JP:7182

Market cap
¥5.56T
P/E ratio
15.7x
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----49,288,31450,698,68651,665,25160,769,48666,667,70968,223,31957,724,492
Cash---------292,405285,554
Due from banks---------67,925,09057,416,375
Call loans----480,000400,0001,040,0001,390,0002,470,0002,460,0002,010,000
Securities purchased under resale agreements-----8,368,1399,731,8979,721,3609,861,7539,788,4529,742,621
Cash collateral provided for securities borrowed----8,224,153-112,491--250,241-
Monetary claims bought----278,566295,679315,812362,212397,301478,286515,606
Trading securities----3223113111954
Trading government bonds---------1954
Money held in trust----4,241,5243,990,7804,549,7365,547,5745,828,2836,564,7386,163,585
Securities----139,200,459137,138,590135,204,565138,204,256139,577,368132,801,422146,490,662
Government bonds---------38,114,71143,862,083
Local government bonds---------5,640,8685,634,828
Short-term corporate bonds---------1,400,895891,924
Corporate bonds---------9,233,5799,443,422
Stocks---------22,07822,177
Other securities---------78,357,28686,604,885
Loans and bills discounted----6,145,5375,297,4244,961,7334,691,7234,441,9675,604,3666,848,393
Loans on deeds---------5,520,1566,773,866
Overdrafts---------84,21074,527
Foreign exchanges----87,48780,396147,46980,847213,924124,943181,332
Due from foreign banks (our accounts)---------124,943181,332
Other assets----2,442,3272,452,4062,816,1822,857,6153,250,4442,994,8333,889,102
Domestic exchange settlement account, debit---------27,33729,177
Prepaid expenses---------4,2973,492
Accrued revenue---------212,129253,571
Margin deposits for futures transactions---------171,779153,827
Financial derivatives---------200,224156,230
Cash collateral paid for financial instruments---------534,7111,780,423
Other---------1,844,2131,512,251
Property, plant and equipment----190,104201,906193,952198,137192,992190,543198,302
Buildings, net----67,27075,12679,00884,18279,21475,04370,560
Land----67,62867,25067,25067,25064,02363,91763,720
Construction in progress----9,4103,7451,427934-17
Other, net----45,79655,78346,26546,61149,74951,58164,004
Intangible assets----52,38251,01847,31848,28653,70277,72787,624
Software----35,77443,98737,21529,38634,42626,37969,773
Other----16,6087,03110,10318,89919,27551,34817,851
Deferred tax assets-----61125,468937724,37458,062
Allowance for loan losses-----1,066-958-1,031-935-1,055-1,036-1,075
Allowance for investment loss-----------775
Assets----210,629,821208,974,134210,910,882223,870,673232,954,480229,582,232233,907,990
Assets----210,629,821208,974,134210,910,882223,870,673232,954,480229,582,232233,907,990
Deposits-liabilities----179,881,329180,997,116183,001,984189,588,549193,438,613194,948,611192,800,717
Transfer deposits---------12,710,60012,694,358
Ordinary deposits---------105,654,084110,416,248
Savings deposits---------768,622818,257
Time deposits---------3,307,1433,581,797
Special deposits-deposits-liabilities---------478,036385,603
TEIGAKU deposits---------71,910,18364,797,788
Other deposits---------122,833108,885
Securities sold under repurchase agreements----1,985,28511,569,37114,855,62414,886,48119,461,64618,316,62124,042,626
Cash collateral received for securities lent----13,812,1232,473,4572,219,3841,504,5431,514,4381,941,8722,373,799
Borrowed money----2,4003,90010,1003,917,5005,603,6001,632,6001,984,900
Borrowings from other banks---------1,632,6001,984,900
Foreign exchanges----3096285115146971,4111,273
Foreign bills payable---------1,4111,273
Other liabilities----1,950,3601,355,3111,597,0671,536,2812,124,9782,891,5972,935,310
Domestic exchange settlement account, credit---------44,81342,282
Income taxes payable---------111,92853,725
Accrued expenses---------177,065197,119
Unearned revenue---------6,37415,754
Financial derivatives---------1,355,8882,362,389
Cash collateral received for financial instruments---------22,657-
Asset retirement obligations---------10277
Other---------1,172,265253,707
Provision for bonuses----7,9077,8587,4787,5827,3977,3357,496
Provision for retirement benefits---------138,3753,641
Retirement benefit liability----135,655134,837134,232133,542134,749134,7162,056
Reserve for employee stock ownership plan trust----809839605535515511510
Provision for management board benefit trust----144238311303365424427
Provision for reimbursement of deposits----86,11488,33280,32473,83058,81354,65550,950
Liabilities----199,108,141197,611,768201,907,626212,475,846222,652,218219,930,358224,200,067
Share capital----3,500,0003,500,0003,500,0003,500,0003,500,0003,500,0003,500,000
Capital surplus----4,296,2854,296,2864,296,2854,296,5143,500,0003,500,0003,500,000
Legal capital surplus---------3,500,0003,500,000
Retained earnings----2,399,1622,477,8782,563,8402,750,2342,414,3492,481,9082,574,567
Other retained earnings---------2,480,2622,571,077
Retained earnings brought forward---------2,480,2622,571,077
Treasury shares-----1,300,717-1,300,926-1,300,881-1,300,844-902-24,510-1,523
Shareholders' equity----8,894,7308,973,2379,059,2459,245,9049,413,4479,457,3989,573,043
Valuation difference on available-for-sale securities----2,615,4322,440,024256,8742,488,9821,391,873781,1961,358,768
Deferred gains or losses on hedges----3,119-62,353-327,940-370,486-538,991-626,041-1,266,085
Valuation and translation adjustments----2,626,4852,384,159-65,9352,124,183856,772157,69593,784
Remeasurements of defined benefit plans----7,9346,4885,1315,6873,8902,5401,101
Net assets---11,789,27711,521,68011,362,3659,003,25611,394,82710,302,2619,651,8749,707,923
Valuation and translation adjustments----2,626,4852,384,159-65,9352,124,183856,772157,69593,784
Non-controlling interests----4634,9689,94524,73932,04136,78041,094
Net assets---11,789,27711,521,68011,362,3659,003,25611,394,82710,302,2619,651,8749,707,923
Liabilities and net assets----210,629,821208,974,134210,910,882223,870,673232,954,480229,582,232233,907,990