JP Stock MarketDetailed Quotes

8522 The Bank of Nagoya

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  • 6520
  • +30+0.46%
20min DelayTrading Dec 6 10:18 JST
107.29BMarket Cap10.97P/E (Static)

The Bank of Nagoya Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Mar 31, 2024
(FY)Mar 31, 2023
(FY)Mar 31, 2022
(FY)Mar 31, 2021
(FY)Mar 31, 2020
(FY)Mar 31, 2019
(FY)Mar 31, 2018
(FY)Mar 31, 2017
(FY)Mar 31, 2016
(FY)Mar 31, 2015
Operating cash flow (Indirect Method)
Cash from operating activities
115.34%56.16B
-552.74%-366.08B
-85.96%80.86B
407.90%576.05B
-48.42%-187.09B
-1,016.56%-126.05B
118.84%13.75B
-31.74%-72.99B
-170.55%-55.41B
480.14%78.53B
Net profit before non-cash adjustment
26.40%14.51B
-28.50%11.48B
3.37%16.06B
151.47%15.54B
-29.30%6.18B
6.52%8.74B
-0.50%8.2B
-26.86%8.24B
-1.37%11.27B
16.84%11.43B
Total adjustment of non-cash items
-52.03%-60.09B
-137.85%-39.53B
-0.28%-16.62B
34.95%-16.57B
30.43%-25.48B
43.94%-36.62B
-63.99%-65.33B
-12.86%-39.84B
5.94%-35.3B
1.07%-37.53B
-Depreciation and amortization
1.63%2.56B
-1.87%2.52B
2.97%2.56B
21.36%2.49B
-5.09%2.05B
-13.73%2.16B
-5.36%2.51B
6.01%2.65B
-4.11%2.5B
10.34%2.6B
-Assets reserve and write-off
----
----
----
770.42%618M
115.15%71M
-75.19%33M
5.56%133M
-49.60%126M
443.48%250M
-86.06%46M
-Other restructuring costs
----
----
---376M
--0
----
----
----
----
----
----
-Disposal profit
-2,898.90%-2.55B
101.78%91M
53.82%-5.11B
-448.93%-11.06B
41.63%-2.02B
-145.87%-3.45B
38.37%-1.4B
-96.21%-2.28B
-41.24%-1.16B
25.61%-822M
-Net exchange gains and losses
-105.74%-21.27B
9.88%-10.34B
-391.60%-11.47B
-168.89%-2.33B
184.11%3.39B
-163.25%-4.03B
351.63%6.37B
-73.21%1.41B
142.19%5.26B
-182.37%-12.48B
-Remuneration paid in stock
32.00%33M
-3.85%25M
0.00%26M
8.33%26M
-7.69%24M
-27.78%26M
0.00%36M
-10.00%36M
5.26%40M
--38M
-Other non-cash items
-22.13%-38.86B
-1,314.18%-31.82B
64.35%-2.25B
78.24%-6.31B
7.54%-29B
57.02%-31.36B
-74.65%-72.97B
0.97%-41.78B
-56.72%-42.19B
23.31%-26.92B
Changes in working capital
130.10%101.74B
-515.18%-338.03B
-85.89%81.42B
443.93%577.08B
-70.92%-167.79B
-238.50%-98.17B
271.22%70.88B
-31.92%-41.4B
-129.99%-31.38B
1,296.42%104.63B
-Change in receivables
-3,487.84%-2.51B
-94.86%74M
391.50%1.44B
81.39%-494M
12.46%-2.66B
10.40%-3.03B
-57.52%-3.39B
39.69%-2.15B
-1,103.72%-3.56B
-71.10%-296M
-Change in loans
80.07%-119.1B
-10,111.13%-597.45B
-104.02%-5.85B
158.69%145.49B
-48.04%-247.9B
-262.11%-167.45B
60.63%-46.24B
-35.44%-117.44B
-334.19%-86.71B
23.47%-19.97B
-Change in financial assets
----
----
----
----
----
----
----
----
220.78%93M
-191.67%-77M
-Provision for loans, leases and other losses
-32.89%763M
440.42%1.14B
54.31%-334M
16.46%-731M
4.48%-875M
0.97%-916M
-277.20%-925M
116.49%522M
61.31%-3.17B
-126.21%-8.18B
-Change in deposits by banks and customers
-9.83%230.51B
193.38%255.65B
-79.88%87.14B
400.58%433.03B
16.24%86.51B
-39.75%74.42B
64.73%123.52B
41.29%74.98B
-62.22%53.07B
257.77%140.49B
-Changes in other current assets
-434.54%-7.68B
345.30%2.3B
-272.91%-936M
91.14%-251M
-153.49%-2.83B
49.39%-1.12B
-181.30%-2.21B
-69.56%2.72B
221.86%8.93B
-285.53%-7.33B
-Changes in other current liabilities
-191.39%-244M
802.63%267M
-190.48%-38M
223.53%42M
52.11%-34M
-158.20%-71M
551.85%122M
3.57%-27M
-366.67%-28M
91.67%-6M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
-53.25%-8.54B
-434.93%-5.57B
35.16%-1.04B
49.86%-1.61B
18.22%-3.21B
-28.49%-3.92B
-19.80%-3.05B
-17.65%-2.55B
-25.23%-2.16B
45.51%-1.73B
Interest received (cash flow from operating activities)
Tax refund paid
38.78%-2.51B
15.12%-4.1B
-241.61%-4.83B
23.58%-1.41B
12.54%-1.85B
23.02%-2.11B
-87.18%-2.75B
12.89%-1.47B
49.41%-1.68B
9.73%-3.33B
Other operating cash inflow (outflow)
9.42%39.41B
9.63%36.01B
4.44%32.85B
2.73%31.45B
-2.82%30.62B
-2.30%31.51B
-4.99%32.25B
-3.91%33.94B
-1.87%35.33B
-5.12%36B
Operating cash flow
124.88%84.52B
-415.04%-339.74B
-82.16%107.84B
474.23%604.48B
-60.59%-161.53B
-350.16%-100.58B
193.37%40.21B
-79.95%-43.06B
-121.86%-23.93B
950.24%109.48B
Investing cash flow
Net PPE purchase and sale
-305.44%-6.11B
-20.96%-1.51B
-140.23%-1.25B
265.77%3.1B
-99.25%-1.87B
56.30%-937M
-30.41%-2.14B
14.06%-1.64B
17.79%-1.91B
19.45%-2.33B
Net intangibles purchase and sale
6.42%-277M
-35.16%-296M
90.35%-219M
-257.89%-2.27B
-55.01%-634M
33.50%-409M
10.09%-615M
-9.09%-684M
-36.90%-627M
47.36%-458M
Net business purchase and sale
----
----
--366M
--0
----
----
----
----
----
----
Net investment property transactions
149.66%31.43B
14.80%-63.29B
-300.48%-74.28B
-8.14%37.05B
-33.36%40.34B
11.19%60.53B
16.42%54.44B
2,487.60%46.76B
18.49%1.81B
105.64%1.53B
Net changes in other investments
----
---1M
----
50.00%-1M
---2M
----
0.00%-1M
-200.00%-1M
--1M
----
Investing cash flow
138.48%25.05B
13.65%-65.09B
-299.01%-75.38B
0.11%37.88B
-36.07%37.84B
14.52%59.18B
16.31%51.68B
6,169.54%44.43B
41.90%-732M
95.91%-1.26B
Financing cash flow
Net issuance payments of debt
--0
200.00%10B
---10B
--0
-111.74%-1.17B
0.05%9.95B
0.01%9.94B
--9.94B
----
--11.92B
Net common stock issuance
-200.77%-2.73B
36.17%-909M
-142,300.00%-1.42B
99.96%-1M
-57,450.00%-2.3B
99.30%-4M
82.71%-570M
-36,533.33%-3.3B
99.73%-9M
-41,750.00%-3.35B
Cash dividends paid
1.48%-2.39B
-78.94%-2.43B
-7.18%-1.36B
3.80%-1.27B
-0.15%-1.32B
0.75%-1.32B
3.99%-1.33B
0.00%-1.38B
-3.84%-1.38B
0.00%-1.33B
Cash dividends for minorities
----
----
-9.52%-46M
2.33%-42M
48.19%-43M
-4,050.00%-83M
0.00%-2M
0.00%-2M
0.00%-2M
0.00%-2M
Net other fund-raising expenses
0.00%-1M
99.83%-1M
-59,300.00%-594M
---1M
----
99.93%-1M
-139,100.00%-1.39B
99.64%-1M
-27,300.00%-274M
50.00%-1M
Financing cash flow
-177.01%-5.13B
149.62%6.66B
-923.80%-13.42B
72.86%-1.31B
-156.52%-4.83B
28.42%8.55B
26.45%6.65B
416.04%5.26B
-123.01%-1.67B
639.67%7.24B
Net cash flow
Beginning cash position
-47.13%446.6B
2.31%844.77B
347.11%825.73B
-41.03%184.68B
-9.49%313.2B
39.81%346.05B
2.75%247.51B
-9.85%240.88B
76.11%267.21B
-12.51%151.72B
Current changes in cash
126.23%104.44B
-2,191.88%-398.17B
-97.03%19.03B
598.79%641.05B
-291.18%-128.52B
-133.34%-32.86B
1,386.23%98.54B
125.18%6.63B
-122.80%-26.33B
631.92%115.45B
Effect of exchange rate changes
--0
-125.00%-1M
--4M
--0
-90.00%1M
600.00%10M
-133.33%-2M
700.00%6M
-103.57%-1M
55.56%28M
Cash adjustments other than cash changes
----
---1M
----
--1M
----
0.00%1M
--1M
----
---2M
----
End cash Position
23.39%551.04B
-47.13%446.6B
2.31%844.77B
347.11%825.73B
-41.03%184.68B
-9.49%313.2B
39.81%346.05B
2.75%247.51B
-9.85%240.88B
76.11%267.21B
Free cash flow
122.87%78.12B
-421.16%-341.62B
-82.20%106.37B
464.20%597.57B
-60.76%-164.08B
-374.07%-102.07B
182.04%37.24B
-67.34%-45.39B
-125.43%-27.13B
1,553.34%106.69B
Currency Unit
JPY
JPY
JPY
JPY
JPY
JPY
JPY
JPY
JPY
JPY
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(FY)Mar 31, 2024 (FY)Mar 31, 2023 (FY)Mar 31, 2022 (FY)Mar 31, 2021 (FY)Mar 31, 2020 (FY)Mar 31, 2019 (FY)Mar 31, 2018 (FY)Mar 31, 2017 (FY)Mar 31, 2016 (FY)Mar 31, 2015
Operating cash flow (Indirect Method)
Cash from operating activities 115.34%56.16B -552.74%-366.08B -85.96%80.86B 407.90%576.05B -48.42%-187.09B -1,016.56%-126.05B 118.84%13.75B -31.74%-72.99B -170.55%-55.41B 480.14%78.53B
Net profit before non-cash adjustment 26.40%14.51B -28.50%11.48B 3.37%16.06B 151.47%15.54B -29.30%6.18B 6.52%8.74B -0.50%8.2B -26.86%8.24B -1.37%11.27B 16.84%11.43B
Total adjustment of non-cash items -52.03%-60.09B -137.85%-39.53B -0.28%-16.62B 34.95%-16.57B 30.43%-25.48B 43.94%-36.62B -63.99%-65.33B -12.86%-39.84B 5.94%-35.3B 1.07%-37.53B
-Depreciation and amortization 1.63%2.56B -1.87%2.52B 2.97%2.56B 21.36%2.49B -5.09%2.05B -13.73%2.16B -5.36%2.51B 6.01%2.65B -4.11%2.5B 10.34%2.6B
-Assets reserve and write-off ---- ---- ---- 770.42%618M 115.15%71M -75.19%33M 5.56%133M -49.60%126M 443.48%250M -86.06%46M
-Other restructuring costs ---- ---- ---376M --0 ---- ---- ---- ---- ---- ----
-Disposal profit -2,898.90%-2.55B 101.78%91M 53.82%-5.11B -448.93%-11.06B 41.63%-2.02B -145.87%-3.45B 38.37%-1.4B -96.21%-2.28B -41.24%-1.16B 25.61%-822M
-Net exchange gains and losses -105.74%-21.27B 9.88%-10.34B -391.60%-11.47B -168.89%-2.33B 184.11%3.39B -163.25%-4.03B 351.63%6.37B -73.21%1.41B 142.19%5.26B -182.37%-12.48B
-Remuneration paid in stock 32.00%33M -3.85%25M 0.00%26M 8.33%26M -7.69%24M -27.78%26M 0.00%36M -10.00%36M 5.26%40M --38M
-Other non-cash items -22.13%-38.86B -1,314.18%-31.82B 64.35%-2.25B 78.24%-6.31B 7.54%-29B 57.02%-31.36B -74.65%-72.97B 0.97%-41.78B -56.72%-42.19B 23.31%-26.92B
Changes in working capital 130.10%101.74B -515.18%-338.03B -85.89%81.42B 443.93%577.08B -70.92%-167.79B -238.50%-98.17B 271.22%70.88B -31.92%-41.4B -129.99%-31.38B 1,296.42%104.63B
-Change in receivables -3,487.84%-2.51B -94.86%74M 391.50%1.44B 81.39%-494M 12.46%-2.66B 10.40%-3.03B -57.52%-3.39B 39.69%-2.15B -1,103.72%-3.56B -71.10%-296M
-Change in loans 80.07%-119.1B -10,111.13%-597.45B -104.02%-5.85B 158.69%145.49B -48.04%-247.9B -262.11%-167.45B 60.63%-46.24B -35.44%-117.44B -334.19%-86.71B 23.47%-19.97B
-Change in financial assets ---- ---- ---- ---- ---- ---- ---- ---- 220.78%93M -191.67%-77M
-Provision for loans, leases and other losses -32.89%763M 440.42%1.14B 54.31%-334M 16.46%-731M 4.48%-875M 0.97%-916M -277.20%-925M 116.49%522M 61.31%-3.17B -126.21%-8.18B
-Change in deposits by banks and customers -9.83%230.51B 193.38%255.65B -79.88%87.14B 400.58%433.03B 16.24%86.51B -39.75%74.42B 64.73%123.52B 41.29%74.98B -62.22%53.07B 257.77%140.49B
-Changes in other current assets -434.54%-7.68B 345.30%2.3B -272.91%-936M 91.14%-251M -153.49%-2.83B 49.39%-1.12B -181.30%-2.21B -69.56%2.72B 221.86%8.93B -285.53%-7.33B
-Changes in other current liabilities -191.39%-244M 802.63%267M -190.48%-38M 223.53%42M 52.11%-34M -158.20%-71M 551.85%122M 3.57%-27M -366.67%-28M 91.67%-6M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities) -53.25%-8.54B -434.93%-5.57B 35.16%-1.04B 49.86%-1.61B 18.22%-3.21B -28.49%-3.92B -19.80%-3.05B -17.65%-2.55B -25.23%-2.16B 45.51%-1.73B
Interest received (cash flow from operating activities)
Tax refund paid 38.78%-2.51B 15.12%-4.1B -241.61%-4.83B 23.58%-1.41B 12.54%-1.85B 23.02%-2.11B -87.18%-2.75B 12.89%-1.47B 49.41%-1.68B 9.73%-3.33B
Other operating cash inflow (outflow) 9.42%39.41B 9.63%36.01B 4.44%32.85B 2.73%31.45B -2.82%30.62B -2.30%31.51B -4.99%32.25B -3.91%33.94B -1.87%35.33B -5.12%36B
Operating cash flow 124.88%84.52B -415.04%-339.74B -82.16%107.84B 474.23%604.48B -60.59%-161.53B -350.16%-100.58B 193.37%40.21B -79.95%-43.06B -121.86%-23.93B 950.24%109.48B
Investing cash flow
Net PPE purchase and sale -305.44%-6.11B -20.96%-1.51B -140.23%-1.25B 265.77%3.1B -99.25%-1.87B 56.30%-937M -30.41%-2.14B 14.06%-1.64B 17.79%-1.91B 19.45%-2.33B
Net intangibles purchase and sale 6.42%-277M -35.16%-296M 90.35%-219M -257.89%-2.27B -55.01%-634M 33.50%-409M 10.09%-615M -9.09%-684M -36.90%-627M 47.36%-458M
Net business purchase and sale ---- ---- --366M --0 ---- ---- ---- ---- ---- ----
Net investment property transactions 149.66%31.43B 14.80%-63.29B -300.48%-74.28B -8.14%37.05B -33.36%40.34B 11.19%60.53B 16.42%54.44B 2,487.60%46.76B 18.49%1.81B 105.64%1.53B
Net changes in other investments ---- ---1M ---- 50.00%-1M ---2M ---- 0.00%-1M -200.00%-1M --1M ----
Investing cash flow 138.48%25.05B 13.65%-65.09B -299.01%-75.38B 0.11%37.88B -36.07%37.84B 14.52%59.18B 16.31%51.68B 6,169.54%44.43B 41.90%-732M 95.91%-1.26B
Financing cash flow
Net issuance payments of debt --0 200.00%10B ---10B --0 -111.74%-1.17B 0.05%9.95B 0.01%9.94B --9.94B ---- --11.92B
Net common stock issuance -200.77%-2.73B 36.17%-909M -142,300.00%-1.42B 99.96%-1M -57,450.00%-2.3B 99.30%-4M 82.71%-570M -36,533.33%-3.3B 99.73%-9M -41,750.00%-3.35B
Cash dividends paid 1.48%-2.39B -78.94%-2.43B -7.18%-1.36B 3.80%-1.27B -0.15%-1.32B 0.75%-1.32B 3.99%-1.33B 0.00%-1.38B -3.84%-1.38B 0.00%-1.33B
Cash dividends for minorities ---- ---- -9.52%-46M 2.33%-42M 48.19%-43M -4,050.00%-83M 0.00%-2M 0.00%-2M 0.00%-2M 0.00%-2M
Net other fund-raising expenses 0.00%-1M 99.83%-1M -59,300.00%-594M ---1M ---- 99.93%-1M -139,100.00%-1.39B 99.64%-1M -27,300.00%-274M 50.00%-1M
Financing cash flow -177.01%-5.13B 149.62%6.66B -923.80%-13.42B 72.86%-1.31B -156.52%-4.83B 28.42%8.55B 26.45%6.65B 416.04%5.26B -123.01%-1.67B 639.67%7.24B
Net cash flow
Beginning cash position -47.13%446.6B 2.31%844.77B 347.11%825.73B -41.03%184.68B -9.49%313.2B 39.81%346.05B 2.75%247.51B -9.85%240.88B 76.11%267.21B -12.51%151.72B
Current changes in cash 126.23%104.44B -2,191.88%-398.17B -97.03%19.03B 598.79%641.05B -291.18%-128.52B -133.34%-32.86B 1,386.23%98.54B 125.18%6.63B -122.80%-26.33B 631.92%115.45B
Effect of exchange rate changes --0 -125.00%-1M --4M --0 -90.00%1M 600.00%10M -133.33%-2M 700.00%6M -103.57%-1M 55.56%28M
Cash adjustments other than cash changes ---- ---1M ---- --1M ---- 0.00%1M --1M ---- ---2M ----
End cash Position 23.39%551.04B -47.13%446.6B 2.31%844.77B 347.11%825.73B -41.03%184.68B -9.49%313.2B 39.81%346.05B 2.75%247.51B -9.85%240.88B 76.11%267.21B
Free cash flow 122.87%78.12B -421.16%-341.62B -82.20%106.37B 464.20%597.57B -60.76%-164.08B -374.07%-102.07B 182.04%37.24B -67.34%-45.39B -125.43%-27.13B 1,553.34%106.69B
Currency Unit JPY JPY JPY JPY JPY JPY JPY JPY JPY JPY
Accounting Standards NonUS-GAAP NonUS-GAAP NonUS-GAAP NonUS-GAAP NonUS-GAAP NonUS-GAAP NonUS-GAAP NonUS-GAAP NonUS-GAAP NonUS-GAAP