JAPAN POST INSURANCE Co. , Ltd.JP:7181

Market cap
¥993B
P/E ratio
11.4x
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 deposits-2,213,7861,862,6361,366,086898,504917,7081,410,2981,335,0141,270,7621,436,5241,157,322
Cash---------201723
Deposits---------1,428,2811,152,007
Call loans-445,428360,000150,000265,000150,000380,000130,00040,00040,00040,000
Securities purchased under resale agreements--------2,120,1371,384,7641,047,192
Monetary claims bought-449,068430,15027,561176,069354,958318,581276,77239,54347,34525,392
Money held in trust-1,434,9431,644,5472,127,0422,814,8732,787,5553,056,0724,189,2944,521,9124,772,3216,271,415
Securities-66,276,26063,609,90663,485,28960,130,90958,451,58155,870,55755,273,61053,417,58049,841,49447,693,813
Government bonds---------37,114,60336,037,546
Local government bonds---------3,400,1502,634,528
Corporate bonds---------4,228,9524,119,871
Stocks---------410,088558,536
Foreign securities---------2,949,2602,168,841
Other securities---------1,739,4232,175,272
Loans receivable-9,977,3458,978,4378,060,9027,627,1476,786,0745,662,7484,964,0874,251,9563,605,8323,281,313
Insurance policy loans---------140,355149,707
General loans---------916,374849,174
Loans to the management organization---------2,549,1022,282,432
Property, plant and equipment-131,790145,855137,262100,915108,422110,219105,39994,49792,717136,936
Land-68,35068,26268,27243,06648,00847,82847,82843,11243,11276,610
Buildings, net-34,23749,50244,66432,88843,24641,71040,43937,15235,70345,086
Leased assets, net-2,0091,7802,0472,1942,3132,2031,9782,6064,2295,326
Construction in progress-9,7596,1766,2558,1492517657943224204
Other, net-17,43320,13316,02214,61714,82718,30014,57311,1939,6479,708
Intangible assets-155,067185,300185,520163,265153,271135,010113,42093,60992,32697,807
Software-155,045185,281185,498163,246153,252134,993113,40593,59492,31497,796
Other-16182119181614141210
Agency accounts receivable-95,02381,19350,88833,71521,96045,58753,25047,28741,30711,296
Reinsurance accounts receivable-6301,3682,2933,2273,8724,0573,9383,9144,0497,646
Other assets-468,700525,835371,905368,020355,776306,596239,354268,626300,299449,463
Accounts receivable---------116,048244,606
Prepaid expenses---------4,7444,610
Accrued revenue---------129,974143,911
Segregated deposits---------7,8836,244
Margin deposits for futures transactions---------94,284
Financial derivatives---------35,2712,785
Cash collateral paid for financial instruments---------4,09435,750
Suspense payments---------1,0411,022
Rest of other assets---------1,5206,338
Deferred tax assets-----1,022,0911,173,789904,1351,005,3461,028,784636,644
Allowance for doubtful accounts--943-772-658-695-459-448-384-379-379-346
Assets-84,915,01281,545,18280,336,76076,831,26173,905,01771,664,78170,172,98267,174,79662,687,38860,855,899
Reserve for insurance policy liabilities-77,905,67774,934,16572,525,17669,948,38367,093,75164,191,92661,159,59758,196,07255,103,77851,988,334
Outstanding claims-718,156635,167577,376548,196519,568461,224419,021402,608410,387373,913
Policy reserve-75,112,60172,362,50370,175,23467,777,29765,060,54962,293,16659,397,72056,533,45453,518,21950,512,792
Reserve for dividends to policyholders-2,074,9191,936,4941,772,5651,622,8891,513,6341,437,5351,342,8551,260,0091,175,1711,101,628
Reinsurance accounts payable-2,0173,3774,7746,0336,4706,5956,3946,2566,2976,001
Bonds payable-----100,000100,000300,000300,000300,000400,000
Securities sold under repurchase agreements--------2,570,8993,740,6883,905,000
Other liabilities-602,573233,106213,565229,514183,889193,449303,851402,658201,639190,696
Securities sold under repurchase agreements--------2,570,8993,740,6883,905,000
Income taxes payable----------1,617
Accounts payable - other---------19,31920,572
Accrued expenses---------42,13643,719
Deposits received---------2,3243,023
Deposits from the Management Organization---------38,64737,575
Guarantee deposits received---------73109
Financial derivatives---------23,69146,327
Cash collateral received for financial instruments---------20,011-
Lease liabilities---------4,6095,860
Suspense receipt---------2,71321,587
Rest of other liabilities---------46,18910,298
Other liabilities-602,573233,106213,565229,514183,889193,449303,851402,658201,639190,696
Securities sold under repurchase agreements--------2,570,8993,740,6883,905,000
Income taxes payable----------1,617
Accounts payable - other---------19,31920,572
Accrued expenses---------42,13643,719
Deposits received---------2,3243,023
Deposits from the Management Organization---------38,64737,575
Guarantee deposits received---------73109
Financial derivatives---------23,69146,327
Cash collateral received for financial instruments---------20,011-
Lease liabilities---------4,6095,860
Suspense receipt---------2,71321,587
Rest of other liabilities---------46,18910,298
Provision for retirement benefits---------70,80697,157
Retirement benefit liability-58,35660,80362,18463,73965,26266,06066,41468,31369,33195,931
Provision for management board benefit trust-liabilities---76172203164110230315391
Provision for management board benefit trust-liabilities---76172203164110230315391
Reserves under special laws-712,167782,268788,712916,743897,492858,339904,816972,606889,960873,799
Reserve for price fluctuation-712,167782,268788,712916,743897,492858,339904,816972,606889,960873,799
Reserves under special laws-712,167782,268788,712916,743897,492858,339904,816972,606889,960873,799
Reserve for price fluctuation-712,167782,268788,712916,743897,492858,339904,816972,606889,960873,799
Liabilities-82,939,28479,662,20078,483,55774,828,13571,769,88069,736,40067,331,50664,753,73260,312,01057,460,155
Liabilities-82,939,28479,662,20078,483,55774,828,13571,769,88069,736,40067,331,50664,753,73260,312,01057,460,155
Share capital-500,000500,000500,000500,000500,000500,000500,000500,000500,000500,000
Capital surplus-500,044500,044500,044500,044500,044405,044405,044405,044405,044405,044
Legal capital surplus---------405,044405,044
Retained earnings-411,992472,362527,358595,846675,526756,665901,390639,822701,540717,960
Legal retained earnings---------84,08991,216
Other retained earnings---------618,096628,896
Reserve for tax purpose reduction entry of real estate---------4,7674,506
Retained earnings brought forward---------613,328624,389
Treasury shares----521-466-450-422-397-355-36,082-948
Shareholders' equity-1,412,0361,472,4061,526,8821,595,4241,675,1201,661,2861,806,0361,544,5111,570,5021,622,055
Valuation difference on available-for-sale securities-558,033405,412321,904403,913456,694264,0091,031,384873,764797,9121,775,693
Deferred gains or losses on hedges-2214050323316573-4,607-4,186
Remeasurements of defined benefit plans-5,6355,0224,3663,7553,2893,0673,4802,7862,3542,182
Valuation and translation adjustments-563,691410,575326,321407,701460,017267,0941,035,438876,551804,8751,773,689
Net assets1,538,1361,975,7271,882,9821,853,2032,003,1262,135,1371,928,3802,841,4752,421,0632,375,3773,395,744
Valuation and translation adjustments-563,691410,575326,321407,701460,017267,0941,035,438876,551804,8751,773,689
Net assets1,538,1361,975,7271,882,9821,853,2032,003,1262,135,1371,928,3802,841,4752,421,0632,375,3773,395,744
Liabilities and net assets-84,915,01281,545,18280,336,76076,831,26173,905,01771,664,78170,172,98267,174,79662,687,38860,855,899