The Bank of Nagoya, Ltd.JP:8522

Market cap
¥106.9B
P/E ratio
11x
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-174,814152,950269,659242,670249,635348,141320,576191,659832,788851,450451,935557,277
Cash-----------30,11430,545
Due from banks-----------421,427526,450
Call loans and bills bought-1,6688066472,8711,6981,9884,6452,169589--1,059
Call loans------------1,059
Securities-908,294948,744996,619969,731919,295867,439806,312750,558741,487824,618876,724934,253
Government bonds-----------118,264100,037
Local government bonds-----------143,858128,073
Corporate bonds-----------225,466207,758
Stocks-----------119,050171,663
Other securities-----------273,954330,571
Loans and bills discounted-2,072,3322,109,7742,141,8852,241,9532,389,4652,458,0282,595,9622,816,7203,164,9833,338,5723,626,2893,780,857
Bills discounted-----------20,33019,156
Loans on bills-----------75,03070,789
Loans on deeds-----------3,254,1233,415,140
Overdrafts-----------282,964286,613
Foreign exchanges-3,4235,1457,2622,8453,7484,8875,9379,5197,3356,2005,7004,340
Due from foreign banks (our accounts)-----------5,0283,759
Foreign bills bought-----------569501
Foreign bills receivable-----------10279
Lease receivables and investments in leases-22,41122,58422,88126,44428,59331,97835,01237,66738,16236,72136,64639,154
Other assets-26,39015,56415,07416,82727,44973,04879,10778,57676,63854,34451,05654,453
Prepaid expenses-----------3618
Accrued revenue-----------2,6263,109
Financial derivatives-----------37496
Cash collateral paid for financial instruments-----------110286
Other-----------33,93635,713
Other assets-26,39015,56415,07416,82727,44973,04879,10778,57676,63854,34451,05654,453
Prepaid expenses-----------3618
Accrued revenue-----------2,6263,109
Financial derivatives-----------37496
Cash collateral paid for financial instruments-----------110286
Other-----------33,93635,713
Property, plant and equipment-35,91836,25836,49936,23535,95136,18935,78336,12037,13636,83936,97641,741
Buildings, net-8,2297,9018,3739,0729,0858,8768,8688,5269,0468,8068,85511,035
Land-23,62023,74023,84523,24223,37122,63922,45022,42024,10424,11624,61626,604
Construction in progress-2832966112471691,7251,6522,3344907042035
Leased assets, net-4---------9260
Other, net-3,7794,3183,6683,6733,3252,9472,8122,8373,4953,2123,3014,096
Construction in progress-2832966112471691,7251,6522,3344907042035
Other, net-3,7794,3183,6683,6733,3252,9472,8122,8373,4953,2123,3014,096
Property, plant and equipment-35,91836,25836,49936,23535,95136,18935,78336,12037,13636,83936,97641,741
Buildings, net-8,2297,9018,3739,0729,0858,8768,8688,5269,0468,8068,85511,035
Land-23,62023,74023,84523,24223,37122,63922,45022,42024,10424,11624,61626,604
Construction in progress-2832966112471691,7251,6522,3344907042035
Leased assets, net-4---------9260
Other, net-3,7794,3183,6683,6733,3252,9472,8122,8373,4953,2123,3014,096
Construction in progress-2832966112471691,7251,6522,3344907042035
Other, net-3,7794,3183,6683,6733,3252,9472,8122,8373,4953,2123,3014,096
Intangible assets-1,7302,1452,1032,0222,0451,9711,6941,9103,1482,6922,2291,727
Software-1,3301,7901,9381,6181,3081,6561,4621,0223,0852,5041,9521,658
Software in progress-334291100339672250168823-1222114
Other-646364646464646462656565
Intangible assets-1,7302,1452,1032,0222,0451,9711,6941,9103,1482,6922,2291,727
Software-1,3301,7901,9381,6181,3081,6561,4621,0223,0852,5041,9521,658
Software in progress-334291100339672250168823-1222114
Other-646364646464646462656565
Prepaid pension costs-----------12,85713,837
Customers' liabilities for acceptances and guarantees-12,22911,32711,40610,23011,0219,89911,57910,4518,9678,3819,9499,493
Retirement benefit asset--13,91919,12714,61810,99812,06812,13611,38913,82315,89414,09823,139
Allowance for loan losses--24,163-21,248-16,580-12,951-13,076-12,621-12,179-12,392-12,809-13,641-14,099-17,240
Deferred tax assets-------638612498765739779
Assets-3,236,4273,299,1063,507,6323,554,3113,667,5863,833,6973,897,2083,934,9624,912,7505,162,8405,098,2455,431,037
Customers' liabilities for acceptances and guarantees-12,22911,32711,40610,23011,0219,89911,57910,4518,9678,3819,9499,493
Allowance for loan losses--24,163-21,248-16,580-12,951-13,076-12,621-12,179-12,392-12,809-13,641-14,099-17,240
Assets-3,236,4273,299,1063,507,6323,554,3113,667,5863,833,6973,897,2083,934,9624,912,7505,162,8405,098,2455,431,037
Deposits-2,909,7172,948,8093,090,5273,142,9393,218,2503,341,7423,421,4393,507,5483,940,6544,027,4174,281,7184,513,131
Current deposits-----------389,842416,554
Ordinary deposits-----------2,691,7602,861,992
Savings deposits-----------33,42532,475
Deposits at notice-----------15,33414,162
Time deposits-----------1,114,0341,157,657
Installment savings-----------6866
Other deposits-----------45,78936,904
Negotiable certificates of deposit-46,34053,00553,58556,76363,18061,90061,48253,25160,19861,99971,850123,340
Call money-----------6,033426
Call money and bills sold-6,5837,20410,21410,14112,34016,9987,2148,4696,3773,7636,033426
Cash collateral received for securities lent-2,8794,08610,39218,48831,08843,71323,3912,7455,74529,93176,20017,363
Borrowed money-18,07020,06222,14826,52634,20740,81744,47942,487526,807669,654321,067370,563
Borrowings from other banks-----------297,752351,513
Foreign exchanges-152797344171396833753730460
Foreign bills payable-----------30460
Bonds payable-----10,00020,00030,00040,00040,00030,00020,00020,000
Borrowed money from trust account----------1,1401,6011,588
Other liabilities-23,69021,73820,62019,82621,39221,33923,31021,17541,11045,37143,45731,871
Income taxes payable-----------2473,802
Accrued expenses-----------1,8141,918
Unearned revenue-----------1,215854
Reserve for interest on installment savings-------------
Financial derivatives-----------1,0811,198
Lease liabilities-----------11576
Asset retirement obligations-----------5253
Other-----------21,1265,124
Provision for bonuses-1,1221,1091,0871,1001,0781,0561,0009481,0281,1321,1351,139
Provision for bonuses for directors (and other officers)-556260514648403839443841
Provision for retirement benefits-6,002---------3,2172,794
Retirement benefit liability--5,7253,8244,9375,0554,6884,3464,0523,2182,3112,899249
Provision for reimbursement of deposits-3523863933693603543764253041838837
Provision for retirement benefits for directors (and other officers)-67661524233031273532302536
Provision for contingent loss-3,9333,4342,4451,8342,1572,0882,0071,3341,0691,0541,2491,558
Provision for reimbursement of deposits-3523863933693603543764253041838837
Deferred tax liabilities-------16,65612,48321,05119,88412,50033,993
Provision for contingent loss-3,9333,4342,4451,8342,1572,0882,0071,3341,0691,0541,2491,558
Deferred tax liabilities for land revaluation-3,8323,7933,4333,2233,2232,7922,7862,7742,7742,7742,7662,766
Provision for loss on interest repayment-2472372171991841731664036302725
Acceptances and guarantees-12,22911,32711,40610,23011,0219,89911,57910,4518,9678,3819,9499,493
Deferred tax liabilities-------16,65612,48321,05119,88412,50033,993
Liabilities-3,041,0163,092,2173,266,6503,324,8773,439,9953,597,0443,661,4743,708,2954,659,4914,905,1434,852,9155,127,688
Deferred tax liabilities for land revaluation-3,8323,7933,4333,2233,2232,7922,7862,7742,7742,7742,7662,766
Acceptances and guarantees-12,22911,32711,40610,23011,0219,89911,57910,4518,9678,3819,9499,493
Liabilities-3,041,0163,092,2173,266,6503,324,8773,439,9953,597,0443,661,4743,708,2954,659,4914,905,1434,852,9155,127,688
Share capital-25,09025,09025,09025,09025,09025,09025,09025,09025,09025,09025,09025,090
Capital surplus-18,64518,64518,64518,81018,81021,23121,23121,23121,23121,24121,24121,241
Legal capital surplus-----------18,64518,645
Retained earnings-111,561115,725121,757127,458128,758134,213139,076136,520145,517154,097159,190164,268
Legal retained earnings-----------8,0298,029
Other retained earnings-----------144,568149,329
Reserve for tax purpose reduction entry of replacement assets-----------3,3461,620
General reserve-----------57,72057,720
Retained earnings brought forward-----------83,50289,989
Treasury shares--231-239-3,587-3,592-3,614-4,167-4,127-573-560-351-232-367
Shareholders' equity-155,066159,223161,907167,766169,045176,368181,271182,269191,280200,078205,290210,234
Valuation difference on available-for-sale securities-32,53837,89965,05552,61450,08555,87450,18140,51655,24349,75634,92380,852
Revaluation reserve for land-4,0644,0094,3514,4004,4003,4213,4073,4273,8873,8873,8673,867
Valuation and translation adjustments-36,60243,67174,74857,43054,03759,50153,73043,65361,21857,48840,03893,115
Remeasurements of defined benefit plans--1,7635,341415-447206142-2912,0873,8441,2478,395
Net assets172,661195,410206,889240,982229,434227,591236,653235,734226,666253,259257,697245,329303,349
Valuation and translation adjustments-36,60243,67174,74857,43054,03759,50153,73043,65361,21857,48840,03893,115
Net assets172,661195,410206,889240,982229,434227,591236,653235,734226,666253,259257,697245,329303,349
Liabilities and net assets-3,236,4273,299,1063,507,6323,554,3113,667,5863,833,6973,897,2083,934,9624,912,7505,162,8405,098,2455,431,037