JP:E11701

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-128,839240,522287,698433,496987,258996,990959,5851,252,1062,124,9382,115,8821,362,791
Call loans and bills bought-84,00087,000335,000--463,179260,000720,000684,000705,000509,000
Money held in trust-170,236134,21553,74216,03214,0379,41118,30518,46716,82413,20111,988
Securities-1,337,9711,592,4611,848,8901,828,7731,789,3221,905,5461,984,8762,400,9482,612,5353,086,1072,996,588
Loans and bills discounted-14,015,45313,963,04613,409,07813,119,39313,210,17112,874,27413,063,19712,521,35814,837,71814,490,75815,176,293
Other assets-134,469113,707138,722172,215174,607208,284177,711151,158164,520168,673219,693
Property, plant and equipment-122,363116,585114,863113,291111,916111,698110,833110,442110,369109,724108,488
Buildings, net-21,87521,01220,29319,12618,43318,61118,24717,61117,87117,66416,903
Land-92,90492,61791,78891,57891,25291,21491,21490,79490,15190,03789,526
Leased assets, net-2312941-2846355865291,060
Construction in progress-4,5677687077713452372042028537360
Other, net-2,9912,1742,0641,8101,8831,6341,3511,6162,0611,9861,697
Intangible assets-6,8485,4245,2796,8839,83113,36913,88312,03810,77610,93810,247
Software-5,5374,6674,2184,9197,0526,25913,18711,0469,9038,0158,629
Goodwill----7268,71223,61125,66824,49422,67320,85219,059
Leased assets-10---34321--
Other-1,3007571,0601,9632,7787,1096959918722,9231,618
Retirement benefit asset---2,5082,4581,9892,5902,2381,2631,5932,7493,374
Deferred tax assets-------1,2172,8002,57212,3351,388
Customers' liabilities for acceptances and guarantees-155,753107,174167,482180,124181,010201,796273,239267,306446,616557,127860,653
Allowance for loan losses--144,225-111,716-83,460-61,907-56,441-44,895-35,412-35,578-57,935-83,960-99,528
Allowance for investment loss--501-459-525-594-414-176-46-36-33-33-30
Assets-16,183,84316,247,96216,283,39915,808,99916,422,56816,740,69016,827,38817,419,40220,951,40921,188,49021,160,526
Debentures-3,053,2773,085,6743,220,2063,221,8703,016,7143,086,6503,190,5363,314,6563,483,5703,339,0983,115,657
Borrowed money-9,416,3989,150,3988,566,2197,840,7208,383,9168,429,1497,807,9417,882,44710,479,94510,370,0449,880,113
Bonds payable-863,7561,144,2461,341,6021,501,2881,690,3911,841,5822,106,2132,377,1012,734,7793,048,1373,315,239
Other liabilities-119,273127,069218,200176,320106,30488,58685,544187,896150,445103,79176,724
Provision for bonuses-4,3404,4154,4154,4004,7894,5924,6884,8314,7344,8485,724
Provision for bonuses for directors (and other officers)-1211111111131515152324
Retirement benefit liability--8,7277,9597,9977,9738,0577,9698,0928,1958,2128,278
Provision for retirement benefits for directors (and other officers)-596966567187115136117130110
Provision for contingent loss-1357121640------
Deferred tax liabilities-------15,8825,0473,6547,03513,091
Acceptances and guarantees-155,753107,174167,482180,124181,010201,796273,239267,306446,616557,127860,653
Liabilities-13,667,18113,637,88013,563,99412,958,95713,483,22713,681,00813,584,29514,045,85917,310,32617,429,60917,273,928
Share capital-1,206,9531,206,9531,206,9531,000,4241,000,4241,000,4241,000,4241,000,4241,000,4241,000,4241,000,424
Crisis response reserve----206,529206,529206,529206,529206,529206,529206,529206,529
Special investment reserve----130,000230,000330,000588,000848,0001,368,0001,543,0001,524,089
Special investment surplus----6181,8133,0995,41212,43628,17222,43843,737
Capital surplus-1,060,4661,060,4661,060,466995,466945,466895,466766,466636,466336,466241,466275,921
Retained earnings-187,730275,716335,018429,751479,443548,371610,436629,290651,840705,538763,192
Shareholders' equity-2,455,1492,543,1352,602,4382,762,7892,863,6762,983,8903,177,2683,333,1453,591,4323,719,3963,813,893
Valuation difference on available-for-sale securities-27,70737,70384,74952,20642,23347,77342,07920,70937,51937,93678,988
Deferred gains or losses on hedges-33,80329,24332,21735,04533,43028,01823,74519,68712,1311,547-6,284
Foreign currency translation adjustment--577091,617429-1,271-1,285-1,202-1,414-936-616-744
Remeasurements of defined benefit plans---944-12-83-484-29-272-958-693-1,036-1,620
Valuation and translation adjustments-61,51166,946116,96687,25275,66475,79165,82440,39649,65139,48472,704
Non-controlling interests---14,3444,58811,35212,75010,68215,49615,75215,96817,028
Net assets2,445,1302,516,6612,610,0812,719,4042,850,0422,939,3403,059,6813,243,0933,373,5423,641,0833,758,8813,886,598
Liabilities and net assets-16,183,84316,247,96216,283,39915,808,99916,422,56816,740,69016,827,38817,419,40220,951,40921,188,49021,160,526