TOMONY Holdings,Inc.JP:8600

Market cap
¥73.7B
P/E ratio
42x
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-65,414161,482105,200187,931245,944299,777318,546337,394520,145537,955371,140462,733
Cash and deposits-----------1,2601,555
Prepaid expenses-----------1010
Other-----------1,1421,053
Current assets-----------2,4122,619
Trading securities-336200233372466467424383495436478399
Buildings-7,9237,7157,52611,62312,63412,26912,45717,73417,45618,09217,92618,030
Vehicles-----------1-
Tools, furniture and fixtures-----------21
Property, plant and equipment-25,49927,66230,55230,48632,29033,49034,64835,65536,93635,96735,74337,165
Buildings-7,9237,7157,52611,62312,63412,26912,45717,73417,45618,09217,92618,030
Land-15,78415,77715,96615,81516,50116,35515,87415,74115,37415,76615,69215,631
Leased assets, net-1488291,1079748307246025985613762081,631
Construction in progress-2561,4474,3591362682,4504,205741,919183479236
Other, net-1,3861,8941,5921,9362,0541,6911,5091,5051,6231,5481,4371,634
Shares of subsidiaries and associates-----------89,38699,843
Deferred tax assets-------1,1741,2321381633,463304
Other-----------22
Investments and other assets-----------89,41999,880
Non-current assets-----------89,42799,886
Money held in trust-4,4594,4534,4795,4475,4293,4373,8563,5103,8551,3271,1081,166
Assets-2,742,0062,827,1912,973,8233,080,0003,620,6113,812,4173,899,2423,993,1904,407,9034,596,0574,551,3614,810,452
Securities-628,546739,967780,880811,256786,480765,066692,047642,054699,488727,889691,510687,210
Loans and bills discounted-1,837,4241,866,1001,915,3742,022,5082,525,0152,677,7842,800,1492,906,7703,083,7083,229,9503,395,3213,555,880
Foreign exchanges-3,6534,6636,9954,1793,4284,7284,9855,9796,5087,2474,9234,371
Lease receivables and investments in leases-7,7358,2828,3788,3938,5618,5788,7568,9389,66010,02310,54512,076
Other assets-16,36315,29817,29623,77523,08428,11746,65755,85254,41952,55945,01053,712
Property, plant and equipment-25,49927,66230,55230,48632,29033,49034,64835,65536,93635,96735,74337,165
Buildings-7,9237,7157,52611,62312,63412,26912,45717,73417,45618,09217,92618,030
Land-15,78415,77715,96615,81516,50116,35515,87415,74115,37415,76615,69215,631
Leased assets, net-1488291,1079748307246025985613762081,631
Construction in progress-2561,4474,3591362682,4504,205741,919183479236
Other, net-1,3861,8941,5921,9362,0541,6911,5091,5051,6231,5481,4371,634
Intangible assets-1341401311253,6793,1891,7461,7941,4571,3691,114747
Software-521-3,5493,0631,6221,6681,3331,240963580
Other-113113113113123123123126123129151166
Retirement benefit asset--1,1021,4451,1672,4783,1843,3683,0825,3255,8606,3589,399
Deferred tax assets-------1,1741,2321381633,463304
Customers' liabilities for acceptances and guarantees-8,7957,2267,0226,1806,8667,2507,1998,0257,8857,3097,1087,257
Allowance for loan losses--25,001-25,668-24,388-22,591-23,939-23,358-24,319-22,484-22,121-22,003-22,466-21,971
Assets-2,742,0062,827,1912,973,8233,080,0003,620,6113,812,4173,899,2423,993,1904,407,9034,596,0574,551,3614,810,452
Deposits-2,493,5372,559,5122,660,3772,704,2513,206,4243,328,8053,475,4313,529,5643,827,2923,948,6424,018,2194,212,649
Accounts payable - other-----------3949
Accrued expenses-----------24
Income taxes payable-----------107
Deposits received-----------23
Provision for bonuses-284304325337541540321311315328341341
Provision for bonuses for directors (and other officers)-687171769288919410310698110
Current liabilities-----------8598
Negotiable certificates of deposit-44,03844,24341,68852,88356,14370,93176,21669,93468,979113,501128,635124,618
Liabilities-2,585,5102,663,9992,790,0702,896,1853,408,7873,593,1593,672,3773,773,1864,164,7194,350,3274,304,0044,532,986
Call money and bills sold----59,50035,00074,00030,00081,76623,000-23,00027,000
Cash collateral received for securities lent-----------8,656-
Borrowed money-23,19220,44048,07643,79670,97688,34061,60057,790202,817243,77580,822138,242
Foreign exchanges-132543205612191117232935
Other liabilities-11,54827,81023,98822,40526,36817,00214,74823,89927,94733,77135,81021,056
Provision for bonuses-284304325337541540321311315328341341
Provision for bonuses for directors (and other officers)-687171769288919410310698110
Retirement benefit liability--86439362295291299176154148148142
Provision for reimbursement of deposits-37540239144447050250338226918813090
Provision for contingent loss-283297284150135135122153146137128167
Deferred tax liabilities-------4,2721854,9721,37267465
Deferred tax liabilities for land revaluation-1,0841,084975926912896891890817808808808
Acceptances and guarantees-8,7957,2267,0226,1806,8667,2507,1998,0257,8857,3097,1087,257
Liabilities-2,585,5102,663,9992,790,0702,896,1853,408,7873,593,1593,672,3773,773,1864,164,7194,350,3274,304,0044,532,986
Share capital-25,00025,00025,00025,00025,00025,00025,00025,00025,00025,00025,00030,228
Share capital-25,00025,00025,00025,00025,00025,00025,00025,00025,00025,00025,00030,228
Legal capital surplus-----------10,01015,239
Other capital surplus-----------53,93553,932
Capital surplus-21,88721,88721,88621,88625,97425,87825,87125,84325,80825,97225,89031,116
Retained earnings brought forward-----------2,3972,448
Retained earnings-91,60698,268105,067111,800136,321146,217155,055161,895170,751182,386195,000207,305
Treasury shares--1,442-1,192-971-776-500-152-588-2,015-1,515-1,142-595-490
Shareholders' equity-137,051143,963150,982157,910186,795196,942205,339210,723220,043232,216245,295268,160
Share acquisition rights-3074886147709359721,1911,2441,2241,2151,0051,048
Capital surplus-21,88721,88721,88621,88625,97425,87825,87125,84325,80825,97225,89031,116
Net assets138,472156,495163,192183,753183,814211,824219,257226,864220,003243,183245,730247,356277,466
Retained earnings-91,60698,268105,067111,800136,321146,217155,055161,895170,751182,386195,000207,305
Treasury shares--1,442-1,192-971-776-500-152-588-2,015-1,515-1,142-595-490
Shareholders' equity-137,051143,963150,982157,910186,795196,942205,339210,723220,043232,216245,295268,160
Valuation difference on available-for-sale securities-15,62114,97927,65621,35720,10417,23316,4744,56416,8197,730-3,2512,056
Deferred gains or losses on hedges--1-1----1-1---
Revaluation reserve for land-1,4631,4621,5731,6221,5901,5531,5711,5701,4021,4061,4231,423
Remeasurements of defined benefit plans--117501-502-669-286-7377847637162,477
Valuation and translation adjustments-17,08316,55729,73122,47721,68818,85817,7595,39719,0079,900-1,1115,957
Share acquisition rights-3074886147709359721,1911,2441,2241,2151,0051,048
Non-controlling interests---2,4252,6552,4042,4842,5742,6382,9072,3982,1672,300
Net assets138,472156,495163,192183,753183,814211,824219,257226,864220,003243,183245,730247,356277,466
Liabilities and net assets-2,742,0062,827,1912,973,8233,080,0003,620,6113,812,4173,899,2423,993,1904,407,9034,596,0574,551,3614,810,452