Juroku Financial Group, Inc.JP:7380

Market cap
¥151.7B
P/E ratio
28.7x
Mar 31,
2021
Mar 31,
2022
Mar 31,
2023
Mar 31,
2024
Cash and due from banks-2,135,695751,946973,943
Cash and deposits--96485
Prepaid expenses--1922
Accrued revenue----
Income taxes refund receivable--1,166487
Other--1450
Current assets--1,2971,046
Call loans and bills bought--35,000-
Construction in progress-2-29
Property, plant and equipment-58,31257,36957,558
Buildings, net-10,5759,9489,655
Land-43,43643,39843,398
Construction in progress-2-29
Other, net-4,2974,0224,475
Software-2,8302,9493,483
Other-9271,1491,189
Intangible assets-7,4037,2927,414
Software-2,8302,9493,483
Goodwill-3,6453,1932,741
Other-9271,1491,189
Shares of subsidiaries and associates--303,246303,243
Deferred tax assets-148213317
Long-term accounts receivable - other---53
Allowance for doubtful accounts----53
Investments and other assets--303,271303,314
Non-current assets--303,292303,388
Trading securities-115848
Assets-8,375,3327,190,5577,535,038
Money held in trust-11,61111,31113,224
Securities-1,459,2221,464,5061,473,329
Loans and bills discounted-4,521,8244,695,4474,838,414
Foreign exchanges-8,8617,0276,225
Lease receivables and investments in leases-54,54453,51255,455
Other assets-114,828103,72895,486
Property, plant and equipment-58,31257,36957,558
Buildings, net-10,5759,9489,655
Land-43,43643,39843,398
Construction in progress-2-29
Other, net-4,2974,0224,475
Intangible assets-7,4037,2927,414
Software-2,8302,9493,483
Goodwill-3,6453,1932,741
Other-9271,1491,189
Retirement benefit asset-14,22013,19523,821
Deferred tax assets-148213317
Customers' liabilities for acceptances and guarantees-14,35214,11013,055
Allowance for loan losses--25,809-24,189-23,217
Assets-8,375,3327,190,5577,535,038
Deposits-6,225,2916,266,9806,388,734
Short-term borrowings--1,2001,600
Accounts payable - other--91128
Accrued expenses--19327
Income taxes payable--2542
Accrued consumption taxes--681
Deposits received--12101
Provision for bonuses-1,3691,2321,283
Other--1528
Current liabilities--1,4022,343
Negotiable certificates of deposit-14,00013,00013,000
Provision for retirement benefits---87
Non-current liabilities---87
Securities sold under repurchase agreements-133,74797,83496,567
Liabilities-7,972,7276,797,9957,084,248
Cash collateral received for securities lent-87,537-122,475
Borrowed money-1,405,797329,500346,326
Foreign exchanges-1,5941,7251,109
Borrowed money from trust account--38169
Other liabilities-59,90653,29160,949
Provision for bonuses-1,3691,2321,283
Retirement benefit liability-6,1725,9325,571
Provision for reimbursement of deposits-502362271
Provision for contingent loss-708693667
Reserves under special laws-81117
Deferred tax liabilities-15,3316,87927,647
Deferred tax liabilities for land revaluation-6,4076,4016,401
Acceptances and guarantees-14,35214,11013,055
Liabilities-7,972,7276,797,9957,084,248
Share capital-36,00036,00036,000
Legal capital surplus--9,0009,000
Other capital surplus--257,277256,419
Capital surplus-61,80761,81860,960
Retained earnings brought forward--3,9784,143
Retained earnings-238,135251,973266,176
Treasury shares--2,221-3,068-3,560
Shareholders' equity-333,721346,723359,576
Share capital-36,00036,00036,000
Net assets403,009402,604392,561450,790
Capital surplus-61,80761,81860,960
Retained earnings-238,135251,973266,176
Treasury shares--2,221-3,068-3,560
Shareholders' equity-333,721346,723359,576
Valuation difference on available-for-sale securities-49,18828,88265,214
Deferred gains or losses on hedges--1172,275
Revaluation reserve for land-12,46812,45312,453
Remeasurements of defined benefit plans-3,3415477,151
Valuation and translation adjustments-64,99842,00087,093
Non-controlling interests-3,7053,8374,119
Net assets403,009402,604392,561450,790
Liabilities and net assets-8,375,3327,190,5577,535,038