The Awa Bank,Ltd.JP:8388

Market cap
¥101.9B
P/E ratio
9.1x
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-147,926195,395200,269216,516165,383256,640255,631287,164632,773690,236482,868402,273
Cash-----------41,43629,847
Due from banks-----------441,428372,422
Call loans and bills bought-90,23433,11564,58850,09786,6852,6565,5492,15119,59518,358140,894-
Call loans-----------140,894-
Monetary claims bought-6,0402,9351,8611,9611,6061,8841,2601,1491,5301,398817720
Securities-993,9841,005,9201,093,7341,063,1271,099,9881,069,7321,049,832995,4281,001,0961,031,863935,3701,050,522
Government bonds-----------147,591157,058
Local government bonds-----------170,687158,531
Corporate bonds-----------263,829271,282
Stocks-----------124,741179,410
Other securities-----------238,582293,953
Loans and bills discounted-1,568,1361,646,3241,657,8851,711,1091,760,6191,836,0561,899,4481,962,8622,086,9152,117,0332,172,3122,342,731
Bills discounted-----------6,9777,814
Loans on bills-----------98,64173,559
Loans on deeds-----------1,967,4232,142,759
Overdrafts-----------96,643115,711
Foreign exchanges-5,8064,4153,4462,9264,8875,2297,00811,0706,9559,2408,8797,247
Due from foreign banks (our accounts)-----------8,7397,155
Foreign bills bought-----------584
Foreign bills receivable-----------8187
Other assets-13,0545,7726,64011,25925,11946,46445,56647,30847,86448,70046,01954,057
Accrued revenue-----------3,4103,360
Financial derivatives-----------8,42511,957
Cash collateral paid for financial instruments-----------8,5109,668
Other----------386452540
Lease receivables and investments in leases-22,35423,74224,48827,21728,00127,85128,52228,80229,18728,93530,05732,469
Property, plant and equipment-33,06332,19331,37333,66533,42334,12335,33137,39636,73338,14738,43838,346
Buildings-8,9558,5298,1709,41710,02010,34310,17113,68313,06613,73013,77915,334
Land-21,80121,66921,40521,81121,02820,47221,02921,12020,93521,05920,65720,537
Leased assets-----------5056
Construction in progress-4857647062321,2882,34673271,1251,940419
Construction in progress-4857647062321,2882,34673271,1251,940419
Other, net-2,2581,9361,7331,7291,9371,8531,6592,5012,3602,2292,0612,055
Other, net-2,2581,9361,7331,7291,9371,8531,6592,5012,3602,2292,0612,055
Other assets-13,0545,7726,64011,25925,11946,46445,56647,30847,86448,70046,01954,057
Accrued revenue-----------3,4103,360
Financial derivatives-----------8,42511,957
Cash collateral paid for financial instruments-----------8,5109,668
Other----------386452540
Intangible assets-3,1963,1813,3292,9003,1843,4534,1435,1644,9544,5284,5153,992
Software-3,0763,0613,2102,7823,0673,3364,0265,0554,8434,4154,4033,879
Other-120119118117117116116109110112112112
Property, plant and equipment-33,06332,19331,37333,66533,42334,12335,33137,39636,73338,14738,43838,346
Buildings-8,9558,5298,1709,41710,02010,34310,17113,68313,06613,73013,77915,334
Land-21,80121,66921,40521,81121,02820,47221,02921,12020,93521,05920,65720,537
Leased assets-----------5056
Construction in progress-4857647062321,2882,34673271,1251,940419
Construction in progress-4857647062321,2882,34673271,1251,940419
Other, net-2,2581,9361,7331,7291,9371,8531,6592,5012,3602,2292,0612,055
Other, net-2,2581,9361,7331,7291,9371,8531,6592,5012,3602,2292,0612,055
Intangible assets-3,1963,1813,3292,9003,1843,4534,1435,1644,9544,5284,5153,992
Software-3,0763,0613,2102,7823,0673,3364,0265,0554,8434,4154,4033,879
Other-120119118117117116116109110112112112
Customers' liabilities for acceptances and guarantees-6,3256,6477,1447,1837,3258,8368,1648,4379,6898,4828,9249,302
Deferred tax assets-------213269229214212293
Allowance for loan losses--21,962-21,390-18,404-18,668-17,292-16,118-17,265-17,174-18,337-19,414-18,981-19,397
Customers' liabilities for acceptances and guarantees-6,3256,6477,1447,1837,3258,8368,1648,4379,6898,4828,9249,302
Assets-2,869,3212,947,4713,087,4623,116,1413,205,9293,284,6113,330,7693,376,2103,866,0753,977,7263,850,3293,922,560
Allowance for loan losses--21,962-21,390-18,404-18,668-17,292-16,118-17,265-17,174-18,337-19,414-18,981-19,397
Assets-2,869,3212,947,4713,087,4623,116,1413,205,9293,284,6113,330,7693,376,2103,866,0753,977,7263,850,3293,922,560
Deposits-2,405,9972,497,0802,550,5992,606,2232,671,6872,721,0032,755,8652,771,1273,089,9803,167,0433,250,6193,197,431
Current deposits-----------188,393207,654
Ordinary deposits-----------2,009,3381,994,841
Savings deposits-----------31,66730,989
Deposits at notice-----------16,9579,678
Time deposits-----------910,339871,451
Installment savings-----------7,0726,239
Other deposits-----------93,33681,675
Negotiable certificates of deposit-108,357106,59888,885101,003101,757139,300180,878175,149128,841133,504130,006134,458
Call money and bills sold-48,66320,06942,05212,54523,03621,2483,88420,02411,07112,850-4,996
Call money------------4,996
Cash collateral received for securities lent-9,59021,59133,80739,92834,27028,16927,43758,47042,06540,945-4,315
Borrowed money-11,89211,12633,56533,96934,81333,90738,99353,610236,990266,375128,110158,036
Borrowings from other banks-----------113,558143,336
Foreign exchanges-7517161074803722831118211
Foreign bills sold------------10
Foreign bills payable-----------2-
Other liabilities-22,63019,84020,91420,76220,16818,56120,34625,49328,55840,15440,01646,800
Domestic exchange settlement account, credit-------------
Income taxes payable-----------52,022
Accrued expenses-----------811841
Unearned revenue-----------1,198669
Reserve for interest on installment savings-------------
Financial derivatives-----------19,20421,763
Cash collateral received for financial instruments-----------5,6716,858
Lease liabilities-----------5561
Asset retirement obligations-----------157134
Other-----------3,2562,856
Bonds payable-22,00022,00022,00010,00010,000------487
Provision for bonuses for directors (and other officers)-425065696960475343545052
Other liabilities-22,63019,84020,91420,76220,16818,56120,34625,49328,55840,15440,01646,800
Domestic exchange settlement account, credit-------------
Income taxes payable-----------52,022
Accrued expenses-----------811841
Unearned revenue-----------1,198669
Reserve for interest on installment savings-------------
Financial derivatives-----------19,20421,763
Cash collateral received for financial instruments-----------5,6716,858
Lease liabilities-----------5561
Asset retirement obligations-----------157134
Other-----------3,2562,856
Provision for share-based compensation-------58139196257290313
Provision for bonuses-262527272727282222222225
Provision for reimbursement of deposits-635609596584543539466427344271193141
Provision for bonuses for directors (and other officers)-425065696960475343545052
Provision for contingent loss-5015707638549208419621,0431,1031,2051,3141,398
Provision for retirement benefits for directors (and other officers)-32640541550351347612109141512
Deferred tax liabilities-------18,0496,51521,50315,4279,45429,638
Provision for share-based compensation-------58139196257290313
Deferred tax liabilities for land revaluation-3,5163,5163,1262,9702,8252,7332,7322,7302,7042,6912,5452,514
Provision for reimbursement of deposits-635609596584543539466427344271193141
Acceptances and guarantees-6,3256,6477,1447,1837,3258,8368,1648,4379,6898,4828,9249,302
Provision for contingent loss-5015707638549208419621,0431,1031,2051,3141,398
Liabilities-2,656,1672,725,4712,830,1702,858,1962,933,2443,002,6053,058,4373,123,8473,573,1803,689,3223,571,5663,589,938
Deferred tax liabilities-------18,0496,51521,50315,4279,45429,638
Deferred tax liabilities for land revaluation-3,5163,5163,1262,9702,8252,7332,7322,7302,7042,6912,5452,514
Acceptances and guarantees-6,3256,6477,1447,1837,3258,8368,1648,4379,6898,4828,9249,302
Liabilities-2,656,1672,725,4712,830,1702,858,1962,933,2443,002,6053,058,4373,123,8473,573,1803,689,3223,571,5663,589,938
Share capital-23,45223,45223,45223,45223,45223,45223,45223,45223,45223,45223,45223,452
Capital surplus-16,23216,23916,29316,23216,23216,23220,06920,10620,10620,10620,10620,106
Legal capital surplus-----------16,23216,232
Retained earnings-110,749119,624130,277137,809148,085158,143160,069169,299176,045185,469189,153197,890
Legal retained earnings-----------14,06414,064
Other retained earnings-----------169,798178,485
Reserve for tax purpose reduction entry of non-current assets-----------560560
Reserve for cancellation of shares-----------152,015
General reserve-----------150,520157,520
Retained earnings brought forward-----------18,70218,390
Treasury shares--822-1,075-788-76-2,814-5,313-1,043-2,892-3,529-4,100-846-2,541
Shareholders' equity-149,612158,240169,235177,419184,956192,515202,548209,966216,075224,927231,866238,908
Valuation difference on available-for-sale securities-48,45647,94471,62267,60372,13971,62465,83740,51673,19458,37542,40186,523
Deferred gains or losses on hedges--820-646-1,656-3,213-2,644-2,447-2,629-2,479-1,528-24-2972,430
Revaluation reserve for land-5,0705,1185,3385,4945,3265,1385,1875,1845,1345,1264,7924,759
Valuation and translation adjustments-52,70652,73977,05968,87374,89775,53568,78342,39676,81963,47646,89693,713
Net assets184,702213,154221,999257,292257,945272,685282,005272,331252,362292,894288,404278,763332,622
Liabilities and net assets-2,869,3212,947,4713,087,4623,116,1413,205,9293,284,6113,330,7693,376,2103,866,0753,977,7263,850,3293,922,560