Jimoto Holdings,Inc.JP:7161

Market cap
¥7.8B
P/E ratio
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-113,987147,394159,638130,612192,064152,054162,496189,461203,938224,830222,274358,624
Cash and deposits-----------933946
Supplies-------------
Prepaid expenses-----------22
Accrued revenue-------------
Accounts receivable - other-----------4247
Other-----------55
Current assets-----------9841,002
Monetary claims bought-831844838868913952985951829782765756
Tools, furniture and fixtures, net-----------21
Property, plant and equipment-25,58624,48824,89925,33425,60225,63324,42423,54323,26522,83021,83820,456
Buildings, net-7,7597,7727,9078,2598,2249,4598,8898,4348,0858,1297,9497,675
Land-14,95914,14014,40614,54714,46114,18313,87613,71113,38913,12912,46310,275
Construction in progress-195247608157983-9101129184841
Other, net-2,5812,2451,8942,3661,9331,9911,6481,2951,6601,3871,3412,503
Software-8531,8961,9782,9142,4061,9101,2906269236981,0641,418
Intangible assets-2,3412,9672,8093,5333,0902,2881,6659461,1549281,2991,659
Software-8531,8961,9782,9142,4061,9101,2906269236981,0641,418
Other-403226227256370233278271230230235241
Shares of subsidiaries and associates-----------97,066117,032
Leasehold deposits-----------77
Deferred tax assets-------3,9554,4443,5863,696165294
Investments and other assets-----------97,077117,044
Non-current assets-----------97,079117,051
Money held in trust--------5,9822,9472,9472,920201
Share issuance costs-----------331
Deferred assets-----------331
Securities-687,382730,153752,854682,730629,415590,443503,697455,340540,337528,479494,413347,075
Assets-2,349,2142,445,0892,546,2162,525,0472,570,5012,527,7942,503,2482,487,7822,663,9312,698,6622,659,2722,680,825
Loans and bills discounted-1,492,5351,521,9451,600,3811,678,9231,698,0531,722,0031,762,7491,764,6071,844,7721,873,3231,883,0271,916,174
Foreign exchanges-72051354844736839927622752134031012
Lease receivables and investments in leases-----10,74711,28311,78212,17412,50912,69212,48312,392
Other assets-9,6547,8896,6396,35110,40621,29332,23930,66231,99831,50331,85951,075
Property, plant and equipment-25,58624,48824,89925,33425,60225,63324,42423,54323,26522,83021,83820,456
Buildings, net-7,7597,7727,9078,2598,2249,4598,8898,4348,0858,1297,9497,675
Land-14,95914,14014,40614,54714,46114,18313,87613,71113,38913,12912,46310,275
Construction in progress-195247608157983-9101129184841
Other, net-2,5812,2451,8942,3661,9331,9911,6481,2951,6601,3871,3412,503
Intangible assets-2,3412,9672,8093,5333,0902,2881,6659461,1549281,2991,659
Software-8531,8961,9782,9142,4061,9101,2906269236981,0641,418
Other-403226227256370233278271230230235241
Retirement benefit asset--3831,3412979572,1762,7042,5163,8193,7083,5875,015
Deferred tax assets-------3,9554,4443,5863,696165294
Customers' liabilities for acceptances and guarantees-8,9779,3827,7606,5356,6116,1416,5266,5646,9746,3775,7785,481
Allowance for loan losses--19,636-15,750-13,582-14,185-12,640-11,594-10,257-9,641-12,723-13,779-21,453-38,394
Assets-2,349,2142,445,0892,546,2162,525,0472,570,5012,527,7942,503,2482,487,7822,663,9312,698,6622,659,2722,680,825
Deposits-2,047,8432,070,0482,121,5362,178,2252,212,4782,158,4752,163,7812,128,2532,289,0702,309,9652,306,8182,269,810
Accounts payable - other-----------11
Accrued expenses------------1
Income taxes payable-----------67
Accrued consumption taxes-----------55
Dividends payable-----------3224
Deposits received-----------11
Provision for bonuses-152210288313307329335326372363374714
Other-----------8-
Current liabilities-----------5650
Negotiable certificates of deposit-152,963201,156237,199158,275141,068174,761153,033190,005179,331177,239179,293181,422
Other-----------54
Non-current liabilities-----------54
Borrowed money-11,56722,34829,23036,53714,71911,1049,2108,91639,19780,19168,922128,761
Liabilities-2,245,5622,339,8832,429,5432,410,4362,454,8872,412,2672,387,5152,376,5962,547,5062,597,7642,581,5412,597,198
Other liabilities-8,40812,44911,77415,85417,3307,8528,09517,23817,31918,23217,9538,199
Provision for bonuses-152210288313307329335326372363374714
Retirement benefit liability--2,7961,9322,06795808312892104105108
Provision for reimbursement of deposits-483442423480370335319493358280199145
Provision for contingent loss-7381546364521633893553624801,058
Deferred tax liabilities-------861-1,170338248677
Deferred tax liabilities for land revaluation-2,2811,9891,7871,6691,6571,6361,5891,5811,5611,5061,368817
Acceptances and guarantees-8,9779,3827,7606,5356,6116,1416,5266,5646,9746,3775,7785,481
Liabilities-2,245,5622,339,8832,429,5432,410,4362,454,8872,412,2672,387,5152,376,5962,547,5062,597,7642,581,5412,597,198
Share capital-17,00017,00017,00017,00017,00017,00017,00017,00018,75018,75018,75028,733
Share capital-17,00017,00017,00017,00017,00017,00017,00017,00018,75018,75018,75028,733
Legal capital surplus-----------17,25027,233
Other capital surplus-----------60,86860,868
Capital surplus-67,13867,13867,13867,13867,13867,13867,13867,12468,87968,87968,87978,862
Retained earnings brought forward-----------1,2301,284
Retained earnings-8,85113,11018,38122,08125,49327,36227,93828,53624,60826,55419,042-3,402
Treasury shares----1-1-34-34-29-48-86-86-92-88
Shareholders' equity-92,98997,247102,518106,218109,596111,465112,047112,612112,152114,097106,579104,104
Net assets52,375103,651105,206116,672114,610115,614115,526115,732111,185116,425100,89877,73083,626
Capital surplus-67,13867,13867,13867,13867,13867,13867,13867,12468,87968,87968,87978,862
Retained earnings-8,85113,11018,38122,08125,49327,36227,93828,53624,60826,55419,042-3,402
Treasury shares----1-1-34-34-29-48-86-86-92-88
Shareholders' equity-92,98997,247102,518106,218109,596111,465112,047112,612112,152114,097106,579104,104
Valuation difference on available-for-sale securities-5,4734,43310,6306,0533,315935578-4,045877-16,158-31,095-22,319
Revaluation reserve for land-3,9653,4323,5873,6203,6133,5723,4643,4453,4013,2743,0641,806
Remeasurements of defined benefit plans---1,190-356-1,510-1,315-834-717-991-224-541-1,045-197
Valuation and translation adjustments-9,4396,67613,8608,1635,6123,6733,325-1,5924,054-13,425-29,076-20,710
Non-controlling interests---292229404387360164219225227232
Net assets52,375103,651105,206116,672114,610115,614115,526115,732111,185116,425100,89877,73083,626
Liabilities and net assets-2,349,2142,445,0892,546,2162,525,0472,570,5012,527,7942,503,2482,487,7822,663,9312,698,6622,659,2722,680,825