THE FIRST BANK OF TOYAMA, LTD.JP:7184

Market cap
¥67.5B
P/E ratio
13x
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-18,17952,79317,56338,85053,22540,66250,63167,95975,00355,06774,90168,643
Cash-----------9,5688,384
Due from banks-----------65,27460,200
Trading securities-379717618519615618215214294618
Trading government bonds-----------618
Money held in trust-800800800800700700700700700700700700
Securities-295,162333,500398,118441,035448,324459,709437,255477,085482,397500,198447,052508,787
Government bonds-----------36,35735,704
Local government bonds-----------12,64113,059
Corporate bonds-----------58,44367,015
Stocks-----------106,378140,103
Other securities-----------215,445234,726
Loans and bills discounted-741,185758,433803,823808,692820,355830,332823,643810,197848,033889,402938,090979,826
Bills discounted-----------4,8276,587
Loans on bills-----------22,84123,764
Loans on deeds-----------795,059827,472
Overdrafts-----------131,958140,555
Foreign exchanges-2,5052,3824,2771,6171,6561,1731,2221,5489911,5881,9322,305
Due from foreign banks (our accounts)-----------1,9052,305
Foreign bills receivable-----------26-
Lease receivables and investment assets-5,9296,3076,3977,0597,7038,1048,6448,5899,49410,2209,87711,252
Other assets-10,5745,3926,8385,4115,3345,1497,29812,5235,4836,05411,0148,544
Domestic exchange settlement account, debit-----------113216
Prepaid expenses-----------8351
Accrued revenue-----------1,4531,790
Financial derivatives-----------163
Other-----------4,499845
Other assets-10,5745,3926,8385,4115,3345,1497,29812,5235,4836,05411,0148,544
Domestic exchange settlement account, debit-----------113216
Prepaid expenses-----------8351
Accrued revenue-----------1,4531,790
Financial derivatives-----------163
Other-----------4,499845
Property, plant and equipment-9,3309,9929,75613,27212,66611,91610,96010,5479,9899,1678,3487,851
Buildings, net-1,2871,9031,7515,3415,4235,0054,4773,9363,6643,3333,0612,588
Land-6,0475,9746,0765,8395,6745,6505,6545,3095,1894,6024,3164,221
Other, net-1,4231,9461,7522,0731,5691,2478271,3011,1341,2319701,040
Leased assets, net-----------184232
Other, net-1,4231,9461,7522,0731,5691,2478271,3011,1341,2319701,040
Property, plant and equipment-9,3309,9929,75613,27212,66611,91610,96010,5479,9899,1678,3487,851
Buildings, net-1,2871,9031,7515,3415,4235,0054,4773,9363,6643,3333,0612,588
Land-6,0475,9746,0765,8395,6745,6505,6545,3095,1894,6024,3164,221
Other, net-1,4231,9461,7522,0731,5691,2478271,3011,1341,2319701,040
Leased assets, net-----------184232
Other, net-1,4231,9461,7522,0731,5691,2478271,3011,1341,2319701,040
Intangible assets-9719098201,0301,1509901,0681,1981,011778762881
Software-8978417579731,0959401,0191,149961729712756
Other-7368625754494949494949125
Leased assets------------75
Other-7368625754494949494949125
Intangible assets-9719098201,0301,1509901,0681,1981,011778762881
Software-8978417579731,0959401,0191,149961729712756
Other-7368625754494949494949125
Leased assets------------75
Other-7368625754494949494949125
Prepaid pension costs-----------320292
Retirement benefit asset---------132170165242
Customers' liabilities for acceptances and guarantees-3,8983,9012,9212,8782,4062,4952,6542,5122,3212,3722,4082,296
Deferred tax assets-------654,36064765944
Allowance for loan losses--8,574-8,188-7,600-6,025-4,488-4,829-6,161-6,043-7,141-9,546-9,718-10,579
Customers' liabilities for acceptances and guarantees-3,8983,9012,9212,8782,4062,4952,6542,5122,3212,3722,4082,296
Assets-1,099,1121,182,3221,251,0941,314,8071,349,2301,356,5601,338,1651,391,3331,428,6231,466,3451,485,6571,580,805
Allowance for loan losses--8,574-8,188-7,600-6,025-4,488-4,829-6,161-6,043-7,141-9,546-9,718-10,579
Assets-1,099,1121,182,3221,251,0941,314,8071,349,2301,356,5601,338,1651,391,3331,428,6231,466,3451,485,6571,580,805
Deposits-955,1731,035,6561,066,8161,099,9051,124,4891,157,7521,163,7181,183,8431,226,3361,238,8151,248,2811,319,483
Current deposits-----------73,76981,726
Ordinary deposits-----------580,543615,018
Savings deposits-----------25,04424,797
Deposits at notice-----------9,0866,070
Time deposits-----------545,911581,831
Installment savings-----------4,9864,544
Other deposits-----------9,6586,324
Negotiable certificates of deposit-4,73510,86018,56439,61146,67234,00029,02151,13311,00031,00080,00025,000
Call money------------35,000
Call money and bills sold-32,90017,70024,80030,00045,00030,00015,00035,00015,00010,000-35,000
Borrowed money-16,33018,32619,49823,55522,12321,18916,38015,71146,65353,41323,96518,178
Borrowings from other banks-----------20,80014,700
Other liabilities-4,6327,3525,7953,9294,7966,6485,0303,2963,7183,3742,9295,737
Domestic exchange settlement account, credit-----------176451
Income taxes payable-----------1921,744
Accrued expenses-----------320295
Unearned revenue-----------346321
Deposits received from employees-----------148135
Reserve for interest on installment savings-------------
Financial derivatives-----------249236
Lease liabilities-----------212345
Asset retirement obligations-----------6160
Other-----------4671,308
Provision for bonuses for directors (and other officers)-252422222220202223222229
Provision for retirement benefits-2,944---------6397
Retirement benefit liability--3,0883,0963,0512,94575067951914416623511
Provision for reimbursement of deposits-1161451461221211271268482706866
Provision for contingent loss-92109134847891165117206395580599
Deferred tax liabilities-------8601,3654,8884,7734,30517,837
Deferred tax liabilities for land revaluation-1,1091,091987880843834793767755629567553
Acceptances and guarantees-3,8983,9012,9212,8782,4062,4952,6542,5122,3212,3722,4082,296
Liabilities-1,021,9581,100,3971,151,4501,210,7271,251,4321,255,2961,234,4501,294,3751,311,1291,345,0351,363,3641,424,794
Share capital-8,0008,0008,00010,18210,18210,18210,18210,18210,18210,18210,18210,182
Capital surplus-5,4335,4335,4336,0766,0766,0766,0766,0766,2666,2666,2916,266
Legal capital surplus-----------6,0746,074
Other capital surplus-----------24-
Retained earnings-51,87654,05057,64662,49067,06871,50874,23475,54677,05579,94083,30885,918
Legal retained earnings-----------3,8594,108
Other retained earnings-----------77,02079,302
General reserve-----------38,86038,860
Retained earnings brought forward-----------38,16040,442
Treasury shares--288-301-307-307-308-308-289-405-380-357-1,298-586
Shareholders' equity-65,02167,18270,77278,44183,01987,45990,20491,40093,12496,03198,483101,781
Valuation difference on available-for-sale securities-7,3469,62023,22619,7468,7927,4707,129-1,76617,03216,98215,78345,820
Revaluation reserve for land-1,6191,5861,7721,6911,6061,5861,4911,4671,4371,2221,0801,048
Valuation and translation adjustments-8,96611,16124,99121,39810,3978,7908,376-52218,50318,04016,63846,895
Remeasurements of defined benefit plans---45-7-39-2-266-243-22433-164-22526
Net assets66,14277,15481,92599,643104,08097,797101,264103,71496,958117,494121,310122,292156,011
Valuation and translation adjustments-8,96611,16124,99121,39810,3978,7908,376-52218,50318,04016,63846,895
Non-controlling interests---3,8794,2394,3805,0145,1336,0805,8657,2377,1697,334
Net assets66,14277,15481,92599,643104,08097,797101,264103,71496,958117,494121,310122,292156,011
Liabilities and net assets-1,099,1121,182,3221,251,0941,314,8071,349,2301,356,5601,338,1651,391,3331,428,6231,466,3451,485,6571,580,805