連結財政状態計算書(連結貸借対照表) (四半期)

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