The Hachijuni Bank, Ltd.JP:8359

Market cap
¥445.1B
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-346,224478,425339,266439,755885,4561,348,7671,970,7301,650,7522,753,9594,049,6423,600,6933,717,670
Cash-----------123,88992,155
Due from banks-----------3,462,0523,548,064
Call loans and bills bought-22,57223,08858,74024,855100,48511,36733,53522,82130,00020,00014,9787,569
Call loans-----------14,9787,569
Monetary claims bought-46,40553,49359,03257,74460,83658,11359,41478,86998,202116,411126,212127,461
Trading account assets-39,37921,00217,69611,91215,44414,41513,37329,55912,15713,37018,77345,596
Trading securities-----------680357
Trading account financial derivatives-----------7,0946,253
Other trading account assets-----------10,99838,985
Money held in trust-29,73563,90964,82161,76861,65160,57776,40579,30180,01579,44878,87779,993
Securities-2,274,6842,379,1402,740,7582,680,2982,459,7322,510,1422,766,0172,911,1323,326,2412,801,6552,676,6953,643,073
Government bonds-----------546,702531,088
Local government bonds-----------341,933380,588
Corporate bonds-----------592,756800,245
Stocks-----------530,343773,560
Other securities-----------673,821860,471
Loans and bills discounted-4,316,2844,393,2594,506,8834,635,4024,864,1445,040,0985,261,9465,395,2465,541,1545,931,3156,113,1786,781,218
Bills discounted-----------13,71313,363
Loans on bills-----------113,34263,333
Loans on deeds-----------5,301,1495,355,461
Overdrafts-----------727,893771,265
Foreign exchanges-22,94518,15521,65722,52924,75616,49220,97220,01934,41730,54628,25526,812
Due from foreign banks (our accounts)-----------25,42722,639
Foreign bills bought-----------2,5281,979
Foreign bills receivable-----------299307
Other assets-89,11161,60896,012129,193112,716123,094122,435155,098141,736152,789147,534196,387
Domestic exchange settlement account, debit-----------1818
Prepaid expenses-----------837813
Accrued revenue-----------8,40611,704
Financial derivatives-----------42,33467,436
Cash collateral paid for financial instruments-----------9,01822,700
Other-----------65,58560,487
Lease receivables and investments in leases-56,53560,40361,78063,99563,58365,01166,44269,54969,98968,04169,84889,110
Other assets-89,11161,60896,012129,193112,716123,094122,435155,098141,736152,789147,534196,387
Domestic exchange settlement account, debit-----------1818
Prepaid expenses-----------837813
Accrued revenue-----------8,40611,704
Financial derivatives-----------42,33467,436
Cash collateral paid for financial instruments-----------9,01822,700
Other-----------65,58560,487
Property, plant and equipment-35,43138,02638,22338,70638,05635,45834,63234,34333,77834,37832,28437,329
Buildings, net-10,38811,08310,88012,57812,29311,59810,97111,10911,01611,54612,34913,015
Land-15,09614,94514,87914,61213,98612,49112,12611,65211,33711,1449,13111,493
Leased assets, net-591591259157251---263407
Construction in progress-91,5251,823292315565736063609239545
Other, net-9,87710,31310,51311,13211,40111,28710,95810,97411,06410,76410,70712,367
Property, plant and equipment-35,43138,02638,22338,70638,05635,45834,63234,34333,77834,37832,28437,329
Buildings, net-10,38811,08310,88012,57812,29311,59810,97111,10911,01611,54612,34913,015
Land-15,09614,94514,87914,61213,98612,49112,12611,65211,33711,1449,13111,493
Leased assets, net-591591259157251---263407
Construction in progress-91,5251,823292315565736063609239545
Other, net-9,87710,31310,51311,13211,40111,28710,95810,97411,06410,76410,70712,367
Intangible assets-4,8175,1695,6305,7675,2215,5095,4445,0414,7474,6284,4994,458
Software-4,1744,5324,9985,1414,5994,8904,8264,4274,1364,0183,8893,791
Other-642637631625621618618613611609610652
Leased assets------------13
Other-642637631625621618618613611609610652
Intangible assets-4,8175,1695,6305,7675,2215,5095,4445,0414,7474,6284,4994,458
Software-4,1744,5324,9985,1414,5994,8904,8264,4274,1364,0183,8893,791
Other-642637631625621618618613611609610652
Leased assets------------13
Other-642637631625621618618613611609610652
Prepaid pension costs-----------27,38730,737
Retirement benefit asset--16,72924,25015,77523,68928,55023,04020,85642,13942,80345,39770,388
Customers' liabilities for acceptances and guarantees-43,18539,07935,54933,70932,21834,44536,41333,22935,42438,11349,47453,936
Deferred tax assets-------1,9532,2872,0231,7801,6221,652
Allowance for loan losses--75,755-66,935-58,478-51,089-46,233-44,960-41,225-37,560-45,351-41,129-44,527-54,905
Customers' liabilities for acceptances and guarantees-43,18539,07935,54933,70932,21834,44536,41333,22935,42438,11349,47453,936
Assets-7,254,9787,587,7358,014,2848,172,5088,703,8489,309,04310,451,53310,470,54712,160,63813,343,79612,963,79914,827,752
Allowance for loan losses--75,755-66,935-58,478-51,089-46,233-44,960-41,225-37,560-45,351-41,129-44,527-54,905
Assets-7,254,9787,587,7358,014,2848,172,5088,703,8489,309,04310,451,53310,470,54712,160,63813,343,79612,963,79914,827,752
Deposits-5,808,6375,986,8806,237,3436,229,0886,390,7786,586,9696,734,8476,975,5047,654,3188,049,8758,168,0359,437,959
Current deposits-----------376,053416,622
Ordinary deposits-----------5,238,8855,519,939
Savings deposits-----------58,82558,825
Time deposits-----------2,342,7822,329,024
Installment savings-----------32,23430,614
Other deposits-----------137,620112,669
Negotiable certificates of deposit-372,257528,951453,618536,769502,283503,652512,915257,674139,665132,50779,13355,194
Call money-----------1,492,1641,179,536
Call money and bills sold-29,50119,2158,588125,1033,594-990,000845,982676,7451,504,8611,492,1641,179,536
Securities sold under repurchase agreements------82,22363,74079,77077,62753,041102,282174,836
Cash collateral received for securities lent-97,707125,270248,563228,597596,632681,737521,091537,369784,779322,484332,031323,201
Trading account liabilities-6,7746,4316,2824,4064,7354,9604,3563,4443,0664,2796,6725,873
Trading account financial derivatives-----------6,6725,873
Borrowed money-161,496121,62688,02487,066234,613443,483637,891785,9471,639,1182,087,6341,559,6552,105,286
Borrowings from other banks-----------1,552,6802,094,816
Foreign exchanges-2,4761,0631,3752,1311,5728912,0335441,3309601,5032,379
Due to foreign banks (our accounts)-----------1-
Foreign bills sold-----------223318
Foreign bills payable-----------1,2782,054
Borrowed money from trust account----------3607841,181
Other liabilities-112,995101,534154,871166,483105,33799,10097,792128,242104,351108,104129,223164,464
Domestic exchange settlement account, credit-----------2742
Income taxes payable-----------4,3242,818
Accrued expenses-----------8,60513,527
Unearned revenue-----------2,0172,009
Reserve for interest on installment savings-------------
Financial derivatives-----------19,26729,419
Cash collateral received for financial instruments-----------9,7687,652
Lease liabilities-----------288307
Asset retirement obligations-----------144277
Other-----------59,21871,877
Provision for retirement benefits-14,920---------9,98110,697
Provision for share awards for directors (and other officers)------------97
Provision for reimbursement of deposits-603700825919879836901894823499271274
Retirement benefit liability--14,92711,85412,47612,05812,26912,36812,49411,66711,65311,24712,142
Provision for contingent loss-1,1871,2691,3081,3311,1121,0009279841,3161,3411,2171,738
Provision for reimbursement of deposits-603700825919879836901894823499271274
Deferred tax liabilities-------70,73660,022120,695115,367114,134189,069
Provision for contingent loss-1,1871,2691,3081,3311,1121,0009279841,3161,3411,2171,738
Acceptances and guarantees-43,18539,07935,54933,70932,21834,44536,41333,22935,42438,11349,47453,936
Reserves under special laws-791111899912121215
Liabilities-6,691,7406,993,6827,322,0767,486,3507,960,2938,531,9749,686,0249,722,11511,250,94312,431,09712,047,84513,709,476
Provision for loss on cancellation of system contracts------------2,287
Deferred tax liabilities-------70,73660,022120,695115,367114,134189,069
Acceptances and guarantees-43,18539,07935,54933,70932,21834,44536,41333,22935,42438,11349,47453,936
Liabilities-6,691,7406,993,6827,322,0767,486,3507,960,2938,531,9749,686,0249,722,11511,250,94312,431,09712,047,84513,709,476
Share capital-52,24352,24352,24352,24352,24352,24352,24352,24352,24352,24352,24352,243
Capital surplus-29,67429,67429,67434,51634,51634,48434,48454,17359,18159,17656,96071,074
Legal capital surplus-----------29,60929,609
Other capital surplus------------14,113
Retained earnings-346,651367,343386,589408,739427,451446,197462,187477,336492,869512,403519,053546,496
Legal retained earnings-----------47,61047,610
Other retained earnings-----------434,048451,594
Reserve for tax purpose reduction entry of non-current assets-----------1,6231,619
Reserve for special account for tax purpose reduction entry of non-current assets-----------269256
General reserve-----------399,600399,600
Retained earnings brought forward-----------32,55650,118
Treasury shares--7,209-7,179-5,015-3,153-3,154-4,864-8,845-11,789-11,629-11,576-10,848-20,713
Shareholders' equity-421,358442,081463,491492,344511,056528,061540,069571,964592,665612,246617,409649,099
Valuation difference on available-for-sale securities-134,197137,540223,235217,206212,936217,035205,593185,821294,333268,743267,636411,889
Deferred gains or losses on hedges--15,330-10,343-27,175-43,745-9,979-3,008-11,386-17,4144,42615,67016,30527,116
Valuation and translation adjustments-118,042125,090198,481169,307205,758220,370196,313168,023313,354296,680295,427464,797
Remeasurements of defined benefit plans---1,6932,420-4,1532,8016,3432,107-38214,59412,26611,48525,792
Share acquisition rights-204233271274343312359365272271288141
Valuation and translation adjustments-118,042125,090198,481169,307205,758220,370196,313168,023313,354296,680295,427464,797
Net assets492,643563,238594,052692,208686,158743,555777,068765,509748,432909,694912,698915,9531,118,275
Share acquisition rights-204233271274343312359365272271288141
Non-controlling interests---29,96424,23126,39628,32428,7678,0783,4023,4992,8284,236
Net assets492,643563,238594,052692,208686,158743,555777,068765,509748,432909,694912,698915,9531,118,275
Liabilities and net assets-7,254,9787,587,7358,014,2848,172,5088,703,8489,309,04310,451,53310,470,54712,160,63813,343,79612,963,79914,827,752