Shinkin Central BankJP:8421

Market cap
¥3.97T
P/E ratio
128.2x
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-3,117,3934,938,8076,861,9259,113,46510,611,95512,393,63213,346,87613,532,06115,063,42116,764,22519,019,06919,937,781
Cash-----------125,246178,974
Call loans and bills bought-636,264578,351510,601339,088362,234413,259765,887107,166494,1811,329,4961,573,215479,611
Due from banks-----------18,879,27219,713,756
Securities purchased under resale agreements-80,98586,98049,98714,99919,99989,99939,99920,725367,22934,216295,30425,150
Call loans-----------1,573,215479,611
Securities purchased under resale agreements-80,98586,98049,98714,99919,99989,99939,99920,725367,22934,216295,30425,150
Cash collateral provided for securities borrowed-187,023173,390142,726120,54186,20615,34023,2291,430---10,944
Monetary claims bought-330,758269,583231,858177,689180,477177,359221,732222,175180,309204,459172,200259,844
Trading account assets-475,025237,261217,866274,153232,088250,424248,586411,275280,431333,867485,686350,766
Trading account financial derivatives-----------86,771171,016
Other trading account assets-----------379,014173,990
Money held in trust-182,901132,854132,77472,826-99,789150,317103,727108,030118,62378,13678,765
Securities-19,647,85018,418,79119,101,48017,808,60117,164,42517,108,43416,583,66816,456,23017,724,04116,139,08713,598,79316,009,891
Government bonds-----------3,156,6025,117,167
Local government bonds-----------1,889,1032,027,994
Corporate bonds-----------2,733,2602,081,230
Stocks-----------100,964118,760
Other securities-----------5,754,9156,694,319
Loans and bills discounted-5,460,1705,975,8345,885,7416,763,8247,995,3916,952,6607,038,7858,468,1238,446,0477,754,7899,511,3108,858,319
Loans on bills-----------22,60020,500
Loans on deeds-----------8,392,4147,898,531
Overdrafts-----------851,391729,962
Agency loans-----------248,483211,810
Foreign exchanges-4,4135,2129,17813,80020,51420,46021,13079,11420,67619,62222,70123,466
Due from foreign banks (our accounts)-----------22,67123,399
Foreign bills bought-----------854
Foreign bills receivable-----------2112
Other assets-105,724137,41387,294106,115488,622967,208936,7521,187,809921,6871,006,5821,044,0861,288,728
Prepaid expenses-----------850813
Accrued revenue-----------26,02340,891
Financial derivatives-----------133,817219,775
Cash collateral paid for financial instruments-----------164,400303,952
Guarantee deposits for central counterparty-----------700,000700,000
Other-----------11,20113,672
Property, plant and equipment-74,66973,92975,67974,34273,89971,35376,86674,61373,10072,88472,02874,611
Buildings, net-21,35122,59821,59022,10223,08421,82322,22621,35721,64321,90521,53725,093
Land-43,85544,61445,22345,22345,22345,12043,54543,54543,21243,03843,03842,621
Construction in progress-611252,4249554481,0568017034211,4064281,350
Leased assets, net-5,2854,4935,0853,6313,1291,7728,7107,0225,6514,3954,2892,965
Other, net-3,5632,1971,3552,4292,0141,5801,5821,9842,1712,1382,7342,580
Construction in progress-611252,4249554481,0568017034211,4064281,350
Other, net-3,5632,1971,3552,4292,0141,5801,5821,9842,1712,1382,7342,580
Intangible assets-18,00315,53714,68716,59614,84312,99921,57022,31220,71417,67520,35417,680
Software-7,7315,8274,0828,2297,9057,2519,98815,48415,70612,19315,86512,898
Other-3026592,1811,7621,9982,9054,6672,1991,1822,4717841,639
Leased assets-9,9699,0508,4246,6044,9382,8426,9144,6283,8253,0103,7043,142
Other-3026592,1811,7621,9982,9054,6672,1991,1822,4717841,639
Deferred tax assets-------4,1604,3944,0084,40765,44066,173
Guarantee of obligation - per contra-117,054176,908234,952239,266255,536256,687244,051208,005169,612157,170160,981164,525
Allowance for loan losses--29,346-40,183-44,051-46,043-45,499-43,157-30,238-31,070-29,963-25,312-23,974-23,836
Assets-30,410,70231,184,56433,516,07335,092,90537,464,59338,790,44939,693,37540,868,09643,843,52843,931,79546,095,33347,622,424
Deposits-21,998,53923,672,50925,549,54027,213,89629,150,07430,230,95630,941,29731,173,84733,752,87233,123,80234,652,81733,064,496
Current deposits-----------165,418100,849
Ordinary deposits-----------4,314,3072,838,951
Deposits at notice-----------1,068983
Time deposits-----------29,676,86429,598,283
Other deposits-----------545,804562,978
Debentures-3,537,3503,161,8103,000,6803,052,9202,950,0002,705,4902,484,3002,134,5201,770,8701,545,3701,452,9601,302,170
Debenture issuance-----------1,458,6601,302,170
Trading account liabilities-148,338158,537146,314129,46184,34566,63672,16537,55831,62527,91186,702155,200
Trading account financial derivatives-----------80,807150,919
Borrowed money-811,890937,320935,320829,3201,203,8701,637,7701,967,1803,250,9804,020,4804,167,8803,998,6805,130,000
Borrowings from other banks-----------3,998,6805,130,000
Call money-----------6,80418,202
Call money and bills sold-559,088408,067415,10854,39727,82140,31337,87846,19110,1665,6376,80418,202
Securities sold under repurchase agreements--35,43773,94463,804188,40298,373152,777232,066287,0201,195,0892,620,7293,526,403
Cash collateral received for securities lent-1,637,068966,6591,299,8281,414,5501,606,9581,789,0121,784,5461,788,3951,702,9561,728,5621,362,1322,151,096
Foreign exchanges-1875582642563684471,3971,4132,0551,159652920
Due to foreign banks (their accounts)-----------175119
Foreign bills sold-----------1514
Foreign bills payable-----------460786
Borrowed money from trust account----3,3243605,37514,02522,02130,30042,82143,53445,418
Other liabilities-269,541282,706272,465310,449234,605204,426198,002335,863190,891248,597315,234462,759
Accrued expenses-----------36,07636,128
Income taxes payable-----------3,0064,138
Unearned revenue-----------195222
Financial derivatives-----------68,452144,928
Cash collateral received for financial instruments-----------132,376223,456
Other-----------67,01147,074
Provision for bonuses-1,5081,5931,6161,7651,7261,7211,7791,8121,8061,7881,7641,832
Provision for bonuses for directors (and other officers)-777880808389869091938990
Provision for retirement benefits-22,452---------27,72928,062
Retirement benefit liability--28,41427,90640,41941,52441,52542,40644,53941,94343,09140,29934,416
Provision for retirement benefits for directors (and other officers)-551508524554535595587650532569511541
Deferred tax liabilities for land revaluation-6,1296,1066,1066,1096,1096,1006,0816,0816,0816,0336,0336,033
Reserves under special laws-11111111111014
Guarantee of obligation-117,054176,908234,952239,266255,536256,687244,051208,005169,612157,170160,981164,525
Deferred tax liabilities-------84,34533,77096,89939,885235235
Liabilities-29,161,47329,907,73832,082,31733,459,93635,838,75037,163,84338,032,90939,317,80942,116,20742,335,46644,750,17246,064,355
Deferred tax liabilities for land revaluation-6,1296,1066,1066,1096,1096,1006,0816,0816,0816,0336,0336,033
Guarantee of obligation-117,054176,908234,952239,266255,536256,687244,051208,005169,612157,170160,981164,525
Liabilities-29,161,47329,907,73832,082,31733,459,93635,838,75037,163,84338,032,90939,317,80942,116,20742,335,46644,750,17246,064,355
Share capital-490,998490,998490,998690,998690,998690,998690,998690,998690,998690,998690,998890,998
Common shares-----------600,000800,000
Preferred shares-----------90,99890,998
Capital surplus-100,678100,678100,678100,678100,678100,678100,678100,678100,678100,678100,678100,678
Legal capital surplus-----------100,678100,678
Retained earnings-429,841450,930497,099520,923546,678571,563595,294615,918627,964644,122650,740663,282
Legal retained earnings-----------129,400131,900
Other retained earnings-----------489,495498,351
Special reserve-----------403,970406,965
Reserve for tax purpose reduction entry of non-current assets-----------470465
General reserve-----------403,500406,500
Promotion fund-----------60,00060,000
Unappropriated retained earnings-----------25,52431,385
Shareholders' equity-1,021,5181,042,6071,088,7761,312,6001,338,3551,363,2401,386,9711,407,5951,419,6411,435,7991,442,4171,654,959
Valuation difference on available-for-sale securities-298,822286,413440,090477,944348,931299,808323,683279,543307,894104,436-215,893-271,415
Deferred gains or losses on hedges--90,092-69,436-114,477-168,850-72,705-50,303-66,632-153,703-20,57734,97794,174144,213
Revaluation reserve for land-13,53213,44113,45713,45513,45513,43314,89414,89414,89414,77214,77214,772
Valuation and translation adjustments-218,948225,064335,222310,625277,083252,409261,669130,482295,037147,904-110,310-110,388
Foreign currency translation adjustment--3,313-1,865-1,285-1,653-3,246-2,848-3,383-3,237-3,408-2,631-2,238-1,169
Net assets1,092,3541,249,2291,276,8261,433,7561,632,9691,625,8421,626,6051,660,4651,550,2871,727,3211,596,3291,345,1601,558,068
Remeasurements of defined benefit plans---3,489-2,563-10,270-9,351-7,681-6,892-7,014-3,764-3,650-1,1243,210
Valuation and translation adjustments-218,948225,064335,222310,625277,083252,409261,669130,482295,037147,904-110,310-110,388
Non-controlling interests---9,7589,74310,40310,95611,82412,20912,64212,62613,05313,497
Net assets1,092,3541,249,2291,276,8261,433,7561,632,9691,625,8421,626,6051,660,4651,550,2871,727,3211,596,3291,345,1601,558,068
Liabilities and net assets-30,410,70231,184,56433,516,07335,092,90537,464,59338,790,44939,693,37540,868,09643,843,52843,931,79546,095,33347,622,424