Mizuho Bank,Ltd.【JP:E03532】
Market cap
P/E ratio
| 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 | |
| Cash and due from banks | - | 5,213,082 | 19,218,757 | 25,803,781 | 30,156,145 | 38,943,082 | 38,625,732 | 42,044,263 | 38,833,234 | 45,460,471 | 48,803,771 | 63,079,031 |
| Call loans and bills bought | - | 518,958 | 479,655 | 472,438 | 399,613 | 535,943 | 444,001 | 626,491 | 1,170,669 | 1,171,614 | 1,543,998 | 2,294,831 |
| Securities purchased under resale agreements | - | 969,105 | 642,344 | 525,653 | 368,351 | 596,194 | 639,352 | 4,226,040 | 8,599,865 | 2,376,420 | 1,681,260 | 868,058 |
| Cash collateral provided for securities borrowed | - | 986,277 | 388,060 | 133,336 | - | - | - | 100,501 | 122,001 | 151,282 | 154,255 | 156,807 |
| Monetary claims bought | - | 125,873 | 480,372 | 543,683 | 729,842 | 728,080 | 443,136 | 491,276 | 430,330 | 482,837 | 679,939 | 651,514 |
| Trading account assets | - | 5,494,339 | 4,972,189 | 5,761,693 | 6,421,352 | 4,234,901 | 3,467,593 | 3,708,952 | 5,013,413 | 4,655,665 | 4,496,695 | 5,422,696 |
| Money held in trust | - | 2,836 | 2,807 | 3,249 | 3,197 | 3,137 | 3,076 | 503 | 503 | 503 | 504 | 504 |
| Securities | - | 26,985,546 | 42,174,781 | 41,235,710 | 37,903,140 | 31,264,703 | 33,189,959 | 29,475,876 | 34,372,765 | 43,720,657 | 44,608,181 | 37,110,218 |
| Loans and bills discounted | - | 31,187,804 | 66,836,553 | 70,873,844 | 70,374,392 | 71,262,838 | 70,997,730 | 76,047,363 | 80,871,269 | 82,074,591 | 82,962,457 | 87,280,378 |
| Foreign exchanges | - | 1,255,731 | 1,507,927 | 1,559,516 | 1,343,546 | 1,769,212 | 1,994,728 | 2,043,874 | 1,966,593 | 2,016,766 | 2,509,122 | 2,293,584 |
| Financial derivatives | - | 5,096,899 | 3,703,349 | 5,062,613 | 5,008,314 | 3,201,963 | 3,166,839 | 3,192,132 | 5,164,666 | 3,998,530 | 6,133,443 | 8,392,051 |
| Other assets | - | 6,221,384 | 4,988,999 | 6,798,521 | 6,696,402 | 5,470,641 | 6,406,960 | 5,897,245 | 8,103,925 | 8,918,584 | 12,092,291 | 16,302,806 |
| Property, plant and equipment | - | 96,210 | 834,166 | 828,583 | 836,484 | 828,363 | 805,831 | 729,129 | 843,058 | 881,564 | 847,689 | 858,037 |
| Buildings, net | - | 23,025 | 286,062 | 304,662 | 306,867 | 308,823 | 304,180 | 252,623 | 244,714 | 229,047 | 260,332 | 251,240 |
| Land | - | 50,363 | 428,307 | 423,722 | 417,687 | 415,294 | 409,880 | 396,379 | 515,264 | 529,449 | 528,716 | 529,203 |
| Leased assets, net | - | 159 | 16,575 | 16,711 | 23,356 | 24,758 | 24,304 | 21,680 | 12,559 | 7,021 | 4,333 | 5,993 |
| Construction in progress | - | 8,596 | 34,455 | 13,582 | 19,346 | 18,153 | 14,368 | 14,287 | 29,830 | 79,921 | 21,128 | 43,345 |
| Other, net | - | 14,065 | 68,765 | 69,904 | 69,226 | 61,332 | 53,097 | 44,159 | 40,689 | 36,124 | 33,178 | 28,254 |
| Intangible assets | - | 59,575 | 344,173 | 469,546 | 636,583 | 754,547 | 799,723 | 354,116 | 357,432 | 360,296 | 347,681 | 352,884 |
| Software | - | 47,117 | 227,409 | 245,869 | 245,168 | 223,925 | 198,776 | 84,065 | 301,586 | 300,768 | 272,584 | 269,673 |
| Goodwill | - | 1,742 | 11,262 | 10,553 | 7,176 | 7,308 | 6,542 | 5,013 | 4,286 | 2,750 | 2,540 | 3,097 |
| Leased assets | - | 1 | 4,245 | 7,305 | 10,643 | 15,488 | 17,012 | 5,337 | 4,061 | 2,733 | 1,811 | 2,092 |
| Other | - | 12,456 | 112,518 | 216,371 | 380,770 | 515,133 | 583,935 | 264,713 | 51,784 | 56,794 | 73,285 | 81,119 |
| Retirement benefit asset | - | - | 356,371 | 641,275 | 563,068 | 682,703 | 853,789 | 826,396 | 684,032 | 863,085 | 638,012 | 608,247 |
| Deferred tax assets | - | - | - | - | - | - | - | 27,305 | 36,950 | 21,035 | 273,129 | 382,227 |
| Customers' liabilities for acceptances and guarantees | - | 4,587,056 | 5,668,241 | 6,193,731 | 5,297,202 | 5,757,150 | 6,186,894 | 6,492,905 | 6,535,786 | 6,828,085 | 8,733,646 | 10,003,767 |
| Allowance for loan losses | - | -333,355 | -510,675 | -434,828 | -379,190 | -437,689 | -259,853 | -242,076 | -385,129 | -536,101 | -814,778 | -701,652 |
| Allowance for investment loss | - | - | - | - | - | - | - | - | - | - | -107 | -1 |
| Assets | - | 83,458,896 | 148,409,149 | 161,108,555 | 161,122,736 | 162,090,330 | 164,124,289 | 172,367,564 | 187,214,174 | 198,883,298 | 209,040,119 | 226,277,135 |
| Deposits | - | 22,549,865 | 86,048,678 | 93,528,342 | 100,197,037 | 107,789,803 | 110,415,961 | 119,411,223 | 126,337,030 | 128,279,005 | 133,633,887 | 145,157,919 |
| Negotiable certificates of deposit | - | 10,915,095 | 11,854,716 | 14,830,058 | 11,177,095 | 10,091,832 | 10,652,957 | 12,912,548 | 12,706,349 | 16,684,774 | 16,162,209 | 13,272,253 |
| Call money and bills sold | - | 13,349,648 | 6,071,334 | 3,476,748 | 1,132,089 | 787,661 | 1,174,474 | 1,319,043 | 1,224,630 | 1,070,151 | 960,472 | 1,239,195 |
| Securities sold under repurchase agreements | - | 6,736,846 | 7,656,634 | 10,131,327 | 7,588,922 | 7,604,970 | 7,200,312 | 5,162,334 | 7,469,615 | 8,760,834 | 9,293,236 | 14,106,366 |
| Cash collateral received for securities lent | - | 5,285,682 | 3,159,574 | 513,983 | 786,431 | 335,575 | 610,357 | 305,032 | 276,869 | 170,648 | 146,864 | 93,216 |
| Commercial papers | - | 472,718 | 677,459 | 538,511 | 777,601 | 765,146 | 710,391 | 941,181 | 411,089 | 2,105,067 | 1,775,859 | 1,782,111 |
| Trading account liabilities | - | 3,646,047 | 3,144,085 | 4,397,160 | 5,198,295 | 3,362,426 | 2,797,942 | 2,577,856 | 3,795,423 | 3,255,476 | 3,447,533 | 4,574,447 |
| Borrowed money | - | 2,795,165 | 8,968,740 | 8,315,873 | 8,697,522 | 9,136,351 | 8,958,612 | 7,998,715 | 11,394,924 | 15,084,290 | 14,397,626 | 12,507,802 |
| Foreign exchanges | - | 291,438 | 436,106 | 625,566 | 682,188 | 729,532 | 689,958 | 925,879 | 716,394 | 717,422 | 1,788,299 | 889,189 |
| Short-term bonds payable | - | 40,000 | 25,000 | 25,000 | 56,681 | 35,048 | 27,985 | 22,339 | 54,658 | 32,545 | 46,667 | 41,141 |
| Bonds payable | - | 3,317,003 | 3,958,105 | 4,624,117 | 4,376,773 | 3,726,331 | 2,421,033 | 1,968,205 | 1,100,670 | 911,779 | 810,504 | 585,861 |
| Financial derivatives | - | 5,183,062 | 3,886,304 | 5,006,591 | 4,423,937 | 2,836,858 | 2,882,287 | 3,031,284 | 4,843,165 | 4,016,868 | 6,635,032 | 8,976,741 |
| Other liabilities | - | 5,974,304 | 4,989,613 | 6,647,270 | 7,422,691 | 4,453,787 | 4,530,602 | 5,169,812 | 8,018,493 | 7,465,797 | 10,937,665 | 15,297,596 |
| Provision for bonuses | - | 8,928 | 19,389 | 19,933 | 20,437 | 20,902 | 22,741 | 22,362 | 19,841 | 25,042 | 24,582 | 26,406 |
| Reserve for variable compensation | - | - | - | - | 1,300 | 1,269 | 1,293 | 1,100 | 765 | 983 | 763 | 757 |
| Retirement benefit liability | - | - | 5,684 | 6,609 | 6,014 | 6,189 | 7,112 | 6,980 | 8,336 | 7,387 | 7,724 | 6,722 |
| Provision for retirement benefits for directors (and other officers) | - | 516 | 401 | 423 | 379 | 438 | 471 | 447 | 416 | 332 | 283 | 311 |
| Reserve for possible losses on sales of loans | - | 48 | 1,259 | 13 | 267 | 298 | 1,075 | 630 | 637 | 1,074 | 1,309 | 15,049 |
| Provision for contingent loss | - | 3,314 | 215 | 1,544 | 800 | 52 | 56 | 100 | 1,770 | 3,092 | 1,306 | 4,781 |
| Provision for reimbursement of deposits | - | - | 15,307 | 14,772 | 15,041 | 17,575 | 18,097 | 16,987 | 25,943 | 20,540 | 16,627 | 12,980 |
| Reserve for Reimbursement of Debentures | - | - | 54,956 | 48,878 | 39,245 | 32,720 | 30,760 | 25,566 | 18,672 | 14,419 | 10,504 | 7,798 |
| Deferred tax liabilities | - | - | - | - | - | - | - | 28,338 | 31,178 | 38,723 | 15,082 | 9,735 |
| Deferred tax liabilities for land revaluation | - | 16,209 | 81,060 | 72,392 | 67,991 | 66,585 | 66,186 | 63,315 | 62,695 | 61,915 | 59,962 | 58,711 |
| Acceptances and guarantees | - | 4,587,056 | 5,668,241 | 6,193,731 | 5,297,202 | 5,757,150 | 6,186,894 | 6,492,905 | 6,535,786 | 6,828,085 | 8,733,646 | 10,003,767 |
| Liabilities | - | 79,306,546 | 142,140,682 | 153,796,531 | 153,776,443 | 154,853,914 | 156,662,350 | 165,332,144 | 180,106,550 | 191,490,080 | 202,182,447 | 219,626,240 |
| Share capital | - | 1,404,065 | 1,404,065 | 1,404,065 | 1,404,065 | 1,404,065 | 1,404,065 | 1,404,065 | 1,404,065 | 1,404,065 | 1,404,065 | 1,404,065 |
| Capital surplus | - | 1,039,244 | 2,286,795 | 2,286,795 | 2,286,795 | 2,286,328 | 2,286,328 | 2,286,328 | 2,286,328 | 2,286,167 | 2,259,392 | 2,259,392 |
| Retained earnings | - | 1,102,288 | 1,840,787 | 1,982,352 | 2,231,469 | 2,298,416 | 2,544,238 | 2,163,735 | 2,472,640 | 2,514,003 | 2,519,294 | 2,757,032 |
| Shareholders' equity | - | 3,545,598 | 5,531,648 | 5,673,213 | 5,922,330 | 5,988,810 | 6,234,632 | 5,854,129 | 6,163,034 | 6,204,236 | 6,182,751 | 6,420,490 |
| Valuation difference on available-for-sale securities | - | 459,836 | 597,410 | 1,497,419 | 1,106,333 | 1,099,468 | 1,159,210 | 1,071,157 | 736,239 | 1,023,139 | 623,367 | 468,873 |
| Deferred gains or losses on hedges | - | 119,539 | -1,337 | -5,028 | 169,143 | 2,527 | -76,180 | -27,639 | 71,693 | 29,458 | -80,603 | -367,790 |
| Revaluation reserve for land | - | 27,375 | 140,745 | 146,419 | 148,483 | 145,609 | 144,277 | 137,772 | 136,655 | 136,384 | 132,156 | 129,321 |
| Foreign currency translation adjustment | - | -86,335 | -32,054 | -12,688 | -24,746 | -38,195 | -52,957 | -77,422 | -90,390 | -109,671 | 16,505 | 141,834 |
| Remeasurements of defined benefit plans | - | - | -9,822 | 157,448 | 69,968 | 143,891 | 278,793 | 239,697 | 86,420 | 239,104 | 137,815 | 142,192 |
| Own credit risk adjustments, net of tax | - | - | - | - | - | - | - | - | - | - | -23 | 19 |
| Valuation and translation adjustments | - | 606,752 | 736,818 | 1,638,811 | 1,423,961 | 1,247,605 | 1,227,306 | 1,181,291 | 944,588 | 1,188,982 | 674,920 | 230,404 |
| Non-controlling interests | - | - | - | 1,471,412 | 1,114,524 | 652,713 | 654,241 | 377,434 | 46,783 | 44,038 | 46,591 | 47,764 |
| Net assets | 3,620,605 | 4,152,350 | 6,268,466 | 7,312,024 | 7,346,292 | 7,236,415 | 7,461,939 | 7,035,420 | 7,107,623 | 7,393,218 | 6,857,672 | 6,650,894 |
| Liabilities and net assets | - | 83,458,896 | 148,409,149 | 161,108,555 | 161,122,736 | 162,090,330 | 164,124,289 | 172,367,564 | 187,214,174 | 198,883,298 | 209,040,119 | 226,277,135 |