Yamaguchi Financial Group, Inc. (FRA:5FW)
Germany flag Germany · Delayed Price · Currency is EUR
13.00
0.00 (0.00%)
At close: Jan 27, 2026

Yamaguchi Financial Group Balance Sheet

Millions JPY. Fiscal year is Apr - Mar.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Sep '25 Mar '25 Mar '24 Mar '23 Mar '22 Mar '21
Cash & Equivalents
1,613,3901,860,2621,386,9041,878,8582,175,9131,807,659
Investment Securities
2,189,0242,130,5772,067,3541,536,5961,359,4751,790,117
Trading Asset Securities
3,1563,2934,0583,9763,1011,980
Total Investments
2,192,1802,133,8702,071,4121,540,5721,362,5761,792,097
Gross Loans
8,745,5778,575,1088,589,9338,348,7668,175,7107,903,314
Allowance for Loan Losses
-62,039-65,315-72,214-72,410-81,348-73,344
Net Loans
8,683,5388,509,7938,517,7198,276,3568,094,3627,829,970
Property, Plant & Equipment
80,11380,18682,18181,12183,13288,789
Goodwill
-2583083594122,339
Other Intangible Assets
8,6616,9836,7846,2186,5797,457
Restricted Cash
44,95735,30831,03517,40435,05935,093
Other Current Assets
63,13865,71991,23195,73980,42361,902
Long-Term Deferred Tax Assets
1,60512,3761,6849,9643,5133,253
Other Long-Term Assets
295,916288,724359,281305,054340,693365,163
Total Assets
12,983,49812,993,47912,548,53912,211,64512,182,66211,993,722
Accrued Expenses
3,7423,7843,3342,6952,8782,851
Interest Bearing Deposits
10,909,63210,983,39510,344,02310,325,71910,334,55710,011,574
Total Deposits
10,909,63210,983,39510,344,02310,325,71910,334,55710,011,574
Short-Term Borrowings
223,554206,382438,028340,05278,078167,152
Other Current Liabilities
39,00640,45365,64760,78051,76140,242
Long-Term Debt
977,084973,643852,669731,025961,504984,766
Pension & Post-Retirement Benefits
2,3992,6722,7802,8692,9393,082
Long-Term Deferred Tax Liabilities
11,9208,77816,0549,31110,30411,782
Other Long-Term Liabilities
150,979152,198170,270124,531104,30091,135
Total Liabilities
12,318,31612,371,30511,892,80511,596,98211,546,32111,312,584
Common Stock
50,00050,00050,00050,00050,00050,000
Additional Paid-In Capital
33,13733,12733,11658,63958,64858,654
Retained Earnings
579,921564,748540,429522,893511,253528,085
Treasury Stock
-29,106-29,187-19,276-34,847-25,045-18,649
Comprehensive Income & Other
29,29934648,52415,16935,10356,820
Total Common Equity
663,251619,034652,793611,854629,959674,910
Minority Interest
1,9313,1402,9412,8096,3826,228
Shareholders' Equity
665,182622,174655,734614,663636,341681,138
Total Liabilities & Equity
12,983,49812,993,47912,548,53912,211,64512,182,66211,993,722
Total Debt
1,200,6381,180,0251,290,6971,071,0771,039,5821,151,918
Net Cash (Debt)
415,908683,530100,265811,7571,139,432657,721
Net Cash Growth
-0.58%581.72%-87.65%-28.76%73.24%-4.93%
Net Cash Per Share
1965.013193.77453.973510.734668.332624.44
Filing Date Shares Outstanding
211.08210.99216.91224.09236.79247.18
Total Common Shares Outstanding
211.08210.98216.91224.44237.49247.18
Book Value Per Share
3142.212934.023009.482726.152652.592730.41
Tangible Book Value
654,590611,793645,701605,277622,968665,114
Tangible Book Value Per Share
3101.182899.702976.782696.842623.162690.78
Source: S&P Global Market Intelligence. Banks template. Financial Sources.