The Fukui Bank, Ltd.JP:8362

Market cap
¥44.9B
P/E ratio
14.9x
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-35,198175,221189,296170,883296,821354,714435,326474,536903,6631,200,2201,108,538896,184
Cash-----------31,01920,525
Due from banks-----------988,675857,263
Trading securities-227193205449709504570591482399370-
Trading government bonds-----------333-
Trading local government bonds-----------36-
Money held in trust-5,5006,0036,3036,4046,4046,4006,5006,5046,5026,8026,8027,300
Securities-600,180566,617635,078658,366636,661609,185613,594660,304725,306748,305570,478824,467
Government bonds-----------34,195249,437
Local government bonds-----------95,95076,837
Corporate bonds-----------175,946189,625
Stocks-----------45,47457,964
Other securities-----------217,122257,452
Loans and bills discounted-1,422,4431,488,1501,540,1411,574,0651,591,8061,617,8551,661,2281,719,1901,790,1642,138,1112,214,4872,340,316
Bills discounted-----------3,9974,073
Loans on bills-----------30,80825,343
Loans on deeds-----------1,625,4121,723,714
Overdrafts-----------217,119252,952
Foreign exchanges-5,9106,4338,8898,2139,62910,7749,3698,5387,5339,7578,8587,406
Due from foreign banks (our accounts)-----------6,1625,175
Foreign bills bought-----------2,6902,180
Foreign bills receivable-----------550
Other assets-23,19024,31424,43726,87640,56551,81951,72554,31653,21564,25162,68264,248
Accrued revenue-----------1,5562,253
Financial derivatives-----------1,7171,029
Cash collateral paid for financial instruments-----------3,4671,437
Other-----------27,44727,976
Property, plant and equipment-21,79921,34321,10720,53322,42823,84725,95027,75830,29431,46231,16731,170
Buildings, net-4,4064,1283,9543,4353,7385,6845,4175,30413,11413,43513,02012,946
Land-15,87915,82415,73515,61015,46215,24015,10314,78414,93015,89715,63715,331
Leased assets, net-22181141015232223112163185
Construction in progress--1245301,010103,1325,879210107550368
Other, net-1,4901,3581,3601,4522,2062,8972,2741,7662,0151,9081,7962,337
Intangible assets-9656588065653742284123102641,2221,1991,186
Software-8505357445153151701042522071,1301,0101,101
Other-1141236149585830757569118885
Deferred tax assets-------8762,7729351,4666,3382,036
Customers' liabilities for acceptances and guarantees-13,24612,65611,90512,9519,6779,6959,4148,9538,5678,7479,2548,666
Allowance for loan losses--18,899-18,001-17,441-16,600-16,842-13,376-13,095-13,707-14,521-19,394-18,417-18,614
Assets-2,198,9082,313,1822,427,5142,464,1212,599,6192,673,1652,802,6932,951,0193,513,3154,191,3544,001,7604,164,371
Deposits-1,978,1152,032,6122,080,5022,078,5172,147,7472,217,0682,314,0112,405,8192,672,0533,248,5983,290,5663,316,221
Current deposits-----------219,183233,790
Ordinary deposits-----------1,696,7831,754,469
Savings deposits-----------15,01715,932
Deposits at notice-----------213195
Time deposits-----------853,063822,829
Installment savings-----------1,145838
Other deposits-----------76,95261,119
Negotiable certificates of deposit-50,24559,17060,18173,11097,411107,03186,18682,726102,84271,13979,48995,020
Securities sold under repurchase agreements------28,40116,66161,15871,94727,507-1,530
Cash collateral received for securities lent--19,85959,08388,79284,32447,45741,1128,0908,6739,5256,526-
Borrowed money-6,03522,54137,57936,05796,723109,709177,431217,183475,895647,870448,318572,888
Borrowings from other banks-----------446,143650,905
Foreign exchanges-16546213313813468190195998810995
Foreign bills sold------------4
Foreign bills payable-----------10991
Other liabilities-12,32822,67425,62122,90924,34514,98915,44430,10924,60427,54229,11119,289
Income taxes payable-----------90418
Accrued expenses-----------774902
Unearned revenue-----------738669
Reserve for interest on installment savings-------------
Financial derivatives-----------1,6631,205
Cash collateral received for financial instruments-----------43470
Lease liabilities-----------1321
Other-----------15,1074,075
Provision for bonuses-213218221218222227228228229443436426
Provision for bonuses for directors (and other officers)--25-25251788810519
Provision for retirement benefits-4,933---------5,1915,044
Retirement benefit liability--4,9335,3295,3185,1915,2175,2935,4055,3736,0395,8685,568
Provision for share awards for directors (and other officers)--------144166192198210
Provision for retirement benefits for directors (and other officers)----------1103927
Provision for reimbursement of deposits-328325327323318341343272228236218170
Provision for share awards for directors (and other officers)--------144166192198210
Provision for contingent loss-328324279263232218198212183204227252
Provision for reimbursement of deposits-328325327323318341343272228236218170
Provision for point card certificates------28445466676876
Provision for contingent loss-328324279263232218198212183204227252
Deferred tax liabilities for land revaluation-3,1343,1282,8302,6362,6352,5632,5492,4352,4262,4072,3882,382
Provision for point card certificates------28445466676876
Acceptances and guarantees-13,24612,65611,90512,9519,6779,6959,4148,9538,5678,7479,2548,666
Allowance for demolition of non-current assets-----------2316
Liabilities-2,079,5462,189,4362,295,7842,326,2342,475,5272,544,8542,671,1702,827,2603,376,7074,050,7333,873,0504,022,863
Allowance for loss transfer of shares-----------61-
Deferred tax liabilities-------1,600-2,957-137-
Deferred tax liabilities for land revaluation-3,1343,1282,8302,6362,6352,5632,5492,4352,4262,4072,3882,382
Acceptances and guarantees-13,24612,65611,90512,9519,6779,6959,4148,9538,5678,7479,2548,666
Liabilities-2,079,5462,189,4362,295,7842,326,2342,475,5272,544,8542,671,1702,827,2603,376,7074,050,7333,873,0504,022,863
Share capital-17,96517,96517,96517,96517,96517,96517,96517,96517,96517,96517,96517,965
Capital surplus-2,6302,6302,6592,7442,7342,7252,7255,9725,9725,9726,2996,298
Legal capital surplus-----------2,6142,614
Other capital surplus-----------4343
Retained earnings-66,24472,04172,74478,96081,69184,57886,56387,75889,13292,38693,05195,603
Legal retained earnings-----------17,96517,965
Other retained earnings-----------66,36468,215
Reserve for tax purpose reduction entry-----------375363
General reserve-----------62,93063,930
Retained earnings brought forward-----------3,0583,921
Treasury shares--998-729-549-355-1,090-862-655-844-617-1,156-1,793-1,581
Shareholders' equity-85,84191,90792,82099,315101,300104,406106,598110,852112,452115,167115,522118,286
Valuation difference on available-for-sale securities-13,60411,64518,33217,98712,41313,35014,1747,41218,70912,4462,25712,040
Revaluation reserve for land-5,6265,6245,9065,9375,9495,7855,7535,4945,4715,4655,4235,408
Valuation and translation adjustments-19,23017,31924,27923,89118,35919,14019,89612,90724,15517,8297,59717,450
Remeasurements of defined benefit plans--494036235711-78-831
Net assets122,149119,362123,746131,730137,886124,092128,310131,522123,759136,607140,620128,710141,507
Valuation and translation adjustments-19,23017,31924,27923,89118,35919,14019,89612,90724,15517,8297,59717,450
Non-controlling interests---14,49914,5124,2264,5754,798--7,6225,5905,770
Net assets122,149119,362123,746131,730137,886124,092128,310131,522123,759136,607140,620128,710141,507
Liabilities and net assets-2,198,9082,313,1822,427,5142,464,1212,599,6192,673,1652,802,6932,951,0193,513,3154,191,3544,001,7604,164,371