The Chiba Kogyo Bank, Ltd.JP:8337

Market cap
¥60.2B
P/E ratio
8x
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-40,49378,14662,590121,844128,541120,519148,100132,574359,415685,727261,918258,928
Cash-----------34,00834,010
Due from banks-----------227,903224,911
Monetary claims bought-8,5071,327747564131103979797979797
Trading securities-132110128153446910211013215489136
Trading local government bonds-----------89136
Securities-541,215521,051553,652512,436515,741497,174506,188487,853528,844519,922499,635525,434
Government bonds-----------40,99799,050
Local government bonds-----------133,168137,532
Corporate bonds-----------134,888126,713
Stocks-----------36,96647,731
Other securities-----------153,186113,369
Loans and bills discounted-1,654,9701,720,1481,822,1541,912,6151,989,7202,053,4572,084,5162,156,8612,295,3182,304,7772,354,2932,377,146
Bills discounted-----------4,8134,834
Loans on bills-----------33,12234,462
Loans on deeds-----------2,130,0632,134,096
Overdrafts-----------188,770207,546
Foreign exchanges-2,1692,8233,2323,8682,5013,1072,9815,2883,3773,7503,1743,246
Due from foreign banks (our accounts)-----------2,1051,845
Foreign bills bought-----------10333
Foreign bills receivable-----------1,0581,067
Other assets-29,04828,76228,99128,34628,17233,93044,09041,99739,69136,75340,28942,177
Prepaid expenses-----------1211
Accrued revenue-----------2,1972,275
Margin deposits for futures transactions-----------99
Financial derivatives-----------1,3011,591
Other-----------14,48314,956
Property, plant and equipment-20,20420,15519,79919,90319,95821,42020,90620,62820,18619,32419,03318,915
Buildings, net-6,4346,6086,4856,5546,7247,0986,8976,7126,3805,9796,0456,066
Land-10,93710,93710,93410,95510,92312,18712,14412,14412,04811,71011,39810,806
Leased assets, net-525039444567606263537760
Construction in progress-50-7925-----58-
Other, net-2,7292,5582,3322,3392,2402,0661,8031,7071,6941,5801,4551,982
Other, net-2,7292,5582,3322,3392,2402,0661,8031,7071,6941,5801,4551,982
Intangible assets-2,7842,7632,4692,4162,6332,6222,5752,9203,2122,6702,7042,865
Software-2,3322,3212,0432,0042,0182,0622,0752,4712,8242,4202,4512,613
Leased assets-63523722226170111594153
Other-389389389388389388388388383247247247
Other-389389389388389388388388383247247247
Retirement benefit asset------------1,154
Deferred tax assets-------2,8603,9785052611,11776
Deferred tax assets-------2,8603,9785052611,11776
Customers' liabilities for acceptances and guarantees-22,76614,37413,70214,15911,63811,95111,4397,1276,1935,8446,4637,167
Customers' liabilities for acceptances and guarantees-22,76614,37413,70214,15911,63811,95111,4397,1276,1935,8446,4637,167
Allowance for loan losses--14,193-13,526-12,847-12,021-12,254-11,193-9,463-8,046-8,737-8,781-8,687-8,121
Allowance for loan losses--14,193-13,526-12,847-12,021-12,254-11,193-9,463-8,046-8,737-8,781-8,687-8,121
Assets-2,405,8132,397,8952,502,7202,612,0582,694,5802,739,4442,814,3942,851,3903,248,2363,570,5023,180,1293,229,226
Assets-2,405,8132,397,8952,502,7202,612,0582,694,5802,739,4442,814,3942,851,3903,248,2363,570,5023,180,1293,229,226
Deposits-2,153,2662,199,0402,269,1182,338,3592,390,4752,437,9042,499,0752,547,0172,768,8962,803,3352,821,8282,876,448
Current deposits-----------76,97285,293
Ordinary deposits-----------1,875,5391,958,977
Savings deposits-----------28,35828,695
Deposits at notice-----------6,4993,224
Time deposits-----------836,654799,244
Installment savings-----------21
Other deposits-----------10,2049,180
Negotiable certificates of deposit-5,1708,54012,20056,10065,70065,00072,50068,000108,500129,700129,700105,200
Borrowed money-21,56319,31237,82123,48526,08424,35418,58921,490145,202423,64621,83027,217
Borrowings from other banks-----------8,90014,700
Foreign exchanges-243413748879655643164128135
Due to foreign banks (their accounts)-----------96131
Foreign bills sold-----------313
Other liabilities-14,29320,36720,11821,49322,03715,34915,84822,82323,74125,30325,53321,600
Income taxes payable-----------9821,949
Accrued expenses-----------1,6031,754
Unearned revenue-----------836706
Reserve for interest on installment savings-------------
Financial derivatives-----------814888
Cash collateral received for financial instruments-----------8931,335
Lease liabilities-----------123127
Other-----------11,5496,855
Provision for retirement benefits-6,149---------2,7262,699
Retirement benefit liability--8,6726,99910,5629,4558,5247,9418,3565,4463,9933,420132
Provision for share awards-----------105224
Provision for retirement benefits for directors (and other officers)-13817456494657626358383335
Provision for reimbursement of deposits-6988841,0161,0361,0561,0937404832951547044
Provision for share awards-----------105224
Provision for contingent loss------------265
Provision for reimbursement of deposits-6988841,0161,0361,0561,0937404832951547044
Deferred tax liabilities-------811342,7291,6312963,473
Provision for contingent loss------------265
Acceptances and guarantees-22,76614,37413,70214,15911,63811,95111,4397,1276,1935,8446,4637,167
Deferred tax liabilities-------811342,7291,6312963,473
Liabilities-2,224,0722,271,4012,363,4512,465,3202,543,8562,582,8232,641,8112,684,4973,065,7453,395,0563,009,4103,041,946
Acceptances and guarantees-22,76614,37413,70214,15911,63811,95111,4397,1276,1935,8446,4637,167
Liabilities-2,224,0722,271,4012,363,4512,465,3202,543,8562,582,8232,641,8112,684,4973,065,7453,395,0563,009,4103,041,946
Share capital-57,94157,94157,94162,12062,12062,12062,12062,12062,12062,12062,12062,120
Capital surplus-64,7924,5662,7926,9719,4139,40217,79815,80216,1727,8896,9716,971
Legal capital surplus-----------6,9716,971
Retained earnings-48,99155,81959,01164,83169,10573,81876,94280,41383,61388,44092,79596,889
Legal retained earnings-----------6,8337,099
Other retained earnings-----------80,71088,449
Retained earnings brought forward-----------80,71088,449
Treasury shares--64-66-69-67-60-39-15-947-937-937-2,350-2,338
Shareholders' equity-171,661118,260119,677133,856140,579145,301156,845157,388160,969157,512159,536163,643
Valuation difference on available-for-sale securities-8,2897,36317,43313,2789,6029,99614,2778,66118,72014,4957,29115,902
Deferred gains or losses on hedges-----------47284
Valuation and translation adjustments-8,2896,11217,13110,1887,1778,02212,3866,09717,79214,0946,94018,867
Remeasurements of defined benefit plans---1,251-301-3,090-2,425-1,974-1,891-2,563-928-400-3982,680
Share acquisition rights---15314759698394120122145
Valuation and translation adjustments-8,2896,11217,13110,1887,1778,02212,3866,09717,79214,0946,94018,867
Net assets134,678181,741126,493139,269146,737150,724156,621172,583166,892182,491175,445170,718187,280
Share acquisition rights---15314759698394120122145
Non-controlling interests---2,4442,6612,9193,2373,2813,3233,6353,7184,1194,624
Net assets134,678181,741126,493139,269146,737150,724156,621172,583166,892182,491175,445170,718187,280
Liabilities and net assets-2,405,8132,397,8952,502,7202,612,0582,694,5802,739,4442,814,3942,851,3903,248,2363,570,5023,180,1293,229,226