The Yamagata Bank, Ltd.JP:8344

Market cap
¥34.2B
P/E ratio
16.4x
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-87,77737,50279,775106,159153,05682,34395,03786,123394,592646,471249,798197,119
Cash-----------25,20523,914
Due from banks-----------224,583173,198
Call loans and bills bought-72,64418,68334,59715,1498,3771,33913,9951,3101,4655,08020,7938,930
Call loans-----------20,7938,930
Monetary claims bought-6,16710,2859,7587,6025,6485,7974,9008,0517,5848,5525,4494,700
Money held in trust--------4811,2612,7639,53416,359
Securities-771,994854,183821,614741,165717,552732,995677,078758,083901,5131,087,504977,273893,825
Government bonds-----------91,744104,656
Local government bonds-----------181,907166,878
Corporate bonds-----------128,782120,363
Stocks-----------30,21533,667
Other securities-----------545,620469,238
Loans and bills discounted-1,326,1921,409,3511,470,2671,584,5091,674,2501,726,3341,699,1881,713,2481,739,7821,709,1071,793,4701,941,891
Bills discounted-----------2,9753,639
Loans on bills-----------18,38016,886
Loans on deeds-----------1,615,9771,762,778
Overdrafts-----------163,860167,351
Foreign exchanges-1,0291,5101,0281,2369799411,4642,491774865899983
Due from foreign banks (our accounts)-----------899983
Other assets-20,62420,93620,82621,37922,65639,24151,51952,90753,15347,16546,76147,457
Domestic exchange settlement account, debit-----------6691,069
Income taxes refund receivable-----------1,7461,694
Prepaid expenses-----------3236
Accrued revenue-----------2,6982,797
Financial derivatives-----------32511
Other-----------20,86520,856
Property, plant and equipment-13,26813,46113,92213,88414,54314,97714,51315,44515,41916,67716,75817,055
Buildings, net-3,1393,0213,6753,5723,6173,8183,6253,8023,8586,9666,6967,032
Land-8,9338,9238,9858,7899,1759,1098,8258,7828,3208,0037,8717,862
Leased assets, net-----------2218
Construction in progress-133196811130261271,0821,65825488361
Construction in progress-133196811130261271,0821,65825488361
Other, net-1,1811,1971,1931,4111,7192,0221,9341,7771,5821,6811,7011,799
Other, net-1,1811,1971,1931,4111,7192,0221,9341,7771,5821,6811,7011,799
Intangible assets-1,3661,2011,0361,6331,9261,9902,7833,5543,5404,3143,8493,375
Software-1,1479838191,4171,7161,7812,5753,3463,3244,0793,6463,174
Other-218217217216210208208207215235202200
Retirement benefit asset---1,905112940930243-1,3363,1973,4125,895
Prepaid pension costs-----------1,9132,509
Deferred tax assets-------3551,96538947710,6134,875
Customers' liabilities for acceptances and guarantees-21,23219,76418,12517,01919,61518,72025,41619,28118,06015,14514,48812,522
Allowance for loan losses--10,401-8,045-6,334-6,472-7,077-7,727-9,522-9,824-9,907-8,971-8,643-8,624
Assets-2,312,4132,379,3102,466,8782,503,6722,612,7842,618,1792,576,9802,653,1193,128,9683,538,3523,144,4603,146,366
Deposits-1,977,2462,019,5212,036,4212,075,3902,180,4602,206,8192,212,7922,267,1332,579,3492,707,6462,746,2862,774,302
Current deposits-----------104,229120,313
Ordinary deposits-----------1,773,0731,845,130
Savings deposits-----------26,05025,440
Time deposits-----------752,665718,907
Installment savings-----------5,9925,534
Other deposits-----------86,29561,063
Negotiable certificates of deposit-114,39399,723103,112119,845115,701114,497104,121101,11180,83496,40879,88965,219
Call money and bills sold-538-39,98015,21111,2197,968-19,5891,992119,07413,35314,838
Call money-----------13,35314,838
Cash collateral received for securities lent-15,36621,20425,21435,13045,12626,53629,65365,5058,31839,54720,431-
Borrowed money-25,49149,42946,91548,08853,24554,24516,13313,505258,073386,868119,858119,633
Borrowings from other banks-----------115,965116,276
Foreign exchanges-3855573853326129363146123
Foreign bills sold-----------3666
Foreign bills payable-----------956
Other liabilities-17,01118,89518,17116,70016,32715,34316,68916,79015,37816,22514,65814,121
Domestic exchange settlement account, credit-----------8931,273
Accrued expenses-----------1,7882,007
Unearned revenue-----------526405
Reserve for interest on installment savings-------------
Financial derivatives-----------3,0191,780
Lease liabilities-----------2420
Asset retirement obligations-----------262160
Other-----------2,8062,973
Provision for bonuses for directors (and other officers)-202021252225252222222218
Provision for share-based compensation-liabilities-----244577101968497130
Retirement benefit liability--684424747485346852575151
Provision for reimbursement of deposits-1871587855471431631681221098286
Provision for retirement benefits for directors (and other officers)-276305314275258910151216
Provision for contingent loss-----------236283
Provision for share-based compensation-liabilities-----244577101968497130
Deferred tax liabilities for land revaluation-1,6121,5861,4201,3251,3241,3081,2771,2701,1561,1311,1071,106
Provision for reimbursement of deposits-1871587855471431631681221098286
Acceptances and guarantees-21,23219,76418,12517,01919,61518,72025,41619,28118,06015,14514,48812,522
Provision for contingent loss-147225214220226301249304290259236283
Liabilities-2,178,5642,237,6272,312,1842,347,7282,459,2702,460,7372,420,2192,505,4122,967,1553,382,7233,010,7303,002,560
Provision for loss on interest repayment-22521879716260585656565656
Deferred tax liabilities-------2,296133,248394948
Deferred tax liabilities for land revaluation-1,6121,5861,4201,3251,3241,3081,2771,2701,1561,1311,1071,106
Acceptances and guarantees-21,23219,76418,12517,01919,61518,72025,41619,28118,06015,14514,48812,522
Liabilities-2,178,5642,237,6272,312,1842,347,7282,459,2702,460,7372,420,2192,505,4122,967,1553,382,7233,010,7303,002,560
Share capital-12,00812,00812,00812,00812,00812,00812,00812,00812,00812,00812,00812,008
Capital surplus-4,9394,9394,9344,93410,21510,21510,21510,21510,21510,21510,21510,215
Legal capital surplus-----------4,9324,932
Retained earnings-96,216101,464106,816112,612116,853120,721123,665125,128127,139126,679128,946129,520
Legal retained earnings-----------7,0767,076
Other retained earnings-----------118,897119,526
General reserve-----------114,520116,020
Retained earnings brought forward-----------4,3773,506
Treasury shares--820-828-2,972-2,976-3,171-3,176-3,178-3,173-3,142-901-881-882
Shareholders' equity-112,343117,583120,787126,578135,906139,769142,711144,179146,220148,002150,288150,862
Valuation difference on available-for-sale securities-17,13618,33326,86324,11118,82418,65416,3796,86515,0686,315-18,150-10,567
Deferred gains or losses on hedges--3,108-2,370-2,845-3,431-2,578-2,184-2,701-3,267-839-1,174-598-374
Revaluation reserve for land-1,0121,0731,1791,1821,1881,1641,0971,1099721,0099721,354
Valuation and translation adjustments-15,03917,06326,31421,30017,45717,52313,8923,36515,4267,455-16,734-7,234
Remeasurements of defined benefit plans--281,116-56224-110-883-1,3422251,3051,0412,352
Net assets119,872133,849141,682154,694155,944153,514157,442156,761147,706161,812155,628133,729143,805
Valuation and translation adjustments-15,03917,06326,31421,30017,45717,52313,8923,36515,4267,455-16,734-7,234
Non-controlling interests---7,5938,066149149157161165170175177
Net assets119,872133,849141,682154,694155,944153,514157,442156,761147,706161,812155,628133,729143,805
Liabilities and net assets-2,312,4132,379,3102,466,8782,503,6722,612,7842,618,1792,576,9802,653,1193,128,9683,538,3523,144,4603,146,366