連結財政状態計算書(IFRS) ( 単位:百万円 ) 資産 流動資産 現金及び現金同等物 営業債権及びその他の債権 棚卸資産 その他の金融資産 その他の流動資産 流動資産合計 非流動資産 有形固定資産 のれん 無形資産 持分法で会計処理されている投資 その他の金融資産 繰延税金資産 その他の非流動資産 非流動資産合計 資産合計 2013/6 2013/9 2013/12 2014/3 2014/6 2014/9 2014/12 2015/3 2015/6 2015/9 2015/12 2016/3 2016/6 391,258 145,961 142 19,218 2,940 559,521 397,923 145,745 132 65,113 3,026 611,942 379,682 158,895 132 63,149 5,944 607,805 482,336 160,396 112 12,313 3,547 658,706 443,662 156,845 207 12,844 4,351 617,911 485,335 160,785 224 14,974 4,376 665,696 479,934 184,637 212 13,208 3,942 681,934 503,937 217,736 419 15,901 3,832 741,827 457,978 221,368 401 17,429 5,078 702,255 521,829 261,273 13,098 23,006 6,181 825,389 520,828 312,218 13,560 21,443 6,108 874,158 449,164 305,758 14,902 30,118 6,436 806,380 400,218 305,109 14,355 32,657 8,168 760,509 51,443 14,395 17,233 40,366 35,890 12,677 845 172,840 732,361 50,721 16,119 17,567 39,553 37,113 13,872 903 175,851 787,793 55,678 15,808 18,274 39,725 42,324 11,605 1,128 184,545 792,350 60,145 15,808 17,860 34,364 49,532 12,468 1,101 191,281 849,987 62,121 15,808 20,691 60,275 39,749 6,404 1,271 206,322 824,234 62,220 20,771 22,033 60,111 43,607 8,749 1,493 218,986 884,683 63,831 67,465 18,962 27,673 28,134 32,382 60,893 61,671 48,009 58,104 6,225 15,105 1,606 3,372 227,664 265,774 909,599 1,007,602 2013/6 2013/9 2013/12 2014/3 2014/6 2014/9 2014/12 2015/3 2015/6 2015/9 2015/12 2016/3 2016/6 129,180 3,917 18,797 4,142 17,104 173,142 133,264 3,492 39,063 3,163 17,723 196,707 138,987 6,088 22,297 3,183 18,341 188,897 142,562 5,108 45,655 2,951 22,057 218,335 142,443 4,204 14,862 2,614 19,617 183,743 145,967 6,820 33,854 2,782 23,376 212,800 155,439 12,222 12,462 2,322 25,304 207,751 158,979 9,671 33,071 6,398 31,651 239,772 168,372 9,396 16,899 5,957 22,290 222,916 228,511 15,782 33,737 7,379 29,096 314,508 271,667 16,493 16,168 7,839 26,941 339,110 270,766 18,287 30,782 12,547 33,638 366,022 248,545 28,742 17,881 11,108 31,498 337,776 142 2,457 40 1,085 3,726 176,868 134 2,468 40 1,118 3,762 200,470 133 2,493 56 1,099 3,781 192,679 128 2,655 37 1,112 3,933 222,269 121 2,582 85 1,146 3,935 187,678 114 2,819 42 1,156 4,133 216,933 163 2,716 26 1,151 4,057 211,808 920 22,841 28 3,485 27,276 267,048 832 25,237 46 3,537 29,655 252,572 11,107 25,444 22,863 5,594 64,919 379,428 10,285 24,643 21,470 5,664 62,063 401,173 10,562 20,089 27,515 5,844 64,012 430,035 15,051 19,837 26,979 6,199 68,067 405,844 8,139 3,750 533,248 (372) 3,481 548,248 7,244 555,493 732,361 8,203 3,802 564,503 (372) 3,724 579,860 7,462 587,322 787,793 8,240 3,870 595,942 (21,795) 5,666 591,924 7,747 599,671 792,350 8,271 3,892 598,012 (526) 10,032 619,682 8,036 627,718 849,987 8,276 3,912 609,205 (521) 7,389 628,262 8,293 636,555 824,234 8,278 3,927 639,407 (1,316) 8,700 658,998 8,751 667,749 884,683 8,279 8,281 1,414 1,235 672,884 705,839 (1,316) (1,316) 9,565 11,962 690,827 726,002 6,962 14,551 697,790 740,554 909,599 1,007,602 70,249 111,184 112,847 121,133 121,140 27,672 83,379 84,316 156,362 157,922 34,275 106,977 103,375 128,711 129,565 62,389 30,455 30,887 34,257 35,722 63,821 67,957 76,321 70,321 72,387 13,508 19,094 17,530 23,331 23,521 3,237 3,412 1,949 2,300 2,735 275,154 422,460 427,227 536,419 542,994 977,409 1,247,850 1,301,386 1,342,799 1,303,503 ( 単位:百万円 ) 負債 流動負債 営業債務及びその他の債務 その他の金融負債 未払法人所得税 引当金 その他の流動負債 流動負債合計 非流動負債 その他の金融負債 引当金 繰延税金負債 その他の非流動負債 非流動負債合計 負債合計 資本 親会社の所有者に帰属する持分 資本金 資本剰余金 利益剰余金 自己株式 その他の包括利益累計額 親会社の所有者に帰属する持分合計 非支配持分 資本合計 負債及び資本合計 8,302 8,328 8,354 8,358 8,388 1,249 1,231 1,240 (3,081) (3,069) 688,787 780,154 808,938 827,024 812,097 (1,316) (1,316) (1,316) (1,316) (1,316) 13,509 10,467 14,744 13,180 12,735 710,532 798,866 831,962 844,165 828,835 14,305 69,555 68,250 68,598 68,823 724,837 868,421 900,212 912,764 897,659 977,409 1,247,850 1,301,386 1,342,799 1,303,503 注: 2014年4-6月期より国際会計基準(IFRS)を適用しています。(移行日:2013年4月1日) 2013年度についてもIFRSに準拠して表示しています。 連結貸借対照表(日本基準) ( 単位:百万円 ) 2008/9 資産の部 流動資産 現金及び預金 売掛金 たな卸資産 外国為替取引顧客預託金 繰延税金資産 その他 貸倒引当金 流動資産合計 固定資産 有形固定資産 建物及び構築物 機械装置 工具器具備品 土地 その他 有形固定資産計 無形固定資産 ソフトウェア のれん その他 無形固定資産計 投資その他の資産 投資有価証券 長期未収入金 繰延税金資産 その他 貸倒引当金 投資その他の資産計 固定資産合計 資産合計 2008/12 2009/3 2009/6 2009/9 2009/12 2010/3 2010/6 2010/9 2010/12 2011/3 2011/6 2011/9 2011/12 2012/3 2012/6 2012/9 2012/12 2013/3 2013/6 2013/9 2013/12 2014/3 76,769 34,071 190 3,628 14,181 (1,527) 127,314 74,891 33,907 194 2,918 17,119 (1,493) 127,537 36,996 34,825 257 3,600 17,169 (1,458) 91,390 52,409 33,540 222 4,021 16,779 (1,371) 105,602 90,255 33,542 209 5,359 15,929 (1,365) 143,931 99,307 35,829 198 5,432 22,967 (1,432) 162,301 139,238 37,391 201 6,687 21,279 (1,455) 203,342 103,241 34,491 192 4,048 47,452 (1,514) 187,912 136,290 33,315 159 5,209 21,660 (1,514) 195,121 147,574 36,137 159 4,135 26,996 (1,574) 213,428 188,687 36,945 158 5,522 22,807 (1,570) 252,550 175,266 33,719 170 3,325 26,570 (1,520) 237,532 213,155 34,651 117 4,777 24,400 (1,486) 275,617 216,267 41,448 146 4,440 30,737 (1,546) 291,493 257,268 45,222 135 4,639 151,348 (1,610) 457,004 215,143 42,313 114 3,224 149,234 (1,461) 408,569 256,155 45,515 149 4,540 141,398 (1,458) 446,300 268,203 52,217 145 4,594 148,493 (1,632) 472,021 414,086 55,939 163 68,451 7,397 31,626 (1,563) 576,102 395,750 51,948 142 70,928 4,723 40,890 (1,317) 563,066 448,215 53,653 132 73,475 6,144 36,680 (1,277) 617,023 429,974 56,583 132 77,644 4,580 43,505 (1,324) 611,096 482,628 61,154 244 75,170 7,543 39,867 (1,351) 665,257 2,943 13,197 17 16,157 3,000 12,314 19 15,333 6,217 4,734 11,101 5,001 2,129 29,184 6,969 5,696 10,451 5,001 145 28,264 6,833 5,697 9,824 5,001 196 27,553 6,797 5,776 9,223 5,001 205 27,004 6,631 5,702 9,220 5,002 562 27,120 7,088 5,907 9,410 5,002 420 27,828 7,120 5,965 9,104 5,002 499 27,692 6,944 6,074 9,480 5,002 316 27,817 6,806 5,980 10,179 5,425 466 28,859 7,019 5,877 11,039 5,425 661 30,023 6,942 5,833 10,657 5,425 3,439 32,298 8,171 7,661 11,985 5,425 295 33,539 8,230 7,565 12,483 5,425 809 34,513 8,627 9,156 12,784 5,425 923 36,918 8,669 8,981 12,848 5,425 1,581 37,505 11,334 10,877 12,934 5,425 934 41,506 11,088 10,748 13,020 5,425 4,896 45,179 13,421 11,800 14,250 5,425 702 45,601 13,248 11,538 13,872 5,425 712 44,798 15,741 12,461 15,924 5,425 3 49,555 16,735 12,245 19,237 5,425 53 53,697 12,040 2,302 188 14,531 12,052 2,458 56 14,567 12,200 6,423 56 18,680 11,981 5,622 55 17,659 11,390 5,038 54 16,483 10,806 4,841 30 15,678 10,026 4,896 28 14,950 9,683 4,686 27 14,396 9,276 5,174 27 14,478 9,206 4,734 435 14,376 9,410 1,349 416 11,176 9,717 1,241 403 11,361 10,100 1,132 389 11,622 10,280 1,024 376 11,681 11,095 591 363 12,050 10,926 752 389 12,068 11,052 2,845 377 14,275 11,360 4,034 408 15,803 12,003 11,914 4,907 28,824 12,522 10,652 4,695 27,870 12,609 11,754 4,943 29,307 13,546 10,838 4,712 29,098 13,641 10,218 4,203 28,063 161,831 5,203 6,005 (56) 172,984 203,674 330,988 161,160 5,377 6,456 (57) 172,936 202,838 330,375 157,891 7,248 7,269 (114) 172,295 220,160 311,551 158,055 7,121 6,701 (129) 171,748 217,672 323,274 157,632 7,395 6,657 (145) 171,539 215,575 359,507 157,408 7,210 6,692 (145) 171,166 213,848 376,150 159,993 6,313 6,615 (72) 172,849 214,920 418,262 160,776 7,359 6,613 (74) 174,674 216,899 404,812 162,513 7,399 6,416 (72) 176,256 218,427 413,548 163,874 6,264 6,444 (47) 176,535 218,729 432,158 43,035 122,646 6,667 6,965 (155) 179,159 219,194 471,745 42,424 122,646 6,744 7,442 (118) 179,138 220,523 458,056 42,017 123,580 6,297 8,008 (119) 179,786 223,707 499,324 41,111 123,580 5,991 8,375 (120) 178,938 224,159 515,653 42,754 2,943 5,407 7,370 (23) 58,453 105,017 562,022 76,188 2,943 5,510 7,587 (21) 92,207 141,194 549,763 77,925 2,943 5,196 7,639 (22) 93,682 145,463 591,763 78,242 2,262 5,288 7,812 (23) 93,582 150,893 622,915 80,913 2,262 2,781 7,290 (42) 93,204 167,209 743,311 80,294 2,262 4,304 7,256 (24) 94,093 167,565 730,631 80,768 2,262 4,112 7,267 (25) 94,385 168,490 785,514 85,803 2,262 3,631 7,455 (18) 99,134 177,789 788,885 82,478 1,451 3,154 8,664 (18) 95,730 177,491 842,749 2009/3 2009/6 2009/9 2010/3 2010/6 2010/9 2011/3 2011/6 2011/9 2012/3 2012/6 2012/9 2013/3 2013/6 2013/9 ( 単位:百万円 ) 2008/9 負債の部 流動負債 買掛金 短期借入金 未払金 未払法人税等 ポイント引当金 外国為替取引顧客預り証拠金 その他 流動負債合計 固定負債 長期借入金 その他 固定負債合計 負債合計 純資産の部 株主資本 資本金 資本剰余金 利益剰余金 自己株式 株主資本合計 その他の包括利益累計額 新株予約権 少数株主持分 純資産合計 負債、純資産合計 5,272 20,020 10,696 27,449 2,469 16,498 82,405 2008/12 2009/12 2010/12 2011/12 2012/12 2013/12 2014/3 5,062 20,020 11,237 13,648 2,531 21,030 73,529 5,329 20,000 13,718 3,286 2,767 19,612 64,713 5,847 20,000 11,100 13,735 3,113 20,232 74,030 6,373 20,000 10,467 30,116 3,352 19,464 89,773 7,006 10,000 11,762 30,845 3,742 24,859 88,217 7,502 10,000 13,099 47,107 3,919 23,940 105,569 6,884 12,163 37,635 3,964 25,107 85,755 6,165 13,280 29,501 3,977 22,965 75,891 6,067 15,103 15,132 3,846 28,787 68,938 7,124 15,585 33,407 3,591 24,287 83,997 7,158 13,962 13,354 3,721 27,203 65,400 7,708 15,469 31,336 3,869 24,257 82,641 5,720 15,970 16,084 4,163 31,056 72,995 6,640 16,915 34,765 4,102 28,560 90,985 7,901 16,564 15,200 4,040 29,137 72,844 10,089 14,830 33,258 4,004 25,758 87,940 7,597 16,673 19,903 4,410 34,212 82,796 10,970 21,655 42,255 4,262 72,485 37,460 189,088 13,884 16,549 18,577 4,108 80,991 34,347 168,458 15,295 18,957 39,134 3,133 82,669 33,102 192,293 9,316 22,200 22,094 3,157 84,533 43,057 184,360 12,363 25,070 45,785 2,929 81,594 45,378 213,121 20,000 92 20,092 102,497 10,000 143 10,143 83,673 10,000 367 10,367 75,081 359 359 74,389 320 320 90,093 294 294 88,511 419 419 105,988 2,438 2,438 88,194 2,404 2,404 78,295 2,294 2,294 71,233 2,642 2,642 86,639 2,696 2,696 68,096 2,671 2,671 85,313 2,685 2,685 75,680 2,736 2,736 93,721 3,401 3,401 76,246 2,820 2,820 90,761 2,866 2,866 85,663 2,957 2,957 192,046 2,942 2,942 171,401 2,925 2,925 195,219 2,947 2,947 187,308 3,066 3,066 216,188 7,376 2,457 215,244 (0) 225,078 515 178 2,718 228,490 330,988 7,428 2,509 234,378 (0) 244,315 236 216 1,933 246,702 330,375 7,444 2,525 223,955 233,925 219 259 2,066 236,469 311,551 7,450 2,531 235,615 245,596 608 300 2,379 248,884 323,274 7,460 2,541 256,276 266,278 387 346 2,399 269,413 359,507 7,485 2,566 277,137 (2,863) 284,326 480 400 2,431 287,639 376,150 7,521 2,602 300,496 (3,068) 307,550 2,004 450 2,267 312,273 418,262 7,531 2,612 305,437 (3,068) 312,512 1,286 500 2,318 316,618 404,812 7,553 2,635 326,877 (5,604) 331,462 827 547 2,415 335,252 413,548 7,795 2,877 351,430 (5,604) 356,499 1,761 590 2,074 360,925 432,158 7,925 3,007 375,850 (5,604) 381,179 1,205 563 2,157 385,105 471,745 7,933 3,014 380,787 (5,604) 386,131 898 655 2,275 389,960 458,056 7,933 3,014 405,034 (5,608) 410,372 568 696 2,373 414,011 499,324 7,942 3,023 430,836 (5,608) 436,193 561 736 2,482 439,972 515,653 7,959 3,040 458,285 (5,608) 463,675 1,533 749 2,341 468,300 562,022 8,022 3,103 463,392 (5,608) 468,909 1,501 779 2,325 473,516 549,763 8,022 3,103 490,520 (5,608) 496,036 1,788 763 2,414 501,002 591,763 8,022 3,103 521,467 (5,608) 526,983 2,321 781 7,165 537,252 622,915 8,037 3,117 528,081 (372) 538,864 4,594 570 7,234 551,264 743,311 8,139 3,220 537,382 (372) 548,369 3,065 687 7,107 559,230 730,631 8,203 3,283 567,792 (372) 578,906 3,385 677 7,324 590,294 785,514 8,240 3,320 598,308 (21,795) 588,073 5,183 710 7,609 601,576 788,885 8,271 3,351 600,456 (526) 611,553 6,408 700 7,898 626,560 842,749 連結貸借対照表(日本基準) ( 単位:百万円 ) 2001/9 資産の部 流動資産 現金及び預金 売掛金 たな卸資産 外国為替取引顧客預託金 繰延税金資産 その他 貸倒引当金 流動資産合計 固定資産 有形固定資産 建物及び構築物 機械装置 工具器具備品 土地 その他 有形固定資産計 無形固定資産 ソフトウェア のれん その他 無形固定資産計 投資その他の資産 投資有価証券 長期未収入金 繰延税金資産 その他 貸倒引当金 投資その他の資産計 固定資産合計 資産合計 2001/12 2002/3 2002/6 2002/9 2002/12 2003/3 2003/6 2003/9 2003/12 2004/3 2004/6 2004/9 2004/12 2005/3 2005/6 2005/9 2005/12 2006/3 2006/6 2006/9 2006/12 2007/3 2007/6 2007/9 2007/12 2008/3 2008/6 709 3,435 833 184 4,976 (38) 10,102 6,450 2,654 998 184 566 (38) 10,816 7,341 4,942 6 373 2,435 (46) 15,053 8,131 6,718 7 373 621 (23) 15,829 14,535 7,043 10 468 558 (169) 22,447 16,607 8,774 6 468 472 (213) 26,116 23,215 11,034 14 1,004 507 (290) 35,485 21,210 8,586 9 1,004 673 (266) 31,217 24,291 9,576 33 832 917 (372) 35,277 28,439 11,122 71 823 1,580 (515) 41,521 39,643 12,847 48 1,850 2,070 (733) 55,726 40,251 14,127 44 1,151 2,033 (811) 56,796 50,730 15,718 74 1,345 1,440 (999) 68,308 54,565 18,108 47 1,278 2,651 (1,207) 75,444 68,992 18,293 180 2,233 4,075 (1,364) 92,410 53,365 18,884 167 1,669 5,942 (1,378) 78,651 71,542 19,665 132 2,565 7,148 (1,577) 99,476 78,025 22,386 118 2,598 8,212 (1,795) 109,546 98,038 25,213 165 3,472 7,104 (1,805) 132,188 48,900 26,415 119 2,233 8,372 (2,195) 83,845 50,801 27,014 118 3,113 7,675 (2,382) 86,340 51,461 27,842 119 2,901 7,884 (2,188) 88,020 75,212 30,244 173 4,344 7,645 (2,299) 115,320 55,373 28,372 147 3,210 8,783 (2,455) 93,431 86,897 30,003 151 3,735 11,700 (2,430) 130,058 81,907 34,535 149 3,215 12,516 (2,341) 129,983 113,027 36,831 240 4,305 12,000 (2,095) 164,310 66,698 34,192 192 2,584 12,981 (1,749) 114,899 354 2,874 3,228 343 3,104 3,448 326 2,933 3,259 329 3,210 3,540 327 3,382 3,709 313 3,646 784 4,744 1,494 4,321 5,816 1,214 5,151 6,365 1,239 5,901 7,140 1,189 6,215 0 7,405 1,328 6,746 0 8,075 1,333 7,569 0 8,903 1,486 8,956 0 10,442 1,670 9,967 0 11,637 1,597 10,095 182 11,875 1,624 10,730 51 12,406 1,584 10,883 56 12,525 1,571 11,631 45 13,248 1,518 12,414 82 14,015 1,714 12,467 88 14,270 1,560 12,769 152 14,482 1,490 12,687 390 14,568 3,483 13,004 62 16,551 3,378 12,829 32 16,240 3,451 12,930 36 16,418 3,415 12,822 49 16,287 3,175 13,394 53 16,623 3,066 13,292 32 16,391 155 768 2 927 443 903 4 1,351 474 806 4 1,285 666 725 5 1,398 744 645 9 1,399 768 564 9 1,342 702 99 9 811 721 83 9 814 851 66 9 927 1,104 399 11 1,514 1,281 352 12 1,646 1,761 428 12 2,203 2,413 367 12 2,792 2,931 1,917 26 4,875 3,733 1,807 22 5,563 4,135 1,765 21 5,922 5,144 1,509 20 6,675 6,417 3,567 22 10,008 7,545 4,128 28 11,702 8,145 4,359 28 12,532 9,119 4,035 27 13,181 9,779 3,695 32 13,507 10,589 4,061 33 14,684 10,798 3,687 32 14,518 11,130 5,238 32 16,401 11,339 4,765 31 16,137 11,247 2,525 30 13,803 11,638 2,940 29 14,608 10,512 1,501 12,014 16,814 27,631 8,209 1,410 9,619 14,165 29,218 7,282 1,415 8,697 13,636 29,465 5,337 1,438 (9) 6,766 11,876 34,323 3,658 2,268 (9) 5,917 12,004 38,121 7,954 7,643 (52) 15,545 24,464 65,986 9,194 7,821 (53) 16,962 26,683 82,410 10,689 7,825 (83) 18,430 29,537 86,333 29,278 116 4,054 (22) 33,427 56,684 166,230 28,700 4,389 (21) 33,067 58,785 190,974 146,024 127 4,903 (22) 151,033 177,837 261,682 166,505 1,173 4,260 (22) 171,917 199,581 285,922 165,304 1,853 4,316 (22) 171,451 199,527 287,547 162,192 2,990 6,712 (23) 171,871 203,107 318,428 165,856 3,411 5,984 (23) 175,228 205,987 299,419 161,301 3,858 7,064 (2) 172,222 205,041 335,100 163,807 3,755 7,041 (2) 174,602 207,026 337,010 163,922 3,898 7,120 (18) 174,922 205,349 369,660 161,684 4,750 6,216 (42) 172,608 203,608 318,507 2006/3 2006/6 2006/9 2007/3 2007/6 2007/9 2008/3 2008/6 9,011 1,499 10,510 14,666 24,769 3,195 2,474 (8) 5,660 12,288 47,774 3,740 2,137 (8) 5,868 13,048 44,266 7,357 7,661 (52) 14,965 23,033 58,311 10,417 8,416 (90) 18,743 31,978 100,287 9,716 6 7,414 (74) 17,062 33,575 109,019 13,946 16 6,481 (50) 20,393 37,833 130,244 26,922 32 5,921 (9) 32,867 51,196 129,847 27,538 27 5,097 (26) 32,637 51,838 151,314 2005/3 2005/6 2005/9 ( 単位:百万円 ) 2001/9 負債の部 流動負債 買掛金 短期借入金 未払金 未払法人税等 ポイント引当金 外国為替取引顧客預り証拠金 その他 流動負債合計 固定負債 長期借入金 その他 固定負債合計 負債合計 純資産の部 株主資本 資本金 資本剰余金 利益剰余金 自己株式 株主資本合計 その他の包括利益累計額 新株予約権 少数株主持分 純資産合計 負債、純資産合計 2001/12 2002/3 2002/6 2002/9 2002/12 2003/3 2003/6 2003/9 2003/12 2004/3 2004/6 2004/9 2004/12 2005/12 761 20,168 10,072 9,355 1,432 7,766 49,558 802 20,199 11,222 21,070 1,536 8,322 63,152 2006/12 840 20,120 11,648 14,874 1,796 10,710 59,990 1,022 20,120 13,345 28,371 2,065 11,106 76,032 915 20,120 10,888 11,429 2,173 11,249 56,776 3,713 20,120 16,162 24,756 2,148 12,697 79,598 2007/12 1,728 1,822 1,780 487 5,817 1,347 1,209 1,808 649 5,014 1,111 1,164 3,760 875 6,911 1,581 1,478 1,734 735 5,529 1,812 2,062 4,251 1,119 9,246 2,458 2,451 4,491 1,255 10,656 3,697 3,405 8,505 1,558 17,167 542 3,348 3,511 1,281 8,684 515 3,573 6,709 1,789 12,587 558 3,645 5,859 2,430 12,493 636 400 4,181 11,688 2,655 19,563 604 436 5,236 4,948 2,296 13,523 834 204 7,087 10,663 20 2,332 21,142 1,312 193 7,035 8,363 280 4,193 21,379 1,228 319 7,618 16,676 477 5,243 31,564 1,299 349 7,916 7,284 703 5,414 22,967 1,146 239 10,216 16,242 934 5,086 33,865 2,652 232 11,236 12,836 1,158 6,670 34,787 889 208 12,418 23,484 1,336 7,151 45,489 6,308 20,120 12,873 14,026 2,210 17,759 73,299 6,620 20,000 13,744 29,154 2,292 17,164 88,976 4,797 20,020 16,933 12,313 2,396 17,409 73,870 2,169 2,169 7,987 3,139 3,139 8,154 2,023 2,023 8,935 1,800 1,800 7,330 886 886 10,133 388 388 11,045 54 54 17,222 172 172 8,856 1,760 1,760 14,348 2,300 2,300 14,794 2,772 2,772 22,335 79 3,407 3,486 17,009 79 2,421 2,500 23,643 79 1,882 1,962 23,342 43 2,115 2,158 33,723 43 2,650 2,693 25,660 43 2,130 2,173 36,039 70 2,193 2,264 37,051 30 1,632 1,663 47,152 60,090 830 60,921 110,479 60,070 9 60,079 123,232 50,000 10 50,010 110,000 50,000 10 50,010 126,043 40,000 10 40,010 96,787 40,000 9 40,009 119,608 30,000 10 30,010 103,309 30,000 10 30,010 118,987 20,000 11 20,011 93,882 6,023 1,099 6,744 (4) 13,863 2,905 13 16,782 24,769 6,023 1,099 8,265 (15) 15,373 3,996 106 19,476 27,631 6,033 1,110 10,220 (15) 17,349 2,878 56 20,283 29,218 6,072 1,154 12,382 (15) 19,593 2,506 36 22,135 29,465 6,073 1,154 15,182 (15) 22,394 1,694 101 24,190 34,323 6,073 1,154 18,737 (16) 25,948 1,041 86 27,075 38,121 6,073 1,154 22,301 (17) 29,511 970 69 30,551 47,774 6,076 1,157 26,779 (17) 33,996 1,350 63 35,409 44,266 6,181 1,262 32,691 (20) 40,115 3,733 113 43,962 58,311 6,265 1,346 39,340 (20) 46,932 4,121 137 51,192 65,986 6,399 1,480 47,066 (21) 54,926 4,880 267 60,074 82,410 6,438 1,519 55,250 (22) 63,185 5,827 310 69,324 86,333 6,503 1,584 63,892 (26) 71,953 4,374 315 76,644 100,287 6,637 1,718 73,144 (27) 81,472 3,753 451 85,677 109,019 6,692 1,773 83,461 (27) 91,898 4,161 461 96,520 130,244 6,724 1,805 89,957 (27) 98,459 5,272 454 104,186 129,847 6,803 1,884 101,100 (27) 109,761 4,887 626 115,275 151,314 6,906 1,987 113,746 (27) 122,612 5,368 1,198 129,178 166,230 7,032 2,113 126,737 (28) 135,856 6,598 1,367 143,822 190,974 7,066 2,147 135,130 (28) 144,315 5,564 0 1,322 151,203 261,682 7,100 2,181 148,734 (28) 157,987 3,295 4 1,402 162,689 285,922 7,163 2,244 163,913 (28) 173,293 2,711 17 1,524 177,547 287,547 7,187 2,268 179,897 (28) 189,324 1,368 30 1,662 192,385 318,428 7,215 2,296 190,281 (28) 199,764 1,025 44 1,796 202,631 299,419 7,227 2,308 203,342 (28) 212,851 514 65 2,060 215,491 335,100 7,317 2,398 220,519 (28) 230,208 1,140 90 2,261 233,700 337,010 7,366 2,447 236,605 (28) 246,390 1,716 116 2,449 250,672 369,660 7,372 2,453 249,476 (38,183) 221,119 811 147 2,547 224,625 318,507
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