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Financial Statement Details: AS-SZKi (Annual )

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U-Chart(pie chart)2009-03-312010-03-31
  • 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] 2009-03-31
 *  Total: ¥ 23 B
 *  Net: ¥ 6 B
 (Ratio: 25.99%)
[BS] 2010-03-31
 *  Total: ¥ 22 B
 *  Net: ¥ 6 B
 (Ratio: 29.13%)
Financial Statement Details2009-03-312010-03-31
Cash etc. ¥ 1 B ¥ 2 B
Other Current Assets ¥ 20 B ¥ 1 B
Tangible Assets ¥ 1 B ¥ 17 B
Intangible Assets ¥ 91 M ¥ 73 M
Investment etc. ¥ 501 M ¥ 492 M
Total Assets ¥ 23 B ¥ 22 B
Current Liabilities ¥ 16 B ¥ 13 B
Fixed Liabilities ¥ 1 B ¥ 1 B
Capital stock ¥ 1 B ¥ 1 B
Capital surplus etc. ¥ 4 B ¥ 5 B
Liabilities and net assets ¥ 23 B ¥ 22 B
U-Chart(pie chart)2009-03-312010-03-31
  • Sales
  • Cost of Sales
  • Other income
  • SG&A
  • Other expenses
  • Net income
*IN(*Right half), OUT(*Left half), BALANCE(*Net Income)
[PL] 2009-03-31
 *  Sales: ¥ 7 B
 *  Income: ¥ -3 B
 (Ratio: -39.89%)
[PL] 2010-03-31
 *  Sales: ¥ 6 B
 *  Income: ¥ 434 M
 (Ratio: 6.42%)
Financial Statement Details2009-03-312010-03-31
Sales ¥ 7 B ¥ 6 B
Cost of Sales ¥ 8 B ¥ 5 B
Gross profit ¥ -318 M ¥ 1 B
Other income ¥ 137 M ¥ 99 M
SG&A ¥ 1 B ¥ 919 M
Other expenses ¥ 1 B ¥ 308 M
Net income ¥ -3 B ¥ 434 M
U-Chart(pie chart)2009-03-312010-03-31
  • 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] 2009-03-31
 *  OCF: ¥ -933 M
 *  Cash: ¥ -1 B
[CF] 2010-03-31
 *  OCF: ¥ 1 B
 *  Cash: ¥ +328 M
Financial Statement Details2009-03-312010-03-31
Operating CF ¥ -933 M ¥ 1 B
Investment CF ¥ 1 M ¥ 105 M
Financial CF ¥ -613 M ¥ -799 M
Foreign Exchange Effects ¥ 15 M ¥ -837 K
Net Change in Cash ¥ -1 B ¥ 328 M
U-Chart(pie chart)2009-03-312010-03-31
  • 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] 2009-03-31
 *  Income: ¥ -3 B
 *  Net: ¥ -3 B
[SS] 2010-03-31
 *  Income: ¥ 434 M
 *  Net: ¥ +419 M
Financial Statement Details2009-03-312010-03-31
Issuance of new shares - -
Dividends from surplus ¥ -303 M -
Net income ¥ -3 B ¥ 434 M
Purchase of treasury stock ¥ -271 K ¥ -83 K
Other Change in Stockholders Equity ¥ -1 K ¥ -1 K
Other Change in Net Assets ¥ -61 M ¥ -14 M
Net Change in Net Assets ¥ -3 B ¥ 419 M
U-Chart(pie chart)2009-03-312010-03-31
  • 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] 2009-03-31
 *  Total: ¥ 9 B
 *  Net: ¥ 6 B
 (Ratio: 67.57%)
[BS] 2010-03-31
 *  Total: ¥ 8 B
 *  Net: ¥ 6 B
 (Ratio: 76.42%)
Financial Statement Details2009-03-312010-03-31
Cash etc. ¥ 915 M ¥ 805 M
Other Current Assets ¥ 6 B ¥ 1 B
Tangible Assets ¥ 827 M ¥ 2 B
Intangible Assets ¥ 82 M ¥ 64 M
Investment etc. ¥ 1 B ¥ 4 B
Total Assets ¥ 9 B ¥ 8 B
Current Liabilities ¥ 2 B ¥ 1 B
Fixed Liabilities ¥ 748 M ¥ 737 M
Capital stock ¥ 1 B ¥ 1 B
Capital surplus etc. ¥ 5 B ¥ 5 B
Liabilities and net assets ¥ 9 B ¥ 8 B
U-Chart(pie chart)2009-03-312010-03-31
  • Sales
  • Cost of Sales
  • Other income
  • SG&A
  • Other expenses
  • Net income
*IN(*Right half), OUT(*Left half), BALANCE(*Net Income)
[PL] 2009-03-31
 *  Sales: ¥ 5 B
 *  Income: ¥ -2 B
 (Ratio: -52.32%)
[PL] 2010-03-31
 *  Sales: ¥ 4 B
 *  Income: ¥ -29 M
 (Ratio: -0.69%)
Financial Statement Details2009-03-312010-03-31
Sales ¥ 5 B ¥ 4 B
Cost of Sales ¥ 5 B ¥ 3 B
Gross profit ¥ -270 M ¥ 539 M
Other income ¥ 268 M ¥ 186 M
SG&A ¥ 1 B ¥ 719 M
Other expenses ¥ 1 B ¥ 34 M
Net income ¥ -2 B ¥ -29 M
U-Chart(pie chart)2009-03-312010-03-31
  • 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] 2009-03-31
 *  Income: ¥ -2 B
 *  Net: ¥ -3 B
[SS] 2010-03-31
 *  Income: ¥ -29 M
 *  Net: ¥ -32 M
Financial Statement Details2009-03-312010-03-31
Issuance of new shares - -
Dividends from surplus ¥ -303 M -
Net income ¥ -2 B ¥ -29 M
Purchase of treasury stock ¥ -271 K ¥ -83 K
Other Change in Stockholders Equity ¥ -2 K -
Other Change in Net Assets ¥ -6 M ¥ -2 M
Net Change in Net Assets ¥ -3 B ¥ -32 M

Consolidated :Balance sheet (Annual ) 2008-03-312009-03-312010-03-31
   Cash and deposits¥ 3 B¥ 1 B¥ 2 B
   Notes receivable, accounts receivable from completed construction contracts¥ 146 M¥ 131 M
   Accounts receivable-trade¥ 59 M¥ 79 M
    Costs on uncompleted construction contracts¥ 655 M¥ 424 M¥ 50 M
    Real estate for sale¥ 14 B¥ 15 B¥ 1 B
    Raw materials and supplies¥ 11 M¥ 11 M
   Deferred tax assets¥ 48 M¥ 668 K¥ 34 M
    Short-term loans receivable from subsidiaries and affiliates¥ 458 M¥ 330 M
   Accounts payable for construction contracts¥ 468 M¥ 232 M
   Advances received on uncompleted construction contracts¥ 592 M¥ 391 M¥ 60 M
    Allowance for doubtful accounts¥ -12 M¥ -8 M¥ -5 M
   Other¥ 160 M¥ 145 M¥ 78 M
   Current assets¥ 25 B¥ 21 B¥ 3 B
    Buildings and structures¥ 1 B¥ 547 M¥ 10 B
    Machinery, vehicles, tools, furniture and fixtures¥ 114 M¥ 108 M¥ 212 M
    Land¥ 1 B¥ 831 M¥ 4 B
    Accumulated depreciation¥ -511 M¥ -419 M¥ -589 M
    Property, plant and equipment¥ 2 B¥ 1 B¥ 17 B
    Software¥ 1 M¥ 81 M¥ 63 M
     Other¥ 51 M¥ 2 M¥ 2 M
    Intangible assets¥ 60 M¥ 91 M¥ 73 M
     Investment securities¥ 46 M¥ 36 M¥ 33 M
     Long-term loans receivable¥ 123 M¥ 120 M¥ 115 M
     Claims provable in bankruptcy, claims provable in rehabilitation and other¥ 60 M¥ 60 M¥ 60 M
     Long-term prepaid expenses¥ 6 M¥ 5 M¥ 3 M
     Beneficiary right of real estate in trust¥ 4 B¥ 3 B
     Land in trust¥ 909 M
     Buildings in trust¥ 2 B
     Insurance funds¥ 13 M¥ 16 M¥ 14 M
     Other¥ 198 M¥ 118 M¥ 120 M
      Allowance for doubtful accounts¥ -277 M¥ -234 M¥ -233 M
    Investments and other assets¥ 599 M¥ 501 M¥ 492 M
   Noncurrent assets¥ 2 B¥ 1 B¥ 18 B
  Assets¥ 28 B¥ 23 B¥ 22 B
   Accounts payable-trade¥ 22 M¥ 18 M
   Lease obligations¥ 13 M¥ 14 M
    Provision for bonuses¥ 45 M¥ 32 M¥ 25 M
    Provision for warranties for completed construction¥ 16 M¥ 20 M¥ 12 M
    Provision for loss on litigation¥ 20 M
    Accounts payable-other¥ 108 M¥ 149 M¥ 79 M
    Income taxes payable¥ 138 M¥ 93 M¥ 14 M
    Short-term loans payable¥ 12 B¥ 13 B¥ 12 B
    Short-term loans payable to subsidiaries and affiliates¥ 2 B¥ 1 B¥ 1 B
   Other¥ 162 M¥ 67 M¥ 80 M
   Current liabilities¥ 17 B¥ 16 B¥ 13 B
    Bonds payable¥ 100 M¥ 100 M¥ 100 M
    Long-term loans payable¥ 141 M¥ 125 M
    Long-term loans payable to subsidiaries and affiliates¥ 797 M
    Provision for retirement benefits¥ 132 M¥ 153 M¥ 157 M
    Provision for directors' retirement benefits¥ 124 M¥ 136 M¥ 141 M
    Provision for loss on guarantees¥ 59 M¥ 129 M¥ 129 M
   Lease obligations¥ 81 M¥ 67 M
    Deferred tax liabilities¥ 3 M¥ 112 K
    Deferred tax liabilities for land revaluation¥ 227 M¥ 227 M¥ 227 M
    Other¥ 190 M¥ 242 M¥ 238 M
   Noncurrent liabilities¥ 837 M¥ 1 B¥ 1 B
  Liabilities¥ 18 B¥ 17 B¥ 15 B
   Capital stock¥ 1 B¥ 1 B¥ 1 B
    Capital surplus¥ 5 B¥ 5 B¥ 5 B
    Retained earnings¥ 2 B¥ -1 B¥ -305 M
   Treasury stock¥ -96 M¥ -96 M¥ -96 M
   Shareholders' equity¥ 9 B¥ 5 B¥ 6 B
   Valuation difference on available-for-sale securities¥ 5 M¥ -386 K¥ -3 M
   Revaluation reserve for land¥ 263 M¥ 263 M¥ 263 M
   Foreign currency translation adjustment¥ -18 M¥ -27 M¥ -26 M
   Valuation and translation adjustments¥ 251 M¥ 235 M¥ 234 M
  Minority interests¥ 282 M¥ 236 M¥ 222 M
  Net assets¥ 9 B¥ 6 B¥ 6 B
 Liabilities and net assets¥ 28 B¥ 23 B¥ 22 B
   Notes receivable, accounts receivable from completed construction contracts and other¥ 390 M
    Costs on real estate business¥ 939 M
Consolidated :Income statement (Annual ) 2008-03-312009-03-312010-03-31
  Net sales of completed construction contracts¥ 4 B¥ 4 B¥ 4 B
  Cost of sales of completed construction contracts¥ 4 B¥ 3 B¥ 3 B
  Gross profit on completed construction contracts¥ 414 M¥ 491 M¥ 424 M
  Borrowing expenses¥ 40 M¥ 39 M
   Net sales¥ 13 B¥ 7 B¥ 6 B
   Cost of sales¥ 10 B¥ 8 B¥ 5 B
    Selling, general and administrative expenses¥ 1 B¥ 1 B¥ 919 M
 Gross profit¥ 3 B¥ -318 M¥ 1 B
 Operating income¥ 2 B¥ -1 B¥ 629 M
  Interest income¥ 12 M¥ 32 M¥ 19 M
  Guarantee commission received¥ 21 M
  Other¥ 17 M¥ 43 M¥ 27 M
  Non-operating income¥ 42 M¥ 75 M¥ 68 M
  Interest expenses¥ 267 M¥ 317 M¥ 276 M
  Other¥ 4 M¥ 19 M¥ 9 M
  Non-operating expenses¥ 312 M¥ 376 M¥ 285 M
 Ordinary income¥ 2 B¥ -2 B¥ 412 M
  Gain on sales of noncurrent assets¥ 317 K¥ 283 K
  Reversal of allowance for doubtful accounts¥ 55 M¥ 4 M
  Surrender value of insurance¥ 6 M
  Settlement received¥ 2 M
  Extraordinary income¥ 201 M¥ 62 M¥ 7 M
  Loss on sales of noncurrent assets¥ 294 M
  Impairment loss¥ 46 M¥ 281 M
  Loss on retirement of noncurrent assets¥ 189 K¥ 162 K
  Provision for loss on guarantees¥ 70 M
  Loss on valuation of inventories¥ 252 M
  Provision for loss on litigation¥ 20 M¥ 22 M
  Other¥ 1 M¥ 35 M
  Extraordinary loss¥ 103 M¥ 954 M¥ 22 M
 Income before income taxes¥ 2 B¥ -3 B¥ 397 M
 Income taxes¥ 363 M¥ 167 M¥ -23 M
  Income taxes-current¥ 218 M¥ 119 M¥ 10 M
  Income taxes-deferred¥ 145 M¥ 47 M¥ -34 M
 Minority interests in income¥ -5 M¥ -3 M¥ -13 M
 Net income¥ 2 B¥ -3 B¥ 434 M
  Foreign exchange gains¥ 11 M
  Merger expenses¥ 11 M
  Loss on valuation of investment securities¥ 1 M
  Directors' retirement benefits¥ 17 M
  Provision for directors' retirement benefits for prior periods¥ 26 M
Consolidated :Cash flow statement (Annual ) 2008-03-312009-03-312010-03-31
   Increase (decrease) in advances received on uncompleted construction contracts¥ -8 M¥ -200 M¥ -331 M
   Decrease (increase) in costs on uncompleted construction contracts¥ 179 M¥ 373 M
  Subtotal¥ -2 B¥ -619 M¥ 1 B
   Depreciation and amortization¥ 60 M¥ 32 M¥ 175 M
   Impairment loss¥ 46 M¥ 281 M
   Increase (decrease) in allowance for doubtful accounts¥ 13 M¥ -47 M¥ -4 M
   Interest and dividends income¥ -13 M¥ -33 M¥ -19 M
   Interest expenses¥ 267 M¥ 317 M¥ 276 M
   Decrease (increase) in notes and accounts receivable-trade¥ 39 M¥ 260 M¥ -3 M
   Increase (decrease) in notes and accounts payable-trade¥ 521 M¥ -608 M¥ -240 M
   Increase (decrease) in provision for bonuses¥ 9 M¥ -13 M¥ -6 M
   Increase (decrease) in provision for directors' retirement benefits¥ 43 M¥ 11 M¥ 5 M
   Increase (decrease) in provision for retirement benefits¥ 11 M¥ 21 M¥ 4 M
   Increase (decrease) in provision for warranties for completed construction¥ 400 K¥ 4 M¥ -7 M
   Increase (decrease) in provision for loss on guarantees¥ 70 M
   Loss (gain) on sales and retirement of property, plant and equipment¥ 189 K¥ 294 M¥ -283 K
   Loss on valuation of inventories¥ 252 M
   Decrease (increase) in real estate for sale¥ -1 B¥ 1 B¥ 747 M
   Decrease (increase) in consumption taxes refund receivable¥ 269 K¥ -57 M¥ 53 M
   Increase (decrease) in accrued consumption taxes¥ -60 M¥ -20 M¥ 27 M
   Other, net¥ 190 M¥ 83 M¥ -52 M
  Interest and dividends income received¥ 13 M¥ 28 M¥ 22 M
  Interest expenses paid¥ -281 M¥ -305 M¥ -286 M
  Income taxes paid¥ -644 M¥ -145 M¥ -88 M
  Income taxes refund¥ 101 K¥ 108 M¥ 3 M
  Net cash provided by (used in) operating activities¥ -3 B¥ -933 M¥ 1 B
  Purchase of property, plant and equipment¥ -18 M¥ -5 M¥ -3 M
  Proceeds from sales of property, plant and equipment¥ 679 M¥ 11 M
  Collection of loans receivable¥ 7 M¥ 5 M¥ 5 M
  Purchase of intangible assets¥ -25 M¥ -643 K
  Payments of loans receivable from subsidiaries and affiliates¥ -6 B
  Payments into time deposits¥ -120 M¥ -1 B¥ -922 M
  Proceeds from withdrawal of time deposits¥ 250 M¥ 940 M¥ 857 M
  Other, net¥ -20 M¥ 55 M¥ 29 M
  Net cash provided by (used in) investing activities¥ 454 M¥ 1 M¥ 105 M
  Proceeds from long-term loans payable¥ 160 M¥ 100 M
  Repayment of long-term loans payable¥ -55 M¥ -46 M¥ -116 M
  Cash dividends paid¥ -48 M¥ -304 M
  Net increase (decrease) in short-term loans payable¥ 1 B¥ 324 M¥ -745 M
  Repayments of lease obligations¥ -8 M¥ -13 M
  Other, net¥ -405 K¥ -271 K¥ 2 K
  Net cash provided by (used in) financing activities¥ 1 B¥ -613 M¥ -799 M
 Effect of exchange rate change on cash and cash equivalents¥ 2 M¥ 15 M¥ -837 K
 Net increase (decrease) in cash and cash equivalents¥ -689 M¥ -1 B¥ 328 M
 Decrease in cash and cash equivalents resulting from exclusion of subsidiaries from consolidation¥ -115 M
 Cash and cash equivalents¥ 2 B¥ 967 M¥ 1 B
   Decrease (increase) in costs on uncompleted construction contracts and other¥ -227 M
 Increase in cash and cash equivalents resulting from merger¥ 790 M
Consolidated :Shareowners' equity (Annual ) 2008-03-312009-03-312010-03-31
    Total changes of items during the period
     Total changes of items during the period¥ 4 B¥ -646 M
     Dividends from surplus¥ -49 M¥ -303 M
     Total changes of items during the period¥ 1 B¥ -3 B¥ 1 B
    Purchase of treasury stock¥ -405 K¥ -271 K¥ -83 K
    Total changes of items during the period¥ -94 M¥ -271 K¥ -83 K
    Dividends from surplus¥ -49 M¥ -303 M
    Net income¥ 2 B¥ -3 B¥ 434 M
    Purchase of treasury stock¥ -405 K¥ -271 K¥ -83 K
    Total changes of items during the period¥ 6 B¥ -3 B¥ 434 M
    Net changes of items other than shareholders' equity¥ -2 M¥ -6 M¥ -2 M
    Total changes of items during the period¥ -2 M¥ -6 M¥ -2 M
    Net changes of items other than shareholders' equity¥ 4 M
    Total changes of items during the period¥ 4 M
    Net changes of items other than shareholders' equity¥ -514 K¥ -9 M¥ 1 M
    Total changes of items during the period¥ -514 K¥ -9 M¥ 1 M
    Net changes of items other than shareholders' equity¥ 1 M¥ -15 M¥ -1 M
    Total changes of items during the period¥ 1 M¥ -15 M¥ -1 M
   Net changes of items other than shareholders' equity¥ -3 M¥ -45 M¥ -13 M
   Total changes of items during the period¥ -3 M¥ -45 M¥ -13 M
   Dividends from surplus¥ -49 M¥ -303 M
   Net income¥ 2 B¥ -3 B¥ 434 M
   Purchase of treasury stock¥ -405 K¥ -271 K¥ -83 K
   Net changes of items other than shareholders' equity¥ -2 M¥ -61 M¥ -14 M
   Total changes of items during the period¥ 6 B¥ -3 B¥ 419 M
     Reversal of revaluation reserve for land¥ -4 M
    Reversal of revaluation reserve for land¥ -4 M
   Reversal of revaluation reserve for land¥ -4 M

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Ticker Market Industry Month report Rating
@ AS-SZKi 1995 OSE JASDAQ Construction 3 Annual BBB

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