The Hiroshima Bank,Ltd.JP:E03585

Market cap
P/E ratio
Mar 31,
2013
Mar 31,
2014
Mar 31,
2015
Mar 31,
2016
Mar 31,
2017
Mar 31,
2018
Mar 31,
2019
Mar 31,
2020
Cash and due from banks-197,940427,145711,8941,252,6001,509,9051,430,6851,471,326
Call loans and bills bought-13,98920,72210,76617,39618,52119,9536,711
Monetary claims bought-4,7024,9395,1935,5365,9046,2536,313
Trading assets-12,58918,55812,2849,1455,8425,8306,235
Money held in trust-156156156156156162171
Securities-1,989,1452,139,4311,999,3811,765,0681,393,4401,186,4991,136,265
Loans and bills discounted-4,804,6025,102,1455,267,2285,605,1925,852,3166,014,6836,479,709
Foreign exchanges-8,0596,2857,3157,8907,7417,53634,990
Other assets-28,79623,90532,24054,29282,09483,600106,427
Property, plant and equipment-85,27884,46188,35791,97491,47394,89092,974
Buildings, net-12,83812,98912,98814,12813,62213,05411,738
Land-58,13957,22557,75361,43761,43761,36356,644
Leased assets, net-864815754695643588561
Construction in progress-1161191,2332963174,5145,330
Other, net-13,31913,31115,62615,41515,45215,36918,699
Intangible assets-8,0928,7319,67310,2359,4209,4319,119
Software-6,1276,1057,4397,5977,8167,2516,931
Other-1,9642,6262,2332,6371,6032,1802,188
Retirement benefit asset-34,39557,45441,66346,07854,60765,10670,853
Deferred tax assets------7344,965
Customers' liabilities for acceptances and guarantees-45,87052,20444,33139,95036,50641,99635,232
Allowance for loan losses--32,700-33,378-33,888-35,775-33,474-31,101-31,848
Assets-7,200,9977,879,8778,185,2788,857,5779,022,8398,917,9619,411,933
Deposits-6,188,1486,525,1086,797,5736,992,4887,183,4957,262,9417,541,559
Negotiable certificates of deposit-166,124278,442226,993316,053275,821216,099167,491
Call money and bills sold-38,00928,40625,2883,36550,000-100,000
Payables under repurchase agreements--88,861129,184137,187111,32988,52179,420
Payables under securities lending transactions-192,120250,963268,079401,641262,859260,108321,008
Trading liabilities-10,34516,28410,2327,1834,0233,8563,814
Borrowed money-99,724150,960161,128453,379581,122514,289639,493
Foreign exchanges-9001351851632243393,502
Borrowed money from trust account-58474222422332
Other liabilities-40,78428,56236,81034,88228,89241,56341,541
Retirement benefit liability-23384138423943
Provision for retirement benefits for directors (and other officers)-22364227262329
Provision for reimbursement of deposits-1,3041,4131,4951,4614,4473,5582,530
Provision for point card certificates-63637286897994
Provision for stockshares, Liabilities-----176341547
Provision for loss of head office rebuilding----1,0951,987846-
Allowance for demolition of non-current assets-liabilities-------1,177
Reserves under special laws-----413938
Deferred tax liabilities------3,501861
Deferred tax liabilities for land revaluation-16,07514,06213,62213,61313,61313,61013,605
Acceptances and guarantees-45,87052,20444,33139,95036,50641,99635,232
Liabilities-6,849,5297,470,2057,750,7008,425,4668,561,9058,451,6778,951,052
Share capital-54,57354,57354,57354,57354,57354,57354,573
Capital surplus-30,63430,70330,81630,74230,74530,73930,739
Retained earnings-217,010233,536257,006280,157300,948320,376338,614
Treasury shares--1,740-1,402-969-423-1,246-1,026-984
Shareholders' equity-300,478317,411341,427365,050385,022404,663422,943
Valuation difference on available-for-sale securities-26,10865,65865,79639,48648,38735,66815,005
Deferred gains or losses on hedges--1,447-1,125-764-512-547-2,016-5,025
Revaluation reserve for land-26,04027,34427,78427,76327,76327,79227,781
Remeasurements of defined benefit plans-2,26219,0804,5485,0118,01612,12112,084
Valuation and translation adjustments-50,70191,87892,81566,73875,60461,44437,762
Share acquisition rights-287383334322308176176
Net assets331,834351,468409,672434,577432,110460,934466,283460,881
Liabilities and net assets-7,200,9977,879,8778,185,2788,857,5779,022,8398,917,9619,411,933