Chugin Financial Group, Inc.JP:5832

Market cap
¥265.9B
P/E ratio
37.4x
Mar 31,
2022
Mar 31,
2023
Mar 31,
2024
Cash and due from banks-1,510,3941,418,224
Cash and deposits-6,2646,930
Income taxes refund receivable-1,802627
Other--9
Current assets-8,0667,568
Call loans-178,907192,117
Buildings-88
Tools, furniture and fixtures, net---
Property, plant and equipment-35,63135,622
Buildings, net-10,0439,391
Land-18,82719,030
Construction in progress-62177
Leased assets, net-1,5951,344
Other, net-5,1015,679
Other-9393
Intangible assets-1,7122,301
Software-1,2511,994
Software in progress-367213
Other-9393
Shares of subsidiaries and associates-473,996474,096
Deferred tax assets-17,5944,582
Other-3837
Investments and other assets-474,062474,181
Non-current assets-474,071474,189
Monetary claims bought-22,32923,797
Assets-9,849,67810,763,804
Trading securities-2,0231,017
Money held in trust-24,60032,000
Securities-2,324,0532,596,411
Loans and bills discounted-5,555,7956,231,363
Foreign exchanges-14,74214,078
Lease receivables and investments in leases-27,01030,456
Other assets-158,076198,940
Property, plant and equipment-35,63135,622
Buildings, net-10,0439,391
Land-18,82719,030
Construction in progress-62177
Leased assets, net-1,5951,344
Other, net-5,1015,679
Intangible assets-1,7122,301
Software-1,2511,994
Software in progress-367213
Other-9393
Retirement benefit asset--9,010
Deferred tax assets-17,5944,582
Customers' liabilities for acceptances and guarantees-31,11034,450
Allowance for loan losses--54,302-60,570
Assets-9,849,67810,763,804
Deposits-7,898,0338,211,551
Accounts payable - other-1276
Accrued expenses-11-
Income taxes payable-1937
Accrued consumption taxes-6032
Provision for bonuses-1,5471,573
Other-126
Current liabilities-155225
Negotiable certificates of deposit-155,48998,020
Liabilities-9,321,78410,182,689
Call money-179,987145,023
Securities sold under repurchase agreements-93,913158,022
Cash collateral received for securities lent-423,430604,049
Commercial papers-46,530-
Borrowed money-320,843744,106
Foreign exchanges-492440
Bonds payable-10,00010,000
Borrowed money from trust account-8,4969,988
Other liabilities-147,572163,073
Provision for bonuses-1,5471,573
Provision for bonuses for directors (and other officers)-2544
Retirement benefit liability-3,466429
Provision for retirement benefits for directors (and other officers)-4954
Provision for reimbursement of deposits-250800
Provision for point card certificates-114133
Reserves under special laws-78
Deferred tax liabilities-449918
Acceptances and guarantees-31,11034,450
Liabilities-9,321,78410,182,689
Share capital-16,00016,000
Share capital-16,00016,000
Legal capital surplus-4,0004,000
Other capital surplus-453,696453,686
Capital surplus-7,3027,292
Retained earnings brought forward-9,01510,438
Retained earnings-479,276494,988
Treasury shares--1,000-2,812
Shareholders' equity-501,579515,468
Share acquisition rights-272220
Capital surplus-7,3027,292
Net assets552,414527,948581,115
Retained earnings-479,276494,988
Treasury shares--1,000-2,812
Shareholders' equity-501,579515,468
Valuation difference on available-for-sale securities-34,23455,647
Deferred gains or losses on hedges--3,3206,024
Remeasurements of defined benefit plans--4,8183,754
Valuation and translation adjustments-26,09665,426
Share acquisition rights-272220
Net assets552,414527,948581,115
Liabilities and net assets-9,849,67810,763,804