The Musashino Bank, Ltd.JP:8336

Market cap
¥90.1B
P/E ratio
8.4x
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-178,775150,996196,684149,402211,372250,530347,398374,688739,970790,922484,394230,916
Cash-----------36,20432,763
Due from banks-----------447,958198,053
Monetary claims bought-1,5455,95911,61311,5538,62610,55812,634510613816839759
Trading securities-282321384956213646248625176
Trading government bonds-----------76
Money held in trust-1,4951,5001,5001,4901,5001,4901,4901,4941,4941,4911,4891,492
Securities-722,195772,365748,068764,664781,884740,176654,380624,140683,379735,215810,2961,045,742
Government bonds-----------162,424306,049
Local government bonds-----------212,181248,641
Corporate bonds-----------180,925191,670
Stocks-----------48,64864,342
Other securities-----------205,712234,085
Loans and bills discounted-2,950,8973,066,0233,210,6053,319,1673,412,1333,457,8463,522,1303,571,7153,789,9483,841,6383,909,8533,995,006
Bills discounted-----------8,8948,568
Loans on bills-----------158,007170,654
Loans on deeds-----------3,444,8353,511,697
Overdrafts-----------309,888315,819
Foreign exchanges-2,5453,3202,0052,3153,8584,9512,5605,1913,1573,7017,2574,659
Due from foreign banks (our accounts)-----------7,0654,502
Foreign bills bought-----------1-
Foreign bills receivable-----------191157
Lease receivables and investments in leases-15,23116,31917,99219,12519,18920,98521,32021,10321,24519,53417,46919,219
Other assets-23,44219,91720,28321,07129,46734,45534,47335,04333,79638,22640,07743,457
Prepaid expenses-----------10793
Accrued revenue-----------5,2014,812
Financial derivatives-----------2,2083,302
Cash collateral paid for financial instruments-----------598130
Other-----------17,99819,090
Other assets-23,44219,91720,28321,07129,46734,45534,47335,04333,79638,22640,07743,457
Prepaid expenses-----------10793
Accrued revenue-----------5,2014,812
Financial derivatives-----------2,2083,302
Cash collateral paid for financial instruments-----------598130
Other-----------17,99819,090
Property, plant and equipment-36,32937,04937,16237,58437,39837,37436,76742,22448,06956,16354,99954,658
Buildings, net-9,3089,47610,16910,33210,1269,9999,5848,8438,53527,61726,64626,047
Land-24,85525,21925,14625,14625,30025,32225,32225,36325,36325,36325,36325,364
Leased assets, net-------24201383204
Other, net-2,1621,9591,8462,1051,8361,8081,4881,6052,1613,1742,9863,246
Intangible assets-3,3002,9022,9423,1763,0502,8633,9104,3754,5335,1254,9414,872
Software-3,0582,6952,7552,9972,8752,6883,6564,0684,2534,8824,7274,678
Other-212197187178175175173201201190187187
Leased assets-1-----801047852266
Other-212197187178175175173201201190187187
Property, plant and equipment-36,32937,04937,16237,58437,39837,37436,76742,22448,06956,16354,99954,658
Buildings, net-9,3089,47610,16910,33210,1269,9999,5848,8438,53527,61726,64626,047
Land-24,85525,21925,14625,14625,30025,32225,32225,36325,36325,36325,36325,364
Leased assets, net-------24201383204
Other, net-2,1621,9591,8462,1051,8361,8081,4881,6052,1613,1742,9863,246
Prepaid pension costs-----------9,3709,576
Intangible assets-3,3002,9022,9423,1763,0502,8633,9104,3754,5335,1254,9414,872
Software-3,0582,6952,7552,9972,8752,6883,6564,0684,2534,8824,7274,678
Other-212197187178175175173201201190187187
Leased assets-1-----801047852266
Other-212197187178175175173201201190187187
Deferred tax assets-------1,0043,2181,1261,1032,798809
Retirement benefit asset--1,1649,4665,1735,8436,6596,7325,3418,9868,5187,59614,381
Customers' liabilities for acceptances and guarantees-9,2948,5668,1417,7306,5164,8024,2004,7955,3154,9654,8345,119
Deferred tax assets-------1,0043,2181,1261,1032,798809
Allowance for loan losses--19,582-17,977-15,922-15,273-15,375-13,377-23,023-19,831-21,730-21,191-19,756-17,086
Customers' liabilities for acceptances and guarantees-9,2948,5668,1417,7306,5164,8024,2004,7955,3154,9654,8345,119
Assets-3,929,3434,079,7974,257,0624,328,9094,507,1394,560,6934,626,0444,674,0595,319,9715,486,2835,327,0965,404,015
Allowance for loan losses--19,582-17,977-15,922-15,273-15,375-13,377-23,023-19,831-21,730-21,191-19,756-17,086
Assets-3,929,3434,079,7974,257,0624,328,9094,507,1394,560,6934,626,0444,674,0595,319,9715,486,2835,327,0965,404,015
Deposits-3,624,0003,686,9973,831,3753,845,0343,938,2914,030,9174,125,4304,210,0494,586,5664,757,8104,875,2244,973,482
Current deposits-----------211,530211,219
Ordinary deposits-----------3,220,8023,404,216
Savings deposits-----------47,19646,003
Deposits at notice-----------1,372782
Time deposits-----------1,361,1431,293,120
Installment savings-----------415118
Other deposits-----------38,40222,758
Negotiable certificates of deposit-25,51093,34098,907155,827188,765163,420157,430133,83071,39023,29016,07039,500
Call money-----------57,55139,518
Call money and bills sold-940926--24,70622,18730,52230,42235,42733,65757,55139,518
Cash collateral received for securities lent----7,25746,43421,62921,15116,13720,15817,47610,63810,955
Borrowed money-25,79624,95417,58618,49417,15215,71510,93311,890311,228358,39268,27612,380
Borrowings from other banks-----------58,300-
Foreign exchanges-114177342336162239199358223218390348
Foreign bills sold-----------153119
Foreign bills payable-----------237229
Borrowed money from trust account--------1,0433,2835,7357,7568,063
Other liabilities-26,14824,02624,45823,49020,71022,52924,51919,95425,50424,76624,27826,854
Income taxes payable-----------1,4592,088
Accrued expenses-----------1,3881,566
Unearned revenue-----------1,5321,509
Reserve for interest on installment savings-----------3939
Financial derivatives-----------2,2761,862
Cash collateral received for financial instruments-----------5752,758
Lease liabilities-----------267225
Asset retirement obligations-----------954864
Other-----------4,0353,903
Provision for bonuses-1,2281,2181,2281,2531,2511,2101,1481,1331,1521,1381,1291,150
Provision for bonuses for directors (and other officers)-13101010101191112373732
Provision for retirement benefits-5,545---------2,7732,613
Retirement benefit liability--5,2115,8034,3634,1203,8103,5423,4523,2552,9642,8102,490
Provision for reimbursement of deposits-27838447453975465149336632019614298
Provision for retirement benefits for directors (and other officers)------29303932273533
Provision for contingent loss-709612536412311219198256318307219187
Provision for loss on interest repayment-1088985574259445242442933
Provision for share-based compensation-----1438676078808375
Provision for reimbursement of deposits-27838447453975465149336632019614298
Deferred tax liabilities-------1,983992,1592843315,208
Provision for point card certificates-606368687678858896109110116
Deferred tax liabilities for land revaluation-4,9374,9104,4494,2274,2274,2274,2274,2274,2274,2274,2274,227
Provision for contingent loss-709612536412311219198256318307219187
Acceptances and guarantees-9,2948,5668,1417,7306,5164,8024,2004,7955,3154,9654,8345,119
Provision for share-based compensation-----1438676078808375
Liabilities-3,734,6883,877,0314,027,6844,099,8304,273,1644,313,6504,386,8304,438,6015,070,7915,235,7295,074,1795,129,877
Deferred tax liabilities-------1,983992,1592843315,208
Deferred tax liabilities for land revaluation-4,9374,9104,4494,2274,2274,2274,2274,2274,2274,2274,2274,227
Acceptances and guarantees-9,2948,5668,1417,7306,5164,8024,2004,7955,3154,9654,8345,119
Liabilities-3,734,6883,877,0314,027,6844,099,8304,273,1644,313,6504,386,8304,438,6015,070,7915,235,7295,074,1795,129,877
Share capital-45,74345,74345,74345,74345,74345,74345,74345,74345,74345,74345,74345,743
Capital surplus-38,35138,35138,35138,35138,29038,29138,29138,35238,35238,35338,35338,350
Legal capital surplus-----------38,35138,351
Other capital surplus-----------2-
Retained earnings-81,73589,584104,042113,922120,667128,901131,563136,947142,286148,605156,284163,202
Legal retained earnings-----------10,08710,087
Other retained earnings-----------134,483140,884
Reserve for tax purpose reduction entry of real estate-----------362354
General reserve-----------123,560130,560
Retained earnings brought forward-----------10,5609,969
Treasury shares--816-819-802-804-907-900-906-909-911-893-951-793
Shareholders' equity-165,013172,859187,334197,213203,793212,036214,692220,133225,471231,809239,430246,503
Valuation difference on available-for-sale securities-18,20218,46032,97627,11624,81328,75418,39110,54315,09910,4766,50014,060
Deferred gains or losses on hedges--1,423-999-1,190-2,056-1,399-1,279-1,453-1,454-311124-1521,765
Revaluation reserve for land-7,6537,6038,0648,2868,2868,2868,2868,2868,2868,2868,2868,286
Valuation and translation adjustments-24,43124,14040,92230,63329,86934,65524,13715,25323,63418,67613,41527,587
Remeasurements of defined benefit plans---9241,073-2,712-1,831-1,105-1,087-2,122559-210-1,2193,474
Share acquisition rights-37575874806666474738388
Valuation and translation adjustments-24,43124,14040,92230,63329,86934,65524,13715,25323,63418,67613,41527,587
Net assets177,984194,654202,766229,377229,078233,974247,043239,214235,458249,179250,554252,917274,138
Share acquisition rights-37575874806666474738388
Non-controlling interests---1,0611,1572302853182326293338
Net assets177,984194,654202,766229,377229,078233,974247,043239,214235,458249,179250,554252,917274,138
Liabilities and net assets-3,929,3434,079,7974,257,0624,328,9094,507,1394,560,6934,626,0444,674,0595,319,9715,486,2835,327,0965,404,015