The Yamanashi Chuo Bank,Ltd.JP:8360

Market cap
¥53.4B
P/E ratio
9.5x
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-98,997136,29569,226109,493260,999311,546517,074357,267740,601895,501896,640695,774
Cash-----------26,31942,066
Due from banks-----------870,320653,707
Call loans and bills bought-15,9024,76634,28741,229192,9336,6704,5292,81814,488-1,3605,725
Call loans-----------1,3605,725
Monetary claims bought-10,79610,90211,71610,80411,18113,73513,48612,27413,56414,30917,11724,605
Money held in trust-311------9,9915,0005,00010,4753,628
Securities-1,370,5631,415,2531,515,3141,518,0431,241,6511,255,3681,135,6171,223,5161,309,6781,414,6021,093,8811,018,579
Government bonds-----------152,901141,154
Local government bonds-----------321,182275,777
Corporate bonds-----------137,494137,820
Stocks-----------52,85268,573
Other securities-----------428,434395,692
Loans and bills discounted-1,499,8751,440,4011,488,6481,514,5371,541,6511,619,9761,704,2591,801,5801,986,1322,049,0472,290,6532,513,085
Bills discounted-----------3,6763,614
Loans on bills-----------51,09950,347
Loans on deeds-----------2,105,5662,327,660
Overdrafts-----------136,135138,738
Foreign exchanges-1,1211,4421,0671,3811,6292,9624,0422,8623,6305,9382,6341,559
Due from foreign banks (our accounts)-----------2,6321,556
Foreign bills bought-----------12
Other assets-15,04313,32512,99822,82215,52073,77774,75975,84485,00555,68231,81661,593
Prepaid expenses-----------310378
Accrued revenue-----------2,3452,267
Financial derivatives-----------884426
Margin for central counterparty-----------17,00017,000
Other-----------1,57829,792
Property, plant and equipment-24,78524,66325,54626,05225,41424,72424,17623,36722,71722,02121,71321,427
Buildings, net----------8,7528,3157,838
Land-13,11113,23513,52113,55913,38012,91712,75512,04911,42710,86711,09611,045
Leased assets, net-----------494873
Construction in progress-5581,1036221535972934688571-27
Construction in progress-5581,1036221535972934688571-27
Other, net-2,7532,3812,5503,0842,8002,7342,5852,4722,5302,4002,3022,516
Other, net-2,7532,3812,5503,0842,8002,7342,5852,4722,5302,4002,3022,516
Intangible assets-5,8705,0434,0913,2393,0082,7752,9813,1913,2563,0333,6083,681
Software-4,5603,6372,7482,4992,5142,2751,9032,3242,1932,2662,0622,682
Software in progress-8841,0151,0094081611687475787955001,280733
Leased assets-1---------45106
Other-424390332332332332331288267266264265
Software in progress-8841,0151,0094081611687475787955001,280733
Other-424390332332332332331288267266264265
Retirement benefit asset--1,1232,585--1,1123,0212,4006,9418,3619,86919,943
Prepaid pension costs-----------11,41612,220
Deferred tax assets-------1,6512,1448649005,892253
Customers' liabilities for acceptances and guarantees-5,9255,3864,9684,5614,4874,2855,8625,5775,3227,0877,3617,491
Allowance for loan losses--20,768-17,677-14,944-15,555-15,164-12,063-10,654-11,422-11,540-11,707-12,567-11,167
Assets-3,028,9163,041,3233,155,9033,239,1173,285,4083,306,5023,480,8083,511,4124,185,6724,469,7794,380,4584,366,180
Deposits-2,546,9172,635,8752,701,4372,719,8292,800,4292,874,3952,922,8982,976,5873,389,2263,459,2763,499,9293,577,666
Current deposits-----------124,820119,197
Ordinary deposits-----------2,300,5212,421,154
Savings deposits-----------19,95320,892
Deposits at notice-----------730560
Time deposits-----------1,028,958986,403
Other deposits-----------26,96732,124
Negotiable certificates of deposit-133,794125,777103,832122,41861,86167,32862,09656,90748,36150,42447,72354,938
Cash collateral received for securities lent--7,53726,09583,469152,24320,20813,34435,34912,21570,969135,18414,513
Borrowed money-105,82621,63722,71020,3675,48691,825222,065207,485460,831629,080458,677434,692
Borrowings from other banks-----------458,200434,396
Foreign exchanges-108113183742801,28493763175984369398
Foreign bills sold-----------342252
Foreign bills payable-----------27146
Other liabilities-20,43124,76726,33126,55228,86619,19517,16624,90236,39233,70635,26051,393
Domestic exchange settlement account, credit-----------3238
Income taxes payable-----------1,056161
Accrued expenses-----------815856
Unearned revenue-----------668496
Financial derivatives-----------2,025840
Lease liabilities-----------6361,123
Other-----------26,23143,258
Provision for bonuses-------1,2561,0511,0301,6351,7581,844
Provision for bonuses for directors (and other officers)-454544464746443334302739
Provision for reimbursement of deposits-275190237261210229230291247202272193
Provision for retirement benefits for directors (and other officers)-1267914121110711116
Provision for contingent loss-279236107135157141128146131121152158
Provision for reimbursement of deposits-275190237261210229230291247202272193
Deferred tax liabilities-------12,1412,77510,3554,7544644,543
Provision for contingent loss-279236107135157141128146131121152158
Acceptances and guarantees-5,9255,3864,9684,5614,4874,2855,8625,5775,3227,0877,3617,491
Deferred tax liabilities-------12,1412,77510,3554,7544644,543
Liabilities-2,835,2962,842,0642,918,4623,003,9593,068,4313,089,1913,258,4193,311,7503,964,2324,258,2854,187,1944,147,878
Acceptances and guarantees-5,9255,3864,9684,5614,4874,2855,8625,5775,3227,0877,3617,491
Liabilities-2,835,2962,842,0642,918,4623,003,9593,068,4313,089,1913,258,4193,311,7503,964,2324,258,2854,187,1944,147,878
Share capital-15,40015,40015,40015,40015,40015,40015,40015,40015,40015,40015,40015,400
Capital surplus-8,2878,2878,2878,2878,2878,2878,2878,3988,3988,3988,8719,893
Legal capital surplus-----------8,2878,287
Other capital surplus------------16
Retained earnings-132,330140,009145,268153,207158,984162,550164,099165,000166,943170,037173,753177,854
Legal retained earnings-----------9,4059,405
Other retained earnings-----------157,677161,731
Reserve for tax purpose reduction entry of non-current assets-----------204204
Reserve for special account for tax purpose reduction entry of non-current assets------------8
General reserve-----------150,101152,101
Retained earnings brought forward-----------7,3719,417
Treasury shares--1,566-2,423-1,126-2,009-3,259-3,685-2,006-1,347-1,263-1,163-2,116-2,897
Shareholders' equity-154,451161,272167,829174,886179,412182,551185,780187,451189,479192,673195,907200,251
Valuation difference on available-for-sale securities-37,78937,45068,04263,15239,15935,08836,90613,91230,39517,257-4,06511,723
Valuation and translation adjustments-37,78936,37967,78258,28535,19732,18833,8749,49229,06615,674-5,14117,095
Remeasurements of defined benefit plans---1,071-259-4,866-3,962-2,900-3,031-4,393-1,511-1,583-1,0755,371
Share acquisition rights-719012413317315517414713810910954
Valuation and translation adjustments-37,78936,37967,78258,28535,19732,18833,8749,49229,06615,674-5,14117,095
Net assets172,343193,620199,258237,440235,158216,977217,311222,388199,661221,439211,494193,263218,301
Share acquisition rights-719012413317315517414713810910954
Non-controlling interests---1,7031,8532,1942,4152,5592,5702,7553,0362,387900
Net assets172,343193,620199,258237,440235,158216,977217,311222,388199,661221,439211,494193,263218,301
Liabilities and net assets-3,028,9163,041,3233,155,9033,239,1173,285,4083,306,5023,480,8083,511,4124,185,6724,469,7794,380,4584,366,180