Fukuoka Financial Group, Inc. (FKKFY)
OTCMKTS · Delayed Price · Currency is USD
23.12
+2.26 (10.83%)
At close: Feb 11, 2026

Fukuoka Financial Group Balance Sheet

Millions JPY. Fiscal year is Apr - Mar.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Dec '25 Mar '25 Mar '24 Mar '23 Mar '22 Mar '21
Cash & Equivalents
7,223,3697,160,3058,449,9337,713,5907,849,0256,086,101
Investment Securities
5,993,9885,597,3115,019,0923,990,7694,153,0843,881,208
Trading Asset Securities
2453134931,0461,3941,506
Total Investments
5,994,2335,597,6245,019,5853,991,8154,154,4783,882,714
Gross Loans
20,108,37418,976,29118,559,98617,723,77616,733,71817,145,879
Allowance for Loan Losses
-192,863-192,762-200,929-187,829-199,309-202,675
Net Loans
19,915,51118,783,52918,359,05717,535,94716,534,40916,943,204
Property, Plant & Equipment
214,993214,403216,108200,077203,117206,521
Other Intangible Assets
34,96229,18223,56217,86418,87218,187
Restricted Cash
27,57418,02019,253165,399195,49619,215
Other Current Assets
60,91986,95270,61563,86350,19263,295
Long-Term Deferred Tax Assets
39,07579,17720,80352,24637,29015,884
Other Long-Term Assets
495,873293,431470,811183,481129,033274,892
Total Assets
34,006,50932,262,62332,649,72729,924,28229,171,91227,510,013
Interest Bearing Deposits
22,162,82821,820,74221,680,86020,949,45220,482,99019,488,484
Total Deposits
22,162,82821,820,74221,680,86020,949,45220,482,99019,488,484
Short-Term Borrowings
6,172,7363,585,0362,522,9012,393,2682,106,0223,070,540
Current Portion of Long-Term Debt
---1,148,4313,604,819-
Other Current Liabilities
60,91960,01958,30661,12847,80845,991
Long-Term Debt
4,047,4055,493,8297,047,5774,236,6831,769,3593,771,003
Pension & Post-Retirement Benefits
7958351,1631,1461,1501,142
Long-Term Deferred Tax Liabilities
23,98223,56223,42023,02322,95723,729
Other Long-Term Liabilities
485,835349,007293,755209,401195,742150,292
Total Liabilities
32,954,50031,333,03031,627,98229,022,53228,230,84726,551,181
Common Stock
124,799124,799124,799124,799124,799124,799
Additional Paid-In Capital
143,978143,978143,631141,281141,487141,387
Retained Earnings
721,908680,851632,197591,638579,369543,245
Treasury Stock
-6,099-5,554-5,601-8,068-2,461-2,453
Comprehensive Income & Other
67,002-14,891125,31650,76397,740151,811
Total Common Equity
1,051,588929,1831,020,342900,413940,934958,789
Minority Interest
4214101,4031,33713143
Shareholders' Equity
1,052,009929,5931,021,745901,750941,065958,832
Total Liabilities & Equity
34,006,50932,262,62332,649,72729,924,28229,171,91227,510,013
Total Debt
10,220,1419,078,8659,570,4787,778,3827,480,2006,841,543
Net Cash (Debt)
-2,996,527-1,918,247-1,120,052-63,746370,219-753,936
Net Cash Per Share
-15852.04-10146.02-5945.83-338.741947.55-3966.04
Filing Date Shares Outstanding
188.97189.07189.05187.68190.09190.1
Total Common Shares Outstanding
188.97189.07189.05187.68190.09190.1
Book Value Per Share
5564.754914.535397.274797.614949.825043.70
Tangible Book Value
1,016,626900,001996,780882,549922,062940,602
Tangible Book Value Per Share
5379.744760.195272.634702.434850.554948.03
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Banks template. Financial Sources.