The Ehime Bank, Ltd.JP:8541

Market cap
¥41.7B
P/E ratio
9.3x
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
Ordinary income41,59643,18843,13443,47842,06344,96546,23647,82143,04542,22452,12765,163
Interest income31,24531,43932,92333,08533,12034,69636,38436,02432,01232,24741,76751,878
Interest on loans and discounts26,94226,15926,25725,95624,75125,05625,36225,24223,80623,22927,18631,361
Interest and dividends on securities3,5703,1794,0054,3755,9907,3288,6838,5706,4037,36212,94818,903
Interest on call loans and bills bought31215673457701017724176254
Interest on call loans----------176254
Interest on deposits with banks31137143135104999898109220272234
Other interest income3891,8062,4442,5722,2652,1412,1382,0351,6891,4301,1831,124
Fees and commissions4,1354,5314,6144,4723,8364,6104,1844,5605,4365,4915,4155,389
Fees and commissions on domestic and foreign exchanges----------984982
Other fees and commissions----------4,1063,722
Other ordinary income5,0436,1454,4203,9844,0244,1824,2405,0613,8873,5243,4953,441
Net gain on trading securities transactions----------11-
Gain on sale of bonds-----------30
Other----------91252
Other income1,1721,0711,1761,9361,0821,4751,4262,1741,7099611,4494,454
Recoveries of written off receivables1782251612----8-
Reversal of allowance for loan losses-----------69
Other9941,0691,1741,4191,0801,4721,4252,1741,7089611,4414,453
Recoveries of written off receivables1782251612----8-
Gain on sale of equity securities----------8453,538
Other9941,0691,1741,4191,0801,4721,4252,1741,7089611,4414,453
Ordinary expenses34,41733,24932,96533,71834,58935,59238,16239,14234,36132,88943,77357,254
Interest expenses3,2172,9082,7752,7722,8613,4535,5245,3432,1381,4768,60016,652
Interest on deposits2,2412,0281,9832,0641,6881,2991,4301,5368377072,0354,034
Interest on negotiable certificates of deposit3923162732196149415148182552
Interest on call money and bills sold----40579172415122
Interest on call money----------122
Interest expenses on cash collateral received for securities lent--5153584128786316-
Interest on borrowings and rediscounts2472282131962093776846152401307611,590
Other interest expenses4439542148151,5793,1422,9849586115,74810,972
Fees and commissions payments2,4073,0863,8504,4684,6855,3385,5365,4285,3565,2925,3395,423
Fees and commissions on domestic and foreign exchanges----------318383
Other fees and commissions----------5,4995,507
Other ordinary expenses99349451239101,0011,0351,0327106043,9259,441
Loss on foreign exchange transactions----------2,2666,256
Loss on sale of bonds----------1,5082,687
Other----------111203
General and administrative expenses23,21423,30323,30023,80224,30624,97825,29325,30924,16624,08524,45624,571
Other expenses5,4783,6012,9932,5511,8258207722,0271,9891,4311,4511,165
Provision of allowance for loan losses3,7951,2941,7021,348826---4931,022722-
Other1,6832,3071,2911,2039998207722,0271,4954087281,165
Write-off of loans----------71404
Loss on sale of equity securities----------110118
Loss on devaluation of equity securities-----------98
Other1,6832,3071,2911,2039998207722,0271,4954087281,165
Ordinary profit (loss)7,1799,93810,1689,7607,4749,3738,0748,6788,6839,3358,3547,909
Extraordinary income2833515-74721-3584
Gain on disposal of non-current assets2833515-74721-3584
Extraordinary losses187271187159220457307512562565175826
Loss on disposal of non-current assets9710536955632931318361109147
Impairment losses901661516316442521338147850466679
Profit (loss) before income taxes7,2759,6699,9869,6167,2548,9238,2408,1688,1218,8058,1867,086
Income taxes - current2,5684,0093,5952,6992,0761,3382,7861,9542,8862,6472,7522,087
Income taxes - deferred8681,0447871,044-3241,427-178428-31735625-72
Income taxes3,4375,0534,3833,7441,7512,7652,6082,3822,5683,0032,7782,014
Profit (loss)--5,6035,8725,5026,1575,6315,7855,5535,8025,4075,072
Profit (loss) attributable to owners of parent--5,5585,8145,4496,1025,5605,6685,4475,7795,3915,055
Profit (loss) attributable to non-controlling interests--4557535571116105221616
Other comprehensive income4,238-8776,578712-2,3855,520-2,947-6,15424,389-23,626-11,3765,861
Valuation difference on available-for-sale securities4,238-8836,327179-2,4105,401-2,931-5,96424,327-23,527-11,2935,544
Remeasurements of defined benefit plans, net of tax---8721624119-15-18961-98-82316
Comprehensive income8,0763,73712,1816,5853,11711,6782,684-36929,942-17,823-5,96810,933
Comprehensive income attributable to owners of parent8,0443,68512,1156,5023,06711,5672,640-51529,730-17,846-5,98610,915
Comprehensive income attributable to non-controlling interests--66824911043146211221718