Aichi Financial Group, Inc.JP:7389
| Mar 31, 2022 | Mar 31, 2023 | Mar 31, 2024 |
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Cash and due from banks | - | 712,782 | 605,152 |
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Call loans and bills bought | - | 1,068 | 1,150 |
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Intangible assets | - | 2,289 | 2,371 |
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Software | - | 1,804 | 2,127 |
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Software in progress | - | 130 | 31 |
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Leased assets | - | 147 | 45 |
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Other | - | 206 | 167 |
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Deferred tax assets | - | 497 | 520 |
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Monetary claims bought | - | 8,788 | 8,180 |
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Assets | - | 6,786,283 | 6,831,438 |
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Trading securities | - | - | - |
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Securities | - | 1,358,391 | 1,367,104 |
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Allowance for investment loss | - | - | - |
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Loans and bills discounted | - | 4,568,454 | 4,704,470 |
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Foreign exchanges | - | 8,811 | 6,826 |
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Other assets | - | 68,171 | 67,812 |
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Property, plant and equipment | - | 65,782 | 66,143 |
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Buildings, net | - | 11,875 | 11,591 |
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Land | - | 49,103 | 48,192 |
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Leased assets | - | 182 | 110 |
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Construction in progress | - | 260 | 218 |
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Other, net | - | 4,361 | 6,030 |
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Intangible assets | - | 2,289 | 2,371 |
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Software | - | 1,804 | 2,127 |
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Software in progress | - | 130 | 31 |
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Leased assets | - | 147 | 45 |
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Other | - | 206 | 167 |
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Retirement benefit asset | - | 11,170 | 21,063 |
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Deferred tax assets | - | 497 | 520 |
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Customers' liabilities for acceptances and guarantees | - | 7,650 | 6,203 |
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Allowance for loan losses | - | -27,576 | -25,561 |
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Assets | - | 6,786,283 | 6,831,438 |
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Deposits | - | 5,623,221 | 5,821,934 |
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Provision for bonuses | - | 1,211 | 1,229 |
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Provision for bonuses for directors (and other officers) | - | 38 | 105 |
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Negotiable certificates of deposit | - | 7,410 | 23,100 |
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Liabilities | - | 6,462,807 | 6,451,906 |
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Call money and bills sold | - | 248,682 | - |
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Cash collateral received for securities lent | - | 214,050 | 190,898 |
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Borrowed money | - | 279,937 | 326,089 |
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Foreign exchanges | - | 1,641 | 1,463 |
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Bonds payable | - | 5,000 | - |
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Other liabilities | - | 54,002 | 38,371 |
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Provision for bonuses | - | 1,211 | 1,229 |
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Provision for bonuses for directors (and other officers) | - | 38 | 105 |
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Retirement benefit liability | - | 588 | 12 |
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Provision for retirement benefits for directors (and other officers) | - | 63 | 87 |
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Provision for reimbursement of deposits | - | 218 | 162 |
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Provision for contingent loss | - | 2,268 | 2,354 |
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Deferred tax liabilities | - | 12,320 | 35,399 |
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Deferred tax liabilities for land revaluation | - | 4,500 | 4,493 |
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Acceptances and guarantees | - | 7,650 | 6,203 |
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Liabilities | - | 6,462,807 | 6,451,906 |
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Share capital | - | 20,026 | 20,026 |
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Share capital | - | 20,026 | 20,026 |
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Capital surplus | - | 34,374 | 37,021 |
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Retained earnings | - | 226,645 | 230,061 |
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Treasury shares | - | -516 | -337 |
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Shareholders' equity | - | 280,530 | 286,772 |
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Share acquisition rights | - | 537 | 463 |
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Capital surplus | - | 34,374 | 37,021 |
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Net assets | 239,512 | 323,476 | 379,531 |
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Retained earnings | - | 226,645 | 230,061 |
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Treasury shares | - | -516 | -337 |
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Shareholders' equity | - | 280,530 | 286,772 |
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Valuation difference on available-for-sale securities | - | 28,830 | 76,387 |
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Deferred gains or losses on hedges | - | 380 | 734 |
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Revaluation reserve for land | - | 8,324 | 8,308 |
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Remeasurements of defined benefit plans | - | 326 | 6,865 |
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Valuation and translation adjustments | - | 37,862 | 92,295 |
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Share acquisition rights | - | 537 | 463 |
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Non-controlling interests | - | 4,546 | - |
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Net assets | 239,512 | 323,476 | 379,531 |
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Liabilities and net assets | - | 6,786,283 | 6,831,438 |
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