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Gunma Bank Ltd
TSE:8334

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Gunma Bank Ltd
TSE:8334
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Price: 2 134 JPY 0.66%
Market Cap: ¥844.8B

Balance Sheet

Balance Sheet Decomposition
Gunma Bank Ltd

Balance Sheet
Gunma Bank Ltd

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Balance Sheet
Currency: JPY
Mar-2002 Mar-2003 Mar-2004 Mar-2005 Mar-2006 Mar-2007 Mar-2008 Mar-2009 Mar-2010 Mar-2011 Mar-2012 Mar-2013 Mar-2014 Mar-2015 Mar-2016 Mar-2017 Mar-2018 Mar-2019 Mar-2020 Mar-2021 Mar-2022 Mar-2023 Mar-2024 Mar-2025
Assets
Net Loans
3 474 415
3 447 771
3 466 956
3 482 768
3 504 380
3 535 360
3 506 392
3 763 024
3 849 334
3 859 719
4 025 515
4 301 664
4 500 407
4 762 317
4 971 466
5 142 269
5 434 747
5 467 466
5 497 758
5 625 819
5 705 611
5 945 330
6 364 689
6 735 480
Investments
1 877 547
1 891 271
1 989 218
2 048 564
2 135 265
2 107 842
2 203 397
1 910 318
2 077 498
2 058 749
2 144 281
2 321 332
2 394 050
2 516 744
2 262 610
2 282 836
1 959 416
1 951 459
2 080 867
3 130 642
3 350 990
3 183 285
2 856 860
2 599 902
PP&E Net
124 583
124 510
123 684
124 144
120 101
115 286
109 343
70 570
66 358
65 499
64 448
64 827
66 867
67 545
67 732
68 655
67 841
68 806
68 354
69 463
66 191
65 013
64 772
64 380
Intangible Assets
0
0
0
0
0
11 386
12 332
9 042
8 856
8 892
8 545
8 569
9 322
9 007
8 623
10 094
10 988
10 678
9 760
9 956
9 236
8 053
8 162
7 621
Long-Term Investments
0
0
0
0
0
0
0
0
0
1 094
1 076
1 066
2 492
2 706
2 990
3 286
3 553
4 486
587
845
1 139
2 991
4 851
5 478
Customer Acceptances Liabilities
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Other Long-Term Assets
49 391
52 166
22 954
18 147
1 095
2 694
2 986
7 451
3 145
2 948
2 136
1 920
8 819
1 675
1 416
1 794
2 160
2 969
8 803
8 202
12 301
29 966
42 063
55 066
Other Assets
37 657
74 437
63 101
58 436
58 094
54 121
64 848
99 438
92 940
108 114
80 350
81 278
72 145
75 512
81 723
99 749
124 304
107 297
159 019
142 152
147 288
144 532
185 511
195 886
Total Assets
5 725 301
N/A
5 708 171
0%
5 746 853
+1%
5 822 169
+1%
5 876 859
+1%
5 886 888
+0%
5 960 015
+1%
5 921 890
-1%
6 167 822
+4%
6 227 637
+1%
6 460 728
+4%
6 844 847
+6%
7 141 671
+4%
7 550 949
+6%
7 631 510
+1%
7 986 598
+5%
8 004 790
+0%
8 140 134
+2%
8 416 864
+3%
10 615 756
+26%
11 148 539
+5%
10 662 300
-4%
10 818 218
+1%
10 557 174
-2%
Liabilities
Accrued Liabilities
0
0
0
0
0
61
60
60
66
69
70
58
58
67
62
57
51
48
61
56
59
56
61
77
Short-Term Debt
224 113
216 963
149 603
214 621
166 550
72 356
213 009
178 542
220 236
112 431
181 119
213 264
285 492
433 412
300 162
342 508
143 047
65 035
114 813
720 218
824 234
852 048
475 584
170 538
Current Portion of Long-Term Debt
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
1 077 261
66
66
66
Total Deposits
5 030 571
5 088 277
5 163 603
5 204 021
5 207 287
5 281 281
5 282 914
5 330 787
5 465 111
5 645 239
5 786 352
5 936 968
6 092 028
6 255 357
6 421 045
6 652 907
6 840 004
6 982 055
7 204 322
7 909 335
8 168 591
8 244 256
8 477 661
8 627 167
Other Interest Bearing Liabilities
64 240
54 916
44 540
38 567
32 226
29 286
26 326
22 596
19 974
16 874
14 640
15 863
15 961
15 561
15 870
13 376
12 284
10 638
9 790
9 632
8 764
8 527
8 609
8 494
Total Current Liabilities
224 113
216 963
149 603
214 621
166 550
72 417
213 069
178 602
220 302
112 500
181 189
213 322
285 550
433 479
300 224
342 565
143 098
65 083
114 874
720 274
1 901 554
852 170
475 711
170 681
Long-Term Debt
26 650
24 040
21 138
0
0
0
0
0
0
0
0
137 106
180 118
211 681
280 300
359 271
384 381
469 540
531 744
1 341 081
474 131
977 457
1 173 126
1 081 827
Deferred Income Tax
12 064
11 746
11 630
11 628
46 276
55 498
29 160
12 057
25 033
19 445
18 867
38 344
44 105
59 157
40 645
36 921
31 891
23 740
7 865
18 459
7 736
7 112
13 610
7 036
Minority Interest
2 135
2 192
2 309
2 546
3 049
4 629
5 019
6 067
6 960
8 609
10 102
7 320
8 183
5 058
5 564
5 697
6 123
5 534
0
0
0
0
0
0
Other Liabilities
79 981
33 302
36 161
34 516
44 600
57 375
51 235
48 246
61 824
56 036
59 104
57 487
56 111
52 179
65 699
55 377
56 519
57 119
60 241
68 882
58 507
56 968
96 406
99 032
Total Liabilities
5 439 754
N/A
5 431 436
0%
5 428 984
0%
5 505 899
+1%
5 499 988
0%
5 500 486
+0%
5 607 723
+2%
5 598 355
0%
5 799 204
+4%
5 858 703
+1%
6 070 254
+4%
6 406 410
+6%
6 682 056
+4%
7 032 472
+5%
7 129 347
+1%
7 466 114
+5%
7 474 300
+0%
7 613 709
+2%
7 928 836
+4%
10 067 663
+27%
10 619 283
+5%
10 146 490
-4%
10 245 123
+1%
9 994 237
-2%
Equity
Common Stock
48 652
48 652
48 652
48 652
48 652
48 652
48 652
48 652
48 652
48 652
48 652
48 652
48 652
48 652
48 652
48 652
48 652
48 652
48 652
48 652
48 652
48 652
48 652
48 652
Retained Earnings
164 206
165 062
176 068
174 133
188 083
204 620
215 508
222 614
238 538
247 262
259 170
273 915
289 345
303 168
326 499
347 261
364 168
377 375
383 739
391 382
407 300
429 438
452 960
472 175
Additional Paid In Capital
29 114
29 114
29 114
29 115
29 235
29 263
29 140
29 140
29 140
29 140
29 140
29 140
29 140
29 140
29 140
29 140
29 140
29 255
29 581
29 581
29 581
29 581
29 587
29 581
Unrealized Security Profit/Loss
43 724
36 014
68 925
69 604
114 865
107 863
59 962
24 707
53 962
45 183
54 912
90 607
102 046
150 743
127 032
121 538
108 685
92 056
45 205
85 256
46 794
10 102
36 210
4 086
Treasury Stock
201
1 907
4 417
4 692
3 738
3 790
627
711
777
165
169
2 960
5 312
12 251
17 296
21 276
17 538
16 977
9 309
8 838
7 352
9 233
17 146
14 639
Other Equity
51
202
476
541
228
208
343
866
900
1 137
1 231
917
4 256
975
11 864
4 831
2 617
3 936
9 840
2 060
4 281
7 270
22 832
23 082
Total Equity
285 546
N/A
276 733
-3%
317 866
+15%
316 271
-1%
376 869
+19%
386 400
+3%
352 292
-9%
323 536
-8%
368 615
+14%
368 935
+0%
390 474
+6%
438 437
+12%
459 615
+5%
518 477
+13%
502 163
-3%
520 484
+4%
530 490
+2%
526 425
-1%
488 028
-7%
548 093
+12%
529 256
-3%
515 810
-3%
573 095
+11%
562 937
-2%
Total Liabilities & Equity
5 725 300
N/A
5 708 169
0%
5 746 850
+1%
5 822 170
+1%
5 876 857
+1%
5 886 886
+0%
5 960 015
+1%
5 921 891
-1%
6 167 819
+4%
6 227 638
+1%
6 460 728
+4%
6 844 847
+6%
7 141 671
+4%
7 550 949
+6%
7 631 510
+1%
7 986 598
+5%
8 004 790
+0%
8 140 134
+2%
8 416 864
+3%
10 615 756
+26%
11 148 539
+5%
10 662 300
-4%
10 818 218
+1%
10 557 174
-2%
Shares Outstanding
Common Shares Outstanding
513
510
505
496
498
498
494
494
494
484
478
469
465
452
445
438
434
427
420
420
411
407
392
382
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