JP:E23582

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
Mar 31,
2021
Mar 31,
2022
Mar 31,
2023
Cash and due from banks-3,732,5554,095,0154,094,7204,033,8394,032,6044,033,9114,401,1277,403,52012,086,5109,728,076
Cash-79382323222424201716
Due from banks-3,732,4764,094,9774,094,6974,033,8164,032,5814,033,8874,401,1037,403,50012,086,4939,728,060
Securities-460,15623,14327,56935,72839,74142,52841,93137,42840,21648,292
Government bonds-458,02021,02621,00421,19921,19321,18621,18021,17321,16621,160
Corporate bonds-105544,38512,17015,18418,17917,52513,01015,63723,215
Stocks-2,0302,0302,0302,0372,0372,0372,0372,0302,5302,531
Other securities--321493201,3251,1241,1871,2148821,385
Loans and bills discounted-20,660,45719,648,68818,339,79917,999,97317,605,65817,085,75616,680,99528,945,75828,855,89327,739,603
Loans on deeds-20,660,45719,648,68818,339,79917,999,97317,605,65817,085,75616,680,99528,945,75828,855,89327,739,603
Other assets-59,55750,61044,22336,30435,12433,09237,88244,91126,29827,311
Prepaid expenses-2,0011,2171,224456688110995199
Accrued revenue-25,29123,81722,03320,21219,00318,23217,34216,49115,05214,483
Financial derivatives-----4---376543
Agency accounts receivable-2,0501,8661,5611,3991,4921,1132,073909760701
Other-30,21323,70819,40414,64714,55813,65718,35527,41010,05711,482
Property, plant and equipment-199,448196,930196,339196,669195,187195,636194,629195,166193,710190,706
Buildings, net-53,88951,50151,09652,70051,44752,35851,93150,86750,33848,878
Land-142,249141,748140,801140,382140,124139,859139,237139,089138,842138,312
Leased assets, net-1,5531,6341,9221,5011,1071,5122,1373,9503,2522,405
Construction in progress-7438381,045473924635319420565465
Other, net-1,0121,2061,4721,6111,5821,2711,002839710645
Intangible assets-14,85918,88218,26216,63614,04911,36915,74118,30223,44624,933
Software-8,32817,55715,64613,14811,36710,96110,66510,08821,86220,944
Leased assets-6206664413061316263797400967
Other-5,9106582,1753,1812,5513465,0127,4161,1823,021
Customers' liabilities for acceptances and guarantees-3,7416,54020,58644,44164,58686,486100,96793,85826,56528,225
Allowance for loan losses--477,349-430,869-416,948-393,707-383,752-400,603-434,924-779,151-986,079-1,056,406
Assets-24,653,42723,608,94022,324,55421,969,88621,603,20021,088,17721,038,34935,959,79640,266,56236,730,743
Borrowed money-16,397,19515,428,63214,254,66613,924,27313,518,25612,885,01612,810,37423,713,83121,580,46118,519,168
Borrowings from other banks-16,397,19515,428,63214,254,66613,924,27313,518,25612,885,01612,810,37423,713,83121,580,46118,519,168
Bonds payable-2,058,4981,865,6521,720,8201,490,2001,460,3421,490,3751,410,4751,575,6181,325,360926,088
Entrusted funds-31,49030,56230,31829,57828,72627,90527,03226,08524,54222,823
Reserve for contract of insurance-1,371,3121,480,0201,350,3571,185,1551,002,665838,433773,1661,536,8531,737,6971,787,277
Other liabilities-41,70636,57937,36833,58327,60221,60819,72535,24033,23931,962
Accrued expenses-20,37317,52915,22512,2739,9068,0696,5815,6674,9294,384
Contract liabilities---------14,25213,321
Unearned revenue-6,5155,9125,3584,3742,7931,60695111,0587786
Financial derivatives----1-35716306509
Lease liabilities-2,3042,4752,5721,9881,4081,7532,4655,3464,1583,861
Other-12,51310,66214,21214,94613,49410,1759,66813,1519,5149,797
Provision for bonuses-4,3694,6594,8644,9195,0005,2575,3455,4065,2645,405
Provision for bonuses for directors (and other officers)-20212022222424242323
Provision for retirement benefits-199,31395,96993,71693,19391,02389,53088,74890,28392,46095,107
Provision for retirement benefits for directors (and other officers)-81605961565460496074
Reserve for compensation losses-37,93832,93424,49728,52938,04529,24425,65225,44925,95028,088
Acceptances and guarantees-3,7416,54020,58644,44164,58686,486100,96793,85826,56528,225
Liabilities-20,145,66818,981,63417,537,27716,839,04316,236,33015,473,93715,261,57227,102,70024,851,62621,444,245
Share capital-3,709,5383,855,0863,904,6454,061,1194,124,9214,195,8984,324,2206,990,20111,612,72711,696,178
Capital surplus-2,051,7082,147,2791,930,3842,015,4842,069,4842,169,8842,233,7843,685,4845,575,6215,490,554
Special reserve for administrative improvement funds-181,500181,500181,500181,500181,500181,500181,500181,500181,500181,500
Legal capital surplus-1,870,2081,965,7791,748,8841,833,9841,887,9841,988,3842,052,2843,503,9845,394,1215,309,054
Retained earnings--1,253,487-1,375,058-1,047,753-945,761-828,000-751,542-781,227-1,818,590-1,773,613-1,900,319
Legal retained earnings-2,6552,6662,82614,06088,988199,537291,637289,3243,1423,227
Other retained earnings--1,256,143-1,377,724-1,050,579-959,821-916,988-951,080-1,072,864-2,107,914-1,776,756-1,903,547
Retained earnings brought forward--1,256,143-1,377,724-1,050,579-959,821-916,988-951,080-1,072,864-2,107,914-1,776,756-1,903,547
Shareholders' equity-4,507,7594,627,3064,787,2765,130,8425,366,4055,614,2395,776,7778,857,09515,414,73515,286,413
Valuation difference on available-for-sale securities-----464---19984
Valuation and translation adjustments-----464---19984
Net assets4,184,4724,507,7594,627,3064,787,2765,130,8425,366,8695,614,2395,776,7778,857,09515,414,93515,286,497
Liabilities and net assets-24,653,42723,608,94022,324,55421,969,88621,603,20021,088,17721,038,34935,959,79640,266,56236,730,743