THE SHIMANE BANK,LTD.JP:7150

Market cap
¥4.1B
P/E ratio
10.6x
Mar 31,
2012
Mar 31,
2013
Mar 31,
2014
Mar 31,
2015
Mar 31,
2016
Mar 31,
2017
Mar 31,
2018
Mar 31,
2019
Mar 31,
2020
Mar 31,
2021
Mar 31,
2022
Mar 31,
2023
Mar 31,
2024
Cash and due from banks-12,51920,72425,98737,55534,64435,45722,14433,10975,88946,79128,07333,592
Cash-----------4,4244,181
Due from banks-----------23,50729,239
Money held in trust-------201509529628778698
Securities-97,69898,781103,390100,561101,25689,85386,184104,176116,746121,833115,145116,949
Government bonds-----------19,55129,075
Local government bonds-----------1,930985
Corporate bonds-----------13,67512,185
Stocks-----------624627
Other securities-----------79,80774,519
Loans and bills discounted-241,791248,449258,356264,980261,835266,738288,002285,562308,219334,552340,705367,274
Bills discounted-----------1,949724
Loans on bills-----------6,9386,548
Loans on deeds-----------288,893316,174
Overdrafts-----------45,22846,243
Lease receivables and investments in leases-3,3193,5273,5804,0614,3094,3304,3464,1893,8603,6703,5873,571
Other assets-1,6971,4891,7092,0192,5642,0231,9403,7816,0855,6375,6532,703
Domestic exchange settlement account, debit-----------123355
Prepaid expenses-----------9277
Accrued revenue-----------470508
Other-----------4,020730
Property, plant and equipment-5,1935,3007,0608,92810,4098,8128,4867,9867,4457,2807,0366,844
Buildings, net-1,0629637746956,0865,9625,7165,4444,6174,5214,3704,168
Land-3,6153,9183,9183,9183,7302,3882,3882,0241,8191,6491,6321,632
Leased assets, net-1601331067661549642-102
Other, net-3182402302214934073725101,0041,1061,0321,044
Other assets-1,6971,4891,7092,0192,5642,0231,9403,7816,0855,6375,6532,703
Domestic exchange settlement account, debit-----------123355
Prepaid expenses-----------9277
Accrued revenue-----------470508
Other-----------4,020730
Intangible assets-395309273279359542716724578549547542
Software-333263193217312506674695555531532528
Leased assets-453120922181394--
Other-161559524333231413131313
Other-161559524333231413131313
Property, plant and equipment-5,1935,3007,0608,92810,4098,8128,4867,9867,4457,2807,0366,844
Buildings, net-1,0629637746956,0865,9625,7165,4444,6174,5214,3704,168
Land-3,6153,9183,9183,9183,7302,3882,3882,0241,8191,6491,6321,632
Leased assets, net-1601331067661549642-102
Other, net-3182402302214934073725101,0041,1061,0321,044
Prepaid pension costs-----------219249
Intangible assets-395309273279359542716724578549547542
Software-333263193217312506674695555531532528
Leased assets-453120922181394--
Other-161559524333231413131313
Other-161559524333231413131313
Deferred tax assets-------45804711715917
Retirement benefit asset---1188313117815756285309292528
Deferred tax assets-------45804711715917
Customers' liabilities for acceptances and guarantees-7,8277,2768,5208,8167,7436,4335,9734,7834,5574,9855,0674,806
Customers' liabilities for acceptances and guarantees-7,8277,2768,5208,8167,7436,4335,9734,7834,5574,9855,0674,806
Allowance for loan losses--4,352-3,626-3,019-3,678-3,101-1,834-1,943-3,360-3,216-3,290-3,281-3,315
Allowance for loan losses--4,352-3,626-3,019-3,678-3,101-1,834-1,943-3,360-3,216-3,290-3,281-3,315
Assets-378,890394,122406,548426,267423,104412,601416,256441,599529,029523,065503,765534,213
Assets-378,890394,122406,548426,267423,104412,601416,256441,599529,029523,065503,765534,213
Deposits-341,961349,479353,822368,089368,751364,389358,367389,043471,348467,275466,811490,763
Current deposits-----------53,79954,572
Ordinary deposits-----------163,336192,764
Savings deposits-----------1,8591,613
Deposits at notice-----------44853
Time deposits-----------243,245240,614
Installment savings-----------3,0301,064
Other deposits-----------1,404423
Borrowed money-6,11314,24617,45123,58321,80620,81032,51531,75733,81135,28213,20018,034
Borrowings from other banks-----------12,27517,000
Other liabilities-1,9452,1261,4691,3811,2831,2941,3201,3251,0101,0611,3331,520
Domestic exchange settlement account, credit-----------147496
Income taxes payable-----------7258
Accrued expenses-----------621507
Unearned revenue-----------142138
Reserve for interest on installment savings-------------
Lease liabilities-----------66106
Asset retirement obligations-----------5959
Other-----------2531
Provision for reimbursement of deposits-161718192020212122211918
Provision for contingent loss-43607787523526809213487106
Provision for management board benefit trust-------153434647298
Provision for profit-related bonuses-------221111
Deferred tax liabilities for land revaluation-665662600570527259259224194191191191
Acceptances and guarantees-7,8277,2768,5208,8167,7436,4335,9734,7834,5574,9855,0674,806
Liabilities-361,398376,602385,737405,889402,973394,002398,618427,272511,194509,018486,784515,542
Share capital-6,6366,6366,6366,6366,6366,6366,6367,8867,8867,8867,8867,886
Capital surplus-4724724724724724724721,7221,7221,7227,7227,722
Other capital surplus-----------7,7227,722
Retained earnings-6,0096,4986,9857,3748,2239,1299,2807,0257,4507,6527,9768,225
Legal retained earnings-----------943
Other retained earnings-----------6,9387,124
Retained earnings brought forward-----------6,9387,124
Treasury shares--42-42-43-43-43-43-55-55-88-84-107-107
Shareholders' equity-13,07613,56414,05114,44015,28916,19516,33316,57916,97017,17723,47823,727
Valuation difference on available-for-sale securities-3,2972,8865,5004,7173,6891,780712-2,662337-3,629-6,952-5,654
Revaluation reserve for land-1,0991,0951,1571,1871,090538538458388381381381
Valuation and translation adjustments-4,3973,9376,7415,9184,8212,3831,283-2,273842-3,152-6,520-5,079
Remeasurements of defined benefit plans---448314426332-691169550193
Net assets14,25517,49117,51920,81120,37820,13118,59917,63814,32717,83514,04616,98018,671
Valuation and translation adjustments-4,3973,9376,7415,9184,8212,3831,283-2,273842-3,152-6,520-5,079
Non-controlling interests---18192020212121212222
Net assets14,25517,49117,51920,81120,37820,13118,59917,63814,32717,83514,04616,98018,671
Liabilities and net assets-378,890394,122406,548426,267423,104412,601416,256441,599529,029523,065503,765534,213