TOMATO BANK,LTD.JP:8542

Market cap
¥13.6B
P/E ratio
9.6x
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-12,95551,75443,97378,90570,48385,77864,89868,353103,458196,34486,562101,966
Cash-----------11,4789,527
Due from banks-----------75,07592,431
Monetary claims bought--------500895715540423
Trading securities-575391278256214162155234101513029
Trading government bonds-----------1711
Trading local government bonds-----------1318
Securities-235,707191,360263,215277,914279,765227,520186,799154,624167,892167,275163,781158,318
Government bonds-----------27,56125,973
Local government bonds-----------5,3289,469
Corporate bonds-----------28,78630,284
Stocks-----------6,3887,895
Other securities-----------95,89384,871
Loans and bills discounted-726,974806,076866,838928,110958,822978,654983,953950,472985,601993,1781,016,3261,035,995
Bills discounted-----------3,5154,931
Loans on bills-----------26,92427,351
Loans on deeds-----------873,649888,519
Overdrafts-----------116,550119,641
Foreign exchanges-1,0457924,4181,0604,5301,0702,4242,2653,1923,0392,7415,064
Due from foreign banks (our accounts)-----------2,6744,994
Foreign bills receivable-----------6769
Other assets-4,4204,0933,8824,7145,2494,7648,0648,02115,45715,77015,30415,048
Prepaid expenses-----------8184
Accrued revenue-----------1,5201,208
Financial derivatives-----------2566
Cash collateral paid for financial instruments------------332
Other-----------9,2519,176
Lease receivables and investment assets-------9,85311,11710,40910,44610,43410,768
Property, plant and equipment-10,19210,94212,43113,17812,97812,85212,70712,69312,59512,52512,19611,946
Buildings, net-3,2763,2734,0554,0663,8623,6953,5723,3813,2203,1012,9482,833
Land-6,0096,5487,2237,2777,2777,3577,3577,3697,3507,3827,4307,481
Leased assets, net-701653041,0721,0811,025542479413333630482
Other, net-7437027957427407391,2341,4631,6111,7071,1861,149
Other assets-4,4204,0933,8824,7145,2494,7648,0648,02115,45715,77015,30415,048
Prepaid expenses-----------8184
Accrued revenue-----------1,5201,208
Financial derivatives-----------2566
Cash collateral paid for financial instruments------------332
Other-----------9,2519,176
Intangible assets-446609651648706707692631587713612560
Software-43---6288596539500630533485
Other-5859585710499969187837874
Leased assets-344550592590540519----135124
Other-5859585710499969187837874
Property, plant and equipment-10,19210,94212,43113,17812,97812,85212,70712,69312,59512,52512,19611,946
Buildings, net-3,2763,2734,0554,0663,8623,6953,5723,3813,2203,1012,9482,833
Land-6,0096,5487,2237,2777,2777,3577,3577,3697,3507,3827,4307,481
Leased assets, net-701653041,0721,0811,025542479413333630482
Other, net-7437027957427407391,2341,4631,6111,7071,1861,149
Intangible assets-446609651648706707692631587713612560
Software-43---6288596539500630533485
Other-5859585710499969187837874
Leased assets-344550592590540519----135124
Other-5859585710499969187837874
Prepaid pension costs------------15
Retirement benefit asset--151307--------318
Deferred tax assets-------1,3802,0661,1711,5772,4351,871
Deferred tax assets-------1,3802,0661,1711,5772,4351,871
Customers' liabilities for acceptances and guarantees-2,9513,0793,6303,5234,2964,4824,8845,0305,0075,0535,0705,236
Customers' liabilities for acceptances and guarantees-2,9513,0793,6303,5234,2964,4824,8845,0305,0075,0535,0705,236
Allowance for loan losses--6,564-6,634-7,142-7,805-5,141-5,240-5,626-4,882-5,025-4,771-4,851-5,046
Allowance for loan losses--6,564-6,634-7,142-7,805-5,141-5,240-5,626-4,882-5,025-4,771-4,851-5,046
Assets-993,8741,069,5431,193,3391,302,4671,333,4551,312,0711,270,1861,211,1281,301,3461,401,9201,311,1851,342,501
Assets-993,8741,069,5431,193,3391,302,4671,333,4551,312,0711,270,1861,211,1281,301,3461,401,9201,311,1851,342,501
Deposits-910,383951,7801,022,9511,073,0911,102,5241,123,5241,139,0811,134,0961,203,1481,205,6661,212,6201,232,490
Current deposits-----------38,39543,472
Ordinary deposits-----------721,240765,409
Savings deposits-----------3,9313,905
Deposits at notice-----------2,6725,579
Time deposits-----------414,062399,426
Installment savings-----------6,2585,963
Other deposits-----------26,8109,349
Negotiable certificates of deposit-7,93525,3482,4683,46211,4516,89017,0813,0463,3874,6782,9671,487
Borrowed money-10,77130,07795,702153,631146,120117,71043,1828,40326,771120,55125,43939,336
Borrowings from other banks-----------18,05132,067
Foreign exchanges-262411123-233155108
Foreign bills sold-----------1085
Foreign bills payable-----------4523
Other liabilities-3,3006,9797,7418,2528,3435,1326,0709,3669,5949,6039,1095,315
Income taxes payable-----------473462
Accrued expenses-----------728690
Unearned revenue-----------494421
Reserve for interest on installment savings-----------11
Financial derivatives-----------90318
Cash collateral received for financial instruments-----------28-
Lease liabilities-----------785679
Asset retirement obligations-----------2525
Other-----------4,642811
Retirement benefit liability--1,0265241,8831,5641,4071,4681,174804742912674
Provision for retirement benefits-886---------651618
Provision for director's stock based compensation---------16315041
Provision for contingent loss-198188159116103771001508915394336
Deferred tax liabilities for land revaluation-608598540513513513513513513513513513
Deferred tax liabilities--------141139132146132
Acceptances and guarantees-2,9513,0793,6303,5234,2964,4824,8845,0305,0075,0535,0705,236
Deferred tax liabilities for land revaluation-608598540513513513513513513513513513
Liabilities-956,7181,032,3851,153,4251,261,8531,284,7041,261,9851,219,7721,162,2141,249,5341,347,1691,256,9811,285,673
Acceptances and guarantees-2,9513,0793,6303,5234,2964,4824,8845,0305,0075,0535,0705,236
Liabilities-956,7181,032,3851,153,4251,261,8531,284,7041,261,9851,219,7721,162,2141,249,5341,347,1691,256,9811,285,673
Share capital-14,31014,31014,31014,31017,81017,81017,81017,81017,81017,81014,31014,310
Capital surplus-12,49112,49112,49112,49115,99115,99115,99115,99115,99118,96322,46322,405
Legal capital surplus-----------12,64012,640
Other capital surplus-----------9,9729,913
Retained earnings-7,3228,0069,33711,16312,50213,35014,35014,97215,58916,35817,52518,312
Legal retained earnings-----------1,7731,773
Other retained earnings-----------14,19314,861
Reserve for tax purpose reduction entry of real estate-----------166163
General reserve-----------3,5473,547
Retained earnings brought forward-----------10,47911,150
Treasury shares--506-554-601-604-609-611-488-490-340-336-338-254
Shareholders' equity-33,61734,25335,53737,36045,69446,54047,66348,28449,05052,79553,96154,773
Valuation difference on available-for-sale securities-2,9112,4923,6693,6433,0113,3192,5222422,1091,284-2661,189
Deferred gains or losses on hedges----2-1-6-3-2-8-1---
Revaluation reserve for land-609591644671671671671671671671671671
Valuation and translation adjustments-3,5202,8824,3763,2533,0553,5452,7506302,7601,9552422,054
Remeasurements of defined benefit plans---20064-1,060-620-442-441-274-19--161193
Net assets35,63337,15537,15739,91440,61448,75050,08550,41348,91451,81154,75154,20456,828
Valuation and translation adjustments-3,5202,8824,3763,2533,0553,5452,7506302,7601,9552422,054
Net assets35,63337,15537,15739,91440,61448,75050,08550,41348,91451,81154,75154,20456,828
Liabilities and net assets-993,8741,069,5431,193,3391,302,4671,333,4551,312,0711,270,1861,211,1281,301,3461,401,9201,311,1851,342,501