The Bank of Toyama,Ltd.JP:8365

Market cap
¥8.9B
P/E ratio
14.6x
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-9,4999,24928,43044,75342,18044,59742,14247,67140,12336,78630,15633,312
Cash-----------5,0324,704
Due from banks-----------25,12028,593
Securities-140,488153,760166,365144,964148,258147,577135,638108,823131,980142,846127,448127,995
Government bonds-----------21,12019,819
Local government bonds-----------18,12818,162
Corporate bonds-----------40,17540,550
Stocks-----------12,91913,497
Other securities-----------35,05735,900
Loans and bills discounted-280,355272,770273,589280,549282,840300,584317,901331,745363,281373,205381,812379,247
Bills discounted-----------1,9661,675
Loans on bills-----------10,0749,051
Loans on deeds-----------325,787323,454
Overdrafts-----------45,03546,150
Foreign exchanges-375794680825606661668428807888771599
Due from foreign banks (our accounts)-----------771599
Lease receivables and investments in leases-4,0274,0883,7953,6443,2503,0623,1843,3693,4153,5933,9754,058
Other assets-2,4992,0302,2102,9934,4135,8906,0306,2875,5156,0691,2001,471
Income taxes refund receivable------------253
Prepaid expenses-----------711
Accrued revenue-----------383324
Other-----------156233
Other assets-2,4992,0302,2102,9934,4135,8906,0306,2875,5156,0691,2001,471
Income taxes refund receivable------------253
Prepaid expenses-----------711
Accrued revenue-----------383324
Other-----------156233
Property, plant and equipment-5,0054,8164,6454,8594,7134,8457,2789,2088,8788,6178,6088,532
Buildings, net-1,0981,0601,0121,3061,2301,1731,1025,4445,2475,0614,9494,906
Land-3,3113,3133,3133,3133,2623,4003,3593,2683,2513,2503,2233,217
Leased assets, net-12107542172837393832
Construction in progress--118-25262,57521111
Other, net-582430293233191241224463340265396374
Intangible assets-858696512314299319285351281244335360
Software-833675491293278299240278209174293291
Leased assets--------4536261610
Other-252020202020452736432558
Other-252020202020452736432558
Property, plant and equipment-5,0054,8164,6454,8594,7134,8457,2789,2088,8788,6178,6088,532
Buildings, net-1,0981,0601,0121,3061,2301,1731,1025,4445,2475,0614,9494,906
Land-3,3113,3133,3133,3133,2623,4003,3593,2683,2513,2503,2233,217
Leased assets, net-12107542172837393832
Construction in progress--118-25262,57521111
Other, net-582430293233191241224463340265396374
Prepaid pension costs-----------566594
Intangible assets-858696512314299319285351281244335360
Software-833675491293278299240278209174293291
Leased assets--------4536261610
Other-252020202020452736432558
Other-252020202020452736432558
Deferred tax assets-------2724254026631
Retirement benefit asset--144459363405474480426585636602869
Deferred tax assets-------2724254026631
Customers' liabilities for acceptances and guarantees-1,3592,0302,0431,8571,6871,8091,6091,2101,1121,6211,2881,284
Customers' liabilities for acceptances and guarantees-1,3592,0302,0431,8571,6871,8091,6091,2101,1121,6211,2881,284
Allowance for loan losses--3,609-3,918-3,297-3,838-3,545-3,491-3,396-2,999-3,519-4,685-5,177-5,565
Allowance for loan losses--3,609-3,918-3,297-3,838-3,545-3,491-3,396-2,999-3,519-4,685-5,177-5,565
Assets-444,998455,139479,460481,308485,134506,360511,850506,548552,486569,865551,290552,196
Assets-444,998455,139479,460481,308485,134506,360511,850506,548552,486569,865551,290552,196
Deposits-408,834414,574431,361436,714440,843446,352453,172453,926486,455495,699496,657498,679
Current deposits-----------24,68526,653
Ordinary deposits-----------240,997253,942
Savings deposits-----------7,0336,919
Deposits at notice-----------2,5952,327
Time deposits-----------216,563204,201
Installment savings-----------4,3493,810
Other deposits-----------1,0621,461
Call money and bills sold------13,50013,50013,50013,50013,50013,50011,700
Call money-----------13,50011,700
Borrowed money-3,7583,8943,1982,5341,5591,6491,8991,90211,87921,7335,2316,573
Borrowings from other banks-----------3,7005,000
Other liabilities-1,4162,8982,5963,1512,6351,3131,3993,2052,8862,8213,1631,383
Income taxes payable-----------31635
Accrued expenses-----------8582
Unearned revenue-----------223153
Reserve for interest on installment savings-------------
Financial derivatives-----------21
Lease liabilities-----------1510
Asset retirement obligations-----------1111
Other-----------1,799396
Provision for bonuses-991039911410310110297106107114117
Retirement benefit liability--576480480486501457445449460467472
Provision for retirement benefits-544---------472477
Provision for retirement benefits for directors (and other officers)-356897821243
Provision for reimbursement of deposits-212728282832283121181310
Provision for reimbursement of deposits-212728282832283121181310
Provision for contingent loss-61898811381879099969595106
Provision for contingent loss-61898811381879099969595106
Provision for environmental measures-----------8-
Provision for environmental measures-----------8-
Deferred tax liabilities for land revaluation-637637578549529529522503499499489488
Deferred tax liabilities-------3,1887821,886990-72
Acceptances and guarantees-1,3592,0302,0431,8571,6871,8091,6091,2101,1121,6211,2881,284
Deferred tax liabilities for land revaluation-637637578549529529522503499499489488
Liabilities-418,556427,118444,884448,520451,430469,748475,979475,707518,894537,550521,035520,892
Acceptances and guarantees-1,3592,0302,0431,8571,6871,8091,6091,2101,1121,6211,2881,284
Liabilities-418,556427,118444,884448,520451,430469,748475,979475,707518,894537,550521,035520,892
Share capital-6,7306,7306,7306,7306,7306,7306,7306,7306,7306,7306,7306,730
Capital surplus-5,6905,6905,6906,2446,2446,2446,2446,2446,2446,2446,2446,244
Legal capital surplus-----------5,6905,690
Retained earnings-6,5086,9388,0938,8239,78610,83811,99412,49012,78412,84113,56413,922
Legal retained earnings-----------1,4291,429
Other retained earnings-----------11,65411,989
General reserve-----------10,50010,500
Retained earnings brought forward-----------1,1541,489
Treasury shares--37-38-38-41-43-45-47-38-28-84-72-56
Shareholders' equity-18,89119,32020,47521,75822,71923,76824,92325,42725,73125,73326,46726,841
Valuation difference on available-for-sale securities-5,3226,40211,7019,2259,15010,9289,0423,5985,9124,6071,8722,358
Revaluation reserve for land-1,0811,0811,1411,1701,1241,1241,1101,0661,0561,0561,0331,031
Valuation and translation adjustments-6,4047,51512,94610,38710,28712,10110,1834,6387,0585,7492,9333,585
Remeasurements of defined benefit plans--31103-8124829-26898528194
Net assets21,65026,44228,02034,57532,78833,70336,61135,87130,84033,59232,31430,25531,303
Valuation and translation adjustments-6,4047,51512,94610,38710,28712,10110,1834,6387,0585,7492,9333,585
Non-controlling interests---1,153643696740764775802831854877
Net assets21,65026,44228,02034,57532,78833,70336,61135,87130,84033,59232,31430,25531,303
Liabilities and net assets-444,998455,139479,460481,308485,134506,360511,850506,548552,486569,865551,290552,196