THE FUKUSHIMA BANK, LTD.JP:8562

Market cap
¥6.9B
P/E ratio
8x
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-17,21823,61136,79589,86784,57163,776100,57676,48492,12890,60576,25879,108
Cash-----------9,5529,530
Due from banks-----------66,68769,576
Trading securities-5711710678103119133122167142119212
Trading government bonds-------------
Trading local government bonds-----------118212
Money held in trust-1,6641,6601,6903,1273,2017,6272,9121,0121,0111,0091,0071,006
Securities-209,018220,573236,007161,607155,129144,696136,422119,460144,767155,288157,592155,236
Government bonds-----------24,00723,371
Local government bonds-----------4,2394,882
Corporate bonds-----------60,91856,910
Stocks-----------2,0952,024
Other securities-----------67,08868,804
Loans and bills discounted-451,871467,090474,227494,876503,589503,697504,487529,903560,420569,815582,314580,105
Bills discounted-----------511350
Loans on bills-----------23,41225,389
Loans on deeds-----------491,476487,748
Overdrafts-----------69,05468,484
Other assets-4,4054,6226,3076,3394,75217,01313,07817,37516,50114,96013,0993,843
Domestic exchange settlement account, debit-----------2653
Prepaid expenses-----------1951
Accrued revenue-----------513604
Cash collateral paid for domestic exchange-----------10,000-
Other-----------8831,389
Lease receivables and investments in leases-2,8372,8332,8862,9763,3133,6624,2964,8855,1475,0884,8034,349
Property, plant and equipment-12,06311,58911,33110,99110,89810,0719,9219,7389,6629,4559,2699,500
Buildings, net-5,1944,9214,6854,4594,3354,0193,8413,7883,6083,4453,3043,133
Land-6,3806,1456,1456,0896,1145,6945,6825,5625,5315,4695,4695,469
Leased assets, net-----------126106
Other, net-488522499442447357398388523540496897
Other, net-488522499442447357398388523540496897
Other assets-4,4054,6226,3076,3394,75217,01313,07817,37516,50114,96013,0993,843
Domestic exchange settlement account, debit-----------2653
Prepaid expenses-----------1951
Accrued revenue-----------513604
Cash collateral paid for domestic exchange-----------10,000-
Other-----------8831,389
Intangible assets-864824665484359347332267215277244302
Software-75769353936424523918613187158134196
Other-106131125119114108145136127118110106
Property, plant and equipment-12,06311,58911,33110,99110,89810,0719,9219,7389,6629,4559,2699,500
Buildings, net-5,1944,9214,6854,4594,3354,0193,8413,7883,6083,4453,3043,133
Land-6,3806,1456,1456,0896,1145,6945,6825,5625,5315,4695,4695,469
Leased assets, net-----------126106
Other, net-488522499442447357398388523540496897
Other, net-488522499442447357398388523540496897
Prepaid pension costs-----------1166
Intangible assets-864824665484359347332267215277244302
Software-75769353936424523918613187158134196
Other-106131125119114108145136127118110106
Retirement benefit asset------------72
Deferred tax assets-------101210334329-
Deferred tax assets-------101210334329-
Customers' liabilities for acceptances and guarantees-666548524469392432292258309351414334
Customers' liabilities for acceptances and guarantees-666548524469392432292258309351414334
Allowance for loan losses--7,470-5,397-5,266-4,408-3,854-4,846-4,376-4,179-4,994-5,311-5,575-5,119
Allowance for loan losses--7,470-5,397-5,266-4,408-3,854-4,846-4,376-4,179-4,994-5,311-5,575-5,119
Assets-695,993730,414766,475778,029764,106746,773768,379755,605825,751842,245839,877828,952
Assets-695,993730,414766,475778,029764,106746,773768,379755,605825,751842,245839,877828,952
Deposits-614,835643,723661,375671,922669,063701,089728,232717,650762,684774,779763,603790,430
Current deposits-----------17,39018,390
Ordinary deposits-----------424,381445,961
Savings deposits-----------475253
Deposits at notice-----------2,3302,045
Time deposits-----------312,956322,219
Installment savings-----------3,008839
Other deposits-----------3,6541,321
Negotiable certificates of deposit-32,76435,00040,21040,20643,500---1005005007,674
Borrowed money-7,8549,67522,32023,32511,0458,7757,5206,87029,34035,59247,6342,130
Borrowings from other banks-----------46,200600
Other liabilities-4,6172,4532,3712,6872,1792,4672,9362,4622,5192,5572,3242,335
Domestic exchange settlement account, credit-----------5171
Income taxes payable-----------13748
Accrued expenses-----------406489
Unearned revenue-----------638452
Reserve for interest on installment savings-------------
Lease liabilities-----------139116
Asset retirement obligations-----------3838
Other-----------438621
Provision for bonuses-135149184199194155151165138173179175
Retirement benefit liability--2,0151,8341,9111,8161,76922120613711218764
Provision for reimbursement of deposits-126961171481761421441801361147851
Provision for reimbursement of deposits-126961171481761421441801361147851
Deferred tax liabilities-------5796383627
Provision for loss on interest repayment-112533-1-333
Deferred tax liabilities for land revaluation-877830752702702650648642642641641641
Deferred tax liabilities-------5796383627
Acceptances and guarantees-666548524469392432292258309351414334
Deferred tax liabilities for land revaluation-877830752702702650648642642641641641
Liabilities-669,822701,964733,307744,970732,324717,172740,154728,454796,107814,891815,602803,866
Acceptances and guarantees-666548524469392432292258309351414334
Liabilities-669,822701,964733,307744,970732,324717,172740,154728,454796,107814,891815,602803,866
Share capital-18,12718,12718,12718,12718,12718,12718,12718,68218,68218,68218,68218,682
Capital surplus-1,2281,2281,2281,2281,2531,2531,2531,8081,8021,8021,8021,802
Legal capital surplus-----------555555
Other capital surplus-----------1,2281,228
Retained earnings-3,7836,3679,54211,90112,7039,0879,6149,9628,1828,9949,72310,450
Legal retained earnings-----------464492
Other retained earnings-----------7,3438,298
General reserve-----------3,5003,500
Retained earnings brought forward-----------3,8434,798
Treasury shares--15-16-16-17-18-19-19-19-19-19-20-20
Shareholders' equity-23,12425,70728,88231,24032,06628,44928,97530,43428,64829,45930,18830,915
Valuation difference on available-for-sale securities-2,2532,1873,5971,106-981437-1,522-4,031226-2,905-6,678-6,693
Revaluation reserve for land-662574652674674710705720720717717717
Valuation and translation adjustments-2,9152,6114,1691,626-440994-918-3,454870-2,236-6,054-5,972
Remeasurements of defined benefit plans---150-81-154-134-153-101-142-76-48-933
Net assets22,03726,17128,44933,16733,05831,78229,60128,22427,15129,64427,35424,27525,086
Valuation and translation adjustments-2,9152,6114,1691,626-440994-918-3,454870-2,236-6,054-5,972
Non-controlling interests---116191156157168171125131141143
Net assets22,03726,17128,44933,16733,05831,78229,60128,22427,15129,64427,35424,27525,086
Liabilities and net assets-695,993730,414766,475778,029764,106746,773768,379755,605825,751842,245839,877828,952