Mizuho Financial Group, Inc. (FRA:MZ8)
Germany flag Germany · Delayed Price · Currency is EUR
36.20
+0.20 (0.54%)
At close: Jan 30, 2026

Mizuho 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
67,287,87972,483,08671,165,81565,825,68150,136,30047,981,981
Investment Securities
72,159,00168,426,36962,953,40552,893,29360,867,33761,236,631
Trading Asset Securities
29,789,62022,240,79623,988,11119,589,36915,498,57512,589,294
Total Investments
101,948,62190,667,16586,941,51672,482,66276,365,91273,825,925
Gross Loans
95,071,21994,797,23094,038,74590,074,05085,676,28884,294,451
Allowance for Loan Losses
-490,037-755,751-787,848-720,437-783,886-575,572
Net Loans
94,581,18294,041,47993,250,89789,353,61384,892,40283,718,879
Property, Plant & Equipment
1,119,8421,122,5921,139,4701,105,8511,095,9771,135,449
Goodwill
-108,029116,41749,61352,54756,249
Other Intangible Assets
861,951700,868608,724523,105548,745563,975
Accrued Interest Receivable
----319,692-
Other Receivables
--1,803,0851,326,4191,223,001-
Restricted Cash
755,149632,025583,647514,607591,183582,368
Other Current Assets
14,708,16912,062,12114,715,66613,211,65913,395,8758,687,500
Long-Term Deferred Tax Assets
152,571237,630135,428316,168184,59431,402
Other Long-Term Assets
7,341,71711,265,4098,211,4869,548,8258,259,9149,002,483
Total Assets
288,757,081283,320,404278,672,151254,258,203237,066,142225,586,211
Accrued Expenses
148,628226,472188,504129,075365,007107,066
Interest Bearing Deposits
174,130,868173,145,546171,445,200164,287,323140,521,741150,504,978
Non-Interest Bearing Deposits
----15,178,062-
Total Deposits
174,130,868173,145,546171,445,200164,287,323155,699,803150,504,978
Short-Term Borrowings
49,312,65844,001,06646,620,56233,316,66533,741,90022,481,157
Current Income Taxes Payable
----62,697-
Other Current Liabilities
26,946,25124,114,81424,918,40723,137,74712,984,19314,718,121
Long-Term Debt
18,712,18819,441,64317,449,56415,526,66917,304,53119,882,250
Long-Term Leases
----66,096-
Long-Term Unearned Revenue
----87,868-
Pension & Post-Retirement Benefits
68,89268,74367,69268,96872,33171,732
Long-Term Deferred Tax Liabilities
68,18168,21484,64181,10290,885277,472
Other Long-Term Liabilities
8,293,40911,730,1557,585,4508,502,1957,389,8028,181,230
Total Liabilities
277,681,075272,796,653268,360,020245,049,744227,865,113216,224,006
Common Stock
2,256,7672,256,7672,256,7672,256,7672,256,7672,256,767
Additional Paid-In Capital
1,129,7301,129,7301,129,7301,129,2671,125,3241,135,940
Retained Earnings
6,451,9236,046,5785,538,8915,093,9114,756,4354,421,655
Treasury Stock
-11,319-9,462-9,402-8,786-8,342-7,124
Comprehensive Income & Other
1,168,5431,018,6021,316,554662,137947,2901,449,170
Total Common Equity
10,995,64410,442,21510,232,5409,133,2969,077,4749,256,408
Minority Interest
80,36281,53679,59175,163123,555105,797
Shareholders' Equity
11,076,00610,523,75110,312,1319,208,4599,201,0299,362,205
Total Liabilities & Equity
288,757,081283,320,404278,672,151254,258,203237,066,142225,586,211
Total Debt
68,024,84663,442,70964,070,12648,843,33451,112,52742,363,407
Net Cash (Debt)
58,335,83261,467,54651,616,89648,265,13527,272,71132,539,233
Net Cash Growth
36.23%19.08%6.94%76.97%-16.18%-14.02%
Net Cash Per Share
23242.1324311.7720364.3119044.3510758.6312832.08
Filing Date Shares Outstanding
2,4862,5102,5352,5342,5352,535
Total Common Shares Outstanding
2,4862,5102,5352,5342,5352,535
Book Value Per Share
4423.904161.034037.293603.983581.443650.92
Tangible Book Value
10,133,6939,633,3189,507,3998,560,5788,476,1828,636,184
Tangible Book Value Per Share
4077.113838.703751.183377.993344.203406.29
Source: S&P Global Market Intelligence. Banks template. Financial Sources.