09-30
   Cash and deposits¥ 6 B¥ 14 B¥ 20 B
   Notes receivable, accounts receivable from completed construction contracts and other¥ 82 B¥ 62 B¥ 49 B
    Costs on uncompleted construction contracts¥ 11 B¥ 5 B¥ 4 B
    Real estate for sale¥ 1 B¥ 1 B¥ 1 B
    Costs on real estate business¥ 2 B¥ 2 B¥ 2 B
    Other inventories¥ 180 M¥ 165 M¥ 163 M
   Deferred tax assets¥ 6 B¥ 6 B¥ 6 B
   Notes payable, accounts payable for construction contracts and other¥ 89 B¥ 66 B¥ 62 B
   Advances received on uncompleted construction contracts¥ 13 B¥ 9 B¥ 9 B
    Allowance for doubtful accounts¥ -250 M¥ -728 M¥ -69 M
   Other¥ 16 B¥ 9 B¥ 9 B
   Current assets¥ 126 B¥ 101 B¥ 94 B
    Buildings and structures¥ 12 B¥ 12 B¥ 12 B
    Machinery, vehicles, tools, furniture and fixtures¥ 12 B¥ 12 B¥ 11 B
    Land¥ 20 B¥ 21 B¥ 20 B
    Lease assets¥ 10 M¥ 17 M¥ 33 M
    Construction in progress¥ 22 M¥ 31 M¥ 25 M
     Other¥ 1 B¥ 1 B¥ 1 B
    Accumulated depreciation¥ -15 B¥ -15 B¥ -15 B
    Property, plant and equipment¥ 31 B¥ 31 B¥ 30 B
    Intangible assets¥ 309 M¥ 301 M¥ 301 M
     Investment securities¥ 25 B¥ 21 B¥ 18 B
     Long-term loans receivable¥ 5 B¥ 5 B¥ 5 B
     Deferred tax assets¥ 2 B¥ 1 B¥ 1 B
     Real estate for investment¥ 2 B¥ 2 B¥ 2 B
     Other¥ 7 B¥ 6 B¥ 8 B
      Allowance for doubtful accounts¥ -5 B¥ -6 B¥ -8 B
    Accumulated depreciation¥ -348 M¥ -379 M¥ -409 M
    Investments and other assets¥ 36 B¥ 30 B¥ 27 B
   Noncurrent assets¥ 69 B¥ 62 B¥ 58 B
   Bond issuance cost
   Deferred assets
  Assets¥ 195 B¥ 164 B¥ 153 B
   Lease obligations¥ 5 M¥ 6 M¥ 10 M
    Provision for bonuses¥ 1 B¥ 551 M¥ 336 M
    Provision for loss on construction contracts¥ 1 B¥ 1 B¥ 1 B
    Provision for warranties for completed construction¥ 79 M¥ 61 M¥ 189 M
    Income taxes payable¥ 432 M¥ 324 M¥ 489 M
    Short-term loans payable¥ 45 B¥ 61 B¥ 56 B
    Current portion of bonds¥ 450 M¥ 310 M¥ 360 M
   Other¥ 13 B¥ 8 B¥ 8 B
   Current liabilities¥ 165 B¥ 149 B¥ 140 B
    Bonds payable¥ 450 M¥ 685 M¥ 675 M
    Long-term loans payable¥ 10 B¥ 2 B¥ 1 B
    Provision for retirement benefits¥ 5 B¥ 4 B¥ 4 B
    Provision for directors' retirement benefits¥ 195 M¥ 53 M¥ 33 M
   Lease obligations¥ 15 M¥ 15 M¥ 19 M
    Deferred tax liabilities¥ 620 M¥ 564 M¥ 569 M
    Other¥ 1 B¥ 1 B¥ 1 B
   Noncurrent liabilities¥ 19 B¥ 10 B¥ 8 B
  Liabilities¥ 185 B¥ 159 B¥ 149 B
   Capital stock¥ 22 B¥ 22 B¥ 22 B
    Capital surplus¥ 266 M
    Retained earnings¥ -9 B¥ -11 B¥ -11 B
   Treasury stock¥ -1 B¥ -1 B¥ -1 B
   Shareholders' equity¥ 11 B¥ 9 B¥ 9 B
   Valuation difference on available-for-sale securities¥ -1 B¥ -4 B¥ -5 B
   Valuation and translation adjustments¥ -1 B¥ -4 B¥ -5 B
  Minority interests¥ 500 M
  Net assets¥ 10 B¥ 4 B¥ 4 B
 Liabilities and net assets¥ 195 B¥ 164 B¥ 153 B
Consolidated :Income statement (Annual ) 2008-09-302009-09-302010-09-30
  Net sales of completed construction contracts¥ 305 B¥ 240 B¥ 208 B
  Net sales of real estate business and other¥ 5 B¥ 3 B¥ 3 B
  Cost of sales of completed construction contracts¥ 290 B¥ 226 B¥ 193 B
  Cost of sales on real estate business and other¥ 4 B¥ 2 B¥ 2 B
  Gross profit on completed construction contracts¥ 14 B¥ 14 B¥ 15 B
  Gross profit on real estate business and other¥ 1 B¥ 350 M¥ 534 M
   Net sales¥ 310 B¥ 243 B¥ 211 B
   Cost of sales¥ 295 B¥ 229 B¥ 195 B
    Selling, general and administrative expenses¥ 13 B¥ 11 B¥ 10 B
 Gross profit¥ 15 B¥ 14 B¥ 15 B
 Operating income¥ 2 B¥ 3 B¥ 5 B
  Interest income¥ 88 M¥ 53 M¥ 33 M
  Dividends income¥ 361 M¥ 347 M¥ 453 M
  Dividends income of insurance¥ 137 M¥ 104 M
  Other¥ 962 M¥ 441 M¥ 366 M
  Non-operating income¥ 4 B¥ 1 B¥ 1 B
  Interest expenses¥ 2 B¥ 1 B¥ 1 B
  Other¥ 1 B¥ 996 M¥ 797 M
  Non-operating expenses¥ 3 B¥ 2 B¥ 2 B
 Ordinary income¥ 4 B¥ 1 B¥ 4 B
  Gain on prior period adjustment¥ 1 M¥ 81 M¥ 234 M
  Gain on sales of noncurrent assets¥ 17 M¥ 171 M¥ 135 M
  Gain on sales of investment securities¥ 204 M¥ 2 M¥ 67 M
  Other¥ 49 M¥ 20 M¥ 13 M
  Extraordinary income¥ 318 M¥ 275 M¥ 450 M
  Loss on sales of noncurrent assets¥ 16 M¥ 43 M¥ 3 M
  Impairment loss¥ 2 B¥ 50 M
  Loss on sales of investment securities¥ 92 M¥ 185 M¥ 166 M
  Loss on valuation of investment securities¥ 336 M¥ 190 M
  Early extra retirement payments¥ 270 M¥ 350 M¥ 240 M
  Provision of allowance for doubtful accounts¥ 504 M¥ 2 B¥ 2 B
  Other¥ 1 B¥ 398 M¥ 375 M
  Extraordinary loss¥ 4 B¥ 3 B¥ 3 B
 Income before income taxes¥ -148 M¥ -1 B¥ 1 B
 Income taxes¥ 2 B¥ 711 M¥ 683 M
  Income taxes-current¥ 655 M¥ 401 M¥ 544 M
  Income taxes-deferred¥ 1 B¥ 310 M¥ 139 M
 Net income¥ -2 B¥ -2 B¥ 646 M
  Amortization of negative goodwill¥ 55 M
  Gain on investments in silent partnership¥ 3 B
  Gain on sales of golf memberships¥ 45 M
Consolidated :Cash flow statement (Annual ) 2008-09-302009-09-302010-09-30
   Increase (decrease) in advances received on uncompleted construction contracts¥ -4 B¥ -3 B¥ -319 M
   Decrease (increase) in costs on uncompleted construction contracts¥ 7 B¥ 7 B¥ 338 M
  Subtotal¥ -3 B¥ 2 B¥ 12 B
   Depreciation and amortization¥ 932 M¥ 905 M¥ 869 M
   Impairment loss¥ 2 B¥ 50 M
   Increase (decrease) in allowance for doubtful accounts¥ 534 M¥ 1 B¥ 1 B
   Interest and dividends income¥ -450 M¥ -400 M¥ -487 M
   Interest expenses¥ 2 B¥ 1 B¥ 1 B
   Foreign exchange losses (gains)¥ 8 M¥ 55 M¥ 89 M
   Decrease (increase) in notes and accounts receivable-trade¥ 6 B¥ 20 B¥ 11 B
   Increase (decrease) in notes and accounts payable-trade¥ -20 B¥ -22 B¥ -4 B
   Increase (decrease) in provision for bonuses¥ -582 M¥ -214 M
   Increase (decrease) in provision for retirement benefits¥ -368 M¥ -715 M¥ -268 M
   Increase (decrease) in provision for loss on construction contracts¥ -2 B¥ -257 M¥ -39 M
   Increase (decrease) in other provision¥ 83 M¥ -160 M¥ 107 M
   Loss (gain) on valuation of investment securities¥ 336 M¥ 190 M
   Loss (gain) on sales of short-term and long term investment securities¥ -112 M¥ 183 M¥ 99 M
   Loss (gain) on sales and retirement of property, plant and equipment¥ 10 M¥ -116 M¥ -121 M
   Increase (decrease) in accrued consumption taxes¥ 1 B¥ -1 B¥ 903 M
   Increase (decrease) in deposits received¥ 34 M¥ -1 B¥ 490 M
   Other, net¥ 1 B¥ 2 B¥ -779 M
  Interest and dividends income received¥ 467 M¥ 401 M¥ 482 M
  Interest expenses paid¥ -2 B¥ -1 B¥ -1 B
  Income taxes paid¥ -1 B¥ -654 M¥ -462 M
  Income taxes refund¥ 1 B¥ 723 M¥ 90 M
  Net cash provided by (used in) operating activities¥ -5 B¥ 855 M¥ 11 B
  Purchase of property, plant and equipment¥ -566 M¥ -896 M¥ -301 M
  Proceeds from sales of property, plant and equipment¥ 62 M¥ 302 M¥ 220 M
  Purchase of investment securities¥ -3 B¥ -15 M¥ -84 M
  Proceeds from sales and redemption of investment securities¥ 5 B¥ 1 B¥ 1 B
  Payments into time deposits¥ -170 M¥ -240 M¥ -170 M
  Proceeds from withdrawal of time deposits¥ 170 M¥ 240 M¥ 170 M
  Net decrease (increase) in short-term loans receivable¥ 3 B¥ 160 M¥ -19 M
  Payments of long-term loans receivable¥ -102 M¥ -131 M¥ -57 M
  Collection of long-term loans receivable¥ 102 M¥ 187 M¥ 132 M
  Other, net¥ 13 M¥ -121 M¥ -146 M
  Net cash provided by (used in) investing activities¥ 4 B¥ 620 M¥ 997 M
  Proceeds from long-term loans payable¥ 1 B¥ 370 M¥ 80 M
  Repayment of long-term loans payable¥ -9 B¥ -4 B¥ -3 B
  Proceeds from issuance of bonds¥ 543 M¥ 344 M
  Redemption of bonds¥ -455 M¥ -310 M
  Net increase (decrease) in short-term loans payable¥ 6 B¥ 10 B¥ -2 B
  Other, net¥ -3 M¥ -6 M¥ -9 M
  Net cash provided by (used in) financing activities¥ -1 B¥ 6 B¥ -5 B
 Effect of exchange rate change on cash and cash equivalents-
 Net increase (decrease) in cash and cash equivalents¥ -2 B¥ 8 B¥ 6 B
 Cash and cash equivalents¥ 6 B¥ 14 B¥ 20 B
   Amortization of negative goodwill¥ -55 M
  Payments for guarantee deposits¥ -199 M
  Proceeds from collection of guarantee deposits¥ 10 B
  Repayments of guarantee deposits received¥ -10 B
 Increase (decrease) in cash and cash equivalents resulting from change of scope of consolidation¥ 389 M
Consolidated :Shareowners' equity (Annual ) 2008-09-302009-09-302010-09-30
    Total changes of items during the period
     Deficit disposition¥ -2 B¥ -266 M
     Total changes of items during the period¥ -2 B¥ -266 M
     Deficit disposition¥ 2 B¥ 266 M
     Total changes of items during the period¥ 683 M¥ -2 B¥ 646 M
    Total changes of items during the period
    Net income¥ -2 B¥ -2 B¥ 646 M
    Deficit disposition
    Total changes of items during the period¥ -1 B¥ -2 B¥ 646 M
    Net changes of items other than shareholders' equity¥ -3 B¥ -2 B¥ -1 B
    Total changes of items during the period¥ -3 B¥ -2 B¥ -1 B
    Net changes of items other than shareholders' equity¥ -3 B¥ -2 B¥ -1 B
    Total changes of items during the period¥ -3 B¥ -2 B¥ -1 B
   Net changes of items other than shareholders' equity¥ 500 M
   Total changes of items during the period¥ 500 M
   Net income¥ -2 B¥ -2 B¥ 646 M
   Net changes of items other than shareholders' equity¥ -3 B¥ -2 B¥ -1 B
   Total changes of items during the period¥ -5 B¥ -5 B¥ -357 M
     Change of scope of consolidation¥ 316 M
    Change of scope of consolidation¥ 316 M
   Change of scope of consolidation¥ 316 M

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Related Information: OTORI HOLDINGS (Annual )

Statement Type
Annual : OTORI HOLDINGS
Second quarter : OTORI HOLDINGS
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@Outline : OTORI HOLDINGS
@Statement : OTORI HOLDINGS
@Rating : OTORI HOLDINGS
@Indicator : OTORI HOLDINGS
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Osaka - EDIUNET Prefectures
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Related company's newest statement

Date Company Credit Rating Date
1/10 INTERLIFE HOLDINGS BBB→BB 2013-11-30 (Q3)
1/10 mbs CCC→BBB 2013-11-30 (Q2)
1/7 AKATSUKI EAZIMA CCC→C 2013-11-30 (Q1)
12/13 Taiyo Kisokogyo BBB→AAA 2013-10-31 (Q3)
12/10 OHMORI  C 2013-10-31 (Q1)
12/9 HIGASHI NIHON HOUSE A 2013-10-31
12/6 TANSEISHA BB 2013-10-31 (Q3)
12/5 SEKISUI HOUSE BB 2013-10-31 (Q3)
12/5 土屋ホールディングス BBB 2013-10-31
12/3 TOKEN BB 2013-10-31 (Q2)

Ticker Market Industry Month report Rating
@ OTORI HOLDINGS Construction 9 Annual B

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@ Sanki Engineering (Sales ¥ 154 B) +
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