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Okinawa Financial Group (7350)

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  • 5790
  • -10-0.17%
20min DelayNot Open May 14 15:30 JST
133.27BMarket Cap15.58P/E (Static)

Okinawa Financial Group (7350) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Dec 31, 2025
(Q2)Sep 30, 2025
(Q1)Jun 30, 2025
(FY)Mar 31, 2025
(Q4)Mar 31, 2025
(Q3)Dec 31, 2024
(Q2)Sep 30, 2024
(Q1)Jun 30, 2024
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
Assets
Cash, cash equivalents and federal funds sold
-35.87%263.29B
-38.28%273.39B
-25.29%401.62B
-20.52%350.6B
-20.52%350.6B
-21.40%410.53B
-13.83%442.96B
3.81%537.56B
-13.86%441.12B
-13.86%441.12B
-Cash and cash equivalents
-36.72%258.89B
-39.28%268.29B
-25.44%399.67B
-20.51%349.39B
-20.51%349.39B
-21.44%409.11B
-13.73%441.87B
3.87%536.06B
-13.94%439.56B
-13.94%439.56B
-Including:Cash and bank accounts receivable
-36.72%258.89B
-39.28%268.29B
-25.44%399.67B
-20.51%349.39B
-20.51%349.39B
-21.44%409.11B
-13.73%441.87B
3.87%536.06B
-13.94%439.56B
-13.94%439.56B
-Restricted cash and investment
210.38%4.4B
368.84%5.1B
29.47%1.95B
-22.81%1.21B
-22.81%1.21B
-8.88%1.42B
-41.82%1.09B
-14.21%1.5B
14.99%1.57B
14.99%1.57B
Financial asset investment
7.46%645.01B
10.76%646.41B
11.19%606.93B
17.60%590.18B
17.60%590.18B
26.24%600.24B
24.45%583.59B
11.14%545.83B
5.08%501.87B
5.08%501.87B
-Available-for-sale securities
7.46%645.01B
10.76%646.41B
11.19%606.93B
17.60%590.18B
17.60%590.18B
26.24%600.24B
24.45%583.59B
11.14%545.83B
5.08%501.87B
5.08%501.87B
Net loan
5.25%1.96T
4.83%1.94T
4.55%1.91T
2.96%1.93T
2.96%1.93T
4.29%1.87T
3.88%1.85T
4.04%1.83T
5.87%1.88T
5.87%1.88T
-Other loan assets
5.29%1.98T
4.89%1.95T
4.58%1.92T
3.01%1.94T
3.01%1.94T
4.29%1.88T
3.86%1.86T
4.04%1.84T
5.84%1.89T
5.84%1.89T
-Allowance for loan and lease losses
10.39%13.67B
13.91%13.51B
8.80%13.31B
11.02%13.03B
11.02%13.03B
5.16%12.38B
0.61%11.86B
3.77%12.24B
0.68%11.74B
0.68%11.74B
Finance lease receivables
15.71%22.5B
15.94%22.07B
14.82%21.07B
12.47%20.29B
12.47%20.29B
8.03%19.44B
10.52%19.03B
5.84%18.35B
7.43%18.04B
7.43%18.04B
Net PPE
0.79%18.06B
0.23%18.11B
-0.70%18.28B
-3.29%17.87B
-3.29%17.87B
-4.67%17.92B
-5.46%18.07B
-5.08%18.41B
-5.39%18.48B
-5.39%18.48B
-Gross PP&E
----
----
----
-3.29%17.87B
-3.29%17.87B
----
----
----
-5.39%18.48B
-5.39%18.48B
Goodwill and other intangible assets
-14.82%3.13B
-10.67%3.4B
-12.22%3.47B
-10.12%3.7B
-10.12%3.7B
-7.35%3.67B
-7.22%3.81B
-5.70%3.95B
-3.32%4.11B
-3.32%4.11B
-Other intangible assets
----
----
----
-10.12%3.7B
-10.12%3.7B
----
----
----
-3.32%4.11B
-3.32%4.11B
Defined pension benefit
--1.19B
--1.15B
--1.06B
--969M
--969M
----
----
----
--0
--0
Total tax assets
13.48%9.09B
24.61%9.06B
18.88%9.24B
67.26%10.54B
67.26%10.54B
11.31%8.01B
-15.35%7.27B
29.31%7.77B
-12.28%6.3B
-12.28%6.3B
-Deferred tax assets
13.48%9.09B
24.61%9.06B
18.88%9.24B
67.26%10.54B
67.26%10.54B
11.31%8.01B
-15.35%7.27B
29.31%7.77B
-12.28%6.3B
-12.28%6.3B
Other assets
-14.93%55.97B
-15.85%48.38B
-0.78%52.38B
-21.34%53.74B
-21.34%53.74B
-9.14%65.8B
-27.49%57.5B
-29.61%52.79B
1.01%68.32B
1.01%68.32B
Total assets
-0.31%2.98T
-0.71%2.96T
0.41%3.02T
1.54%2.98T
1.54%2.98T
2.89%2.99T
3.11%2.98T
4.32%3.01T
1.99%2.93T
1.99%2.93T
Liabilities
Total deposits
-0.64%2.68T
-1.06%2.66T
0.62%2.73T
1.59%2.69T
1.59%2.69T
2.82%2.7T
1.93%2.69T
3.01%2.71T
4.60%2.64T
4.60%2.64T
Trading and financial liabilities
-2.99%97.17B
0.68%97.12B
2.52%98.58B
5.79%99.84B
5.79%99.84B
6.24%100.17B
47.62%96.47B
48.55%96.16B
-41.39%94.38B
-41.39%94.38B
-Total debt
-2.99%97.17B
0.68%97.12B
2.52%98.58B
5.79%99.84B
5.79%99.84B
6.24%100.17B
47.62%96.47B
48.55%96.16B
-41.39%94.38B
-41.39%94.38B
Total provisions
-29.41%60M
-32.56%58M
-33.33%62M
-34.88%84M
-34.88%84M
-41.78%85M
-40.69%86M
-38.82%93M
-31.75%129M
-31.75%129M
Total pension and other postretirement benefit plans
70.71%1.29B
26.00%1.98B
-6.62%1.06B
-9.48%1.72B
-9.48%1.72B
-79.17%758M
-63.29%1.57B
-69.49%1.13B
-58.09%1.9B
-58.09%1.9B
Deferred income tax liabilities
4.58%1.23B
2.12%1.2B
-3.27%1.19B
-2.40%1.18B
-2.40%1.18B
-7.46%1.18B
-7.02%1.18B
-6.35%1.23B
-4.58%1.21B
-4.58%1.21B
Other liabilities
12.04%40.51B
8.45%35.96B
-20.27%38.31B
3.43%36.14B
3.43%36.14B
12.03%36.15B
9.07%33.16B
52.14%48.04B
24.89%34.94B
24.89%34.94B
Total liability
-0.55%2.82T
-0.87%2.8T
0.32%2.87T
1.75%2.83T
1.75%2.83T
2.93%2.84T
2.99%2.82T
4.55%2.86T
1.98%2.78T
1.98%2.78T
Shareholders'equity
Share capital
0.00%20B
0.00%20B
0.00%20B
0.00%20B
0.00%20B
0.00%20B
0.00%20B
0.00%20B
0.00%20B
0.00%20B
-common stock
0.00%20B
0.00%20B
0.00%20B
0.00%20B
0.00%20B
0.00%20B
0.00%20B
0.00%20B
0.00%20B
0.00%20B
Additional paid-in capital
0.87%22.22B
0.87%22.22B
0.92%22.22B
0.92%22.22B
0.92%22.22B
0.05%22.03B
0.05%22.03B
0.12%22.01B
-8.24%22.01B
-8.24%22.01B
Retained earnings
6.27%133.61B
5.65%132.15B
5.39%129.47B
5.09%128.23B
5.09%128.23B
4.47%125.73B
4.47%125.08B
4.04%122.86B
3.87%122.02B
3.87%122.02B
Less: Treasury stock
4.07%3.91B
8.40%3.91B
3.82%3.91B
4.70%3.95B
4.70%3.95B
-0.35%3.76B
-4.27%3.61B
2.95%3.77B
56.98%3.77B
56.98%3.77B
Fixed asset revaluation reserve
-2.94%1.09B
-2.94%1.09B
-10.31%1.09B
-10.31%1.09B
-10.31%1.09B
-11.03%1.12B
-11.03%1.12B
-3.73%1.21B
-4.49%1.21B
-4.49%1.21B
Other reserves
-19.76%-11.47B
-47.42%-10.83B
-39.18%-11.94B
-205.57%-14.11B
-205.57%-14.11B
-22.93%-9.58B
26.01%-7.35B
-92.83%-8.58B
32.31%-4.62B
32.31%-4.62B
Other equity interest
0.00%36M
0.00%36M
-43.75%36M
-43.75%36M
-43.75%36M
-43.75%36M
-43.75%36M
-57.89%64M
-57.89%64M
-57.89%64M
Total stockholders'equity
3.85%161.58B
2.19%160.75B
2.06%156.96B
-2.17%153.51B
-2.17%153.51B
2.27%155.58B
5.31%157.31B
0.28%153.8B
2.12%156.92B
2.12%156.92B
Noncontrolling interests
--82M
--77M
----
----
----
----
----
----
----
----
Total equity
3.91%161.66B
2.24%160.82B
2.06%156.96B
-2.17%153.51B
-2.17%153.51B
2.27%155.58B
5.31%157.31B
0.28%153.8B
2.12%156.92B
2.12%156.92B
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
(Q3)Dec 31, 2025(Q2)Sep 30, 2025(Q1)Jun 30, 2025(FY)Mar 31, 2025(Q4)Mar 31, 2025(Q3)Dec 31, 2024(Q2)Sep 30, 2024(Q1)Jun 30, 2024(FY)Mar 31, 2024(Q4)Mar 31, 2024
Assets
Cash, cash equivalents and federal funds sold -35.87%263.29B-38.28%273.39B-25.29%401.62B-20.52%350.6B-20.52%350.6B-21.40%410.53B-13.83%442.96B3.81%537.56B-13.86%441.12B-13.86%441.12B
-Cash and cash equivalents -36.72%258.89B-39.28%268.29B-25.44%399.67B-20.51%349.39B-20.51%349.39B-21.44%409.11B-13.73%441.87B3.87%536.06B-13.94%439.56B-13.94%439.56B
-Including:Cash and bank accounts receivable -36.72%258.89B-39.28%268.29B-25.44%399.67B-20.51%349.39B-20.51%349.39B-21.44%409.11B-13.73%441.87B3.87%536.06B-13.94%439.56B-13.94%439.56B
-Restricted cash and investment 210.38%4.4B368.84%5.1B29.47%1.95B-22.81%1.21B-22.81%1.21B-8.88%1.42B-41.82%1.09B-14.21%1.5B14.99%1.57B14.99%1.57B
Financial asset investment 7.46%645.01B10.76%646.41B11.19%606.93B17.60%590.18B17.60%590.18B26.24%600.24B24.45%583.59B11.14%545.83B5.08%501.87B5.08%501.87B
-Available-for-sale securities 7.46%645.01B10.76%646.41B11.19%606.93B17.60%590.18B17.60%590.18B26.24%600.24B24.45%583.59B11.14%545.83B5.08%501.87B5.08%501.87B
Net loan 5.25%1.96T4.83%1.94T4.55%1.91T2.96%1.93T2.96%1.93T4.29%1.87T3.88%1.85T4.04%1.83T5.87%1.88T5.87%1.88T
-Other loan assets 5.29%1.98T4.89%1.95T4.58%1.92T3.01%1.94T3.01%1.94T4.29%1.88T3.86%1.86T4.04%1.84T5.84%1.89T5.84%1.89T
-Allowance for loan and lease losses 10.39%13.67B13.91%13.51B8.80%13.31B11.02%13.03B11.02%13.03B5.16%12.38B0.61%11.86B3.77%12.24B0.68%11.74B0.68%11.74B
Finance lease receivables 15.71%22.5B15.94%22.07B14.82%21.07B12.47%20.29B12.47%20.29B8.03%19.44B10.52%19.03B5.84%18.35B7.43%18.04B7.43%18.04B
Net PPE 0.79%18.06B0.23%18.11B-0.70%18.28B-3.29%17.87B-3.29%17.87B-4.67%17.92B-5.46%18.07B-5.08%18.41B-5.39%18.48B-5.39%18.48B
-Gross PP&E -------------3.29%17.87B-3.29%17.87B-------------5.39%18.48B-5.39%18.48B
Goodwill and other intangible assets -14.82%3.13B-10.67%3.4B-12.22%3.47B-10.12%3.7B-10.12%3.7B-7.35%3.67B-7.22%3.81B-5.70%3.95B-3.32%4.11B-3.32%4.11B
-Other intangible assets -------------10.12%3.7B-10.12%3.7B-------------3.32%4.11B-3.32%4.11B
Defined pension benefit --1.19B--1.15B--1.06B--969M--969M--------------0--0
Total tax assets 13.48%9.09B24.61%9.06B18.88%9.24B67.26%10.54B67.26%10.54B11.31%8.01B-15.35%7.27B29.31%7.77B-12.28%6.3B-12.28%6.3B
-Deferred tax assets 13.48%9.09B24.61%9.06B18.88%9.24B67.26%10.54B67.26%10.54B11.31%8.01B-15.35%7.27B29.31%7.77B-12.28%6.3B-12.28%6.3B
Other assets -14.93%55.97B-15.85%48.38B-0.78%52.38B-21.34%53.74B-21.34%53.74B-9.14%65.8B-27.49%57.5B-29.61%52.79B1.01%68.32B1.01%68.32B
Total assets -0.31%2.98T-0.71%2.96T0.41%3.02T1.54%2.98T1.54%2.98T2.89%2.99T3.11%2.98T4.32%3.01T1.99%2.93T1.99%2.93T
Liabilities
Total deposits -0.64%2.68T-1.06%2.66T0.62%2.73T1.59%2.69T1.59%2.69T2.82%2.7T1.93%2.69T3.01%2.71T4.60%2.64T4.60%2.64T
Trading and financial liabilities -2.99%97.17B0.68%97.12B2.52%98.58B5.79%99.84B5.79%99.84B6.24%100.17B47.62%96.47B48.55%96.16B-41.39%94.38B-41.39%94.38B
-Total debt -2.99%97.17B0.68%97.12B2.52%98.58B5.79%99.84B5.79%99.84B6.24%100.17B47.62%96.47B48.55%96.16B-41.39%94.38B-41.39%94.38B
Total provisions -29.41%60M-32.56%58M-33.33%62M-34.88%84M-34.88%84M-41.78%85M-40.69%86M-38.82%93M-31.75%129M-31.75%129M
Total pension and other postretirement benefit plans 70.71%1.29B26.00%1.98B-6.62%1.06B-9.48%1.72B-9.48%1.72B-79.17%758M-63.29%1.57B-69.49%1.13B-58.09%1.9B-58.09%1.9B
Deferred income tax liabilities 4.58%1.23B2.12%1.2B-3.27%1.19B-2.40%1.18B-2.40%1.18B-7.46%1.18B-7.02%1.18B-6.35%1.23B-4.58%1.21B-4.58%1.21B
Other liabilities 12.04%40.51B8.45%35.96B-20.27%38.31B3.43%36.14B3.43%36.14B12.03%36.15B9.07%33.16B52.14%48.04B24.89%34.94B24.89%34.94B
Total liability -0.55%2.82T-0.87%2.8T0.32%2.87T1.75%2.83T1.75%2.83T2.93%2.84T2.99%2.82T4.55%2.86T1.98%2.78T1.98%2.78T
Shareholders'equity
Share capital 0.00%20B0.00%20B0.00%20B0.00%20B0.00%20B0.00%20B0.00%20B0.00%20B0.00%20B0.00%20B
-common stock 0.00%20B0.00%20B0.00%20B0.00%20B0.00%20B0.00%20B0.00%20B0.00%20B0.00%20B0.00%20B
Additional paid-in capital 0.87%22.22B0.87%22.22B0.92%22.22B0.92%22.22B0.92%22.22B0.05%22.03B0.05%22.03B0.12%22.01B-8.24%22.01B-8.24%22.01B
Retained earnings 6.27%133.61B5.65%132.15B5.39%129.47B5.09%128.23B5.09%128.23B4.47%125.73B4.47%125.08B4.04%122.86B3.87%122.02B3.87%122.02B
Less: Treasury stock 4.07%3.91B8.40%3.91B3.82%3.91B4.70%3.95B4.70%3.95B-0.35%3.76B-4.27%3.61B2.95%3.77B56.98%3.77B56.98%3.77B
Fixed asset revaluation reserve -2.94%1.09B-2.94%1.09B-10.31%1.09B-10.31%1.09B-10.31%1.09B-11.03%1.12B-11.03%1.12B-3.73%1.21B-4.49%1.21B-4.49%1.21B
Other reserves -19.76%-11.47B-47.42%-10.83B-39.18%-11.94B-205.57%-14.11B-205.57%-14.11B-22.93%-9.58B26.01%-7.35B-92.83%-8.58B32.31%-4.62B32.31%-4.62B
Other equity interest 0.00%36M0.00%36M-43.75%36M-43.75%36M-43.75%36M-43.75%36M-43.75%36M-57.89%64M-57.89%64M-57.89%64M
Total stockholders'equity 3.85%161.58B2.19%160.75B2.06%156.96B-2.17%153.51B-2.17%153.51B2.27%155.58B5.31%157.31B0.28%153.8B2.12%156.92B2.12%156.92B
Noncontrolling interests --82M--77M--------------------------------
Total equity 3.91%161.66B2.24%160.82B2.06%156.96B-2.17%153.51B-2.17%153.51B2.27%155.58B5.31%157.31B0.28%153.8B2.12%156.92B2.12%156.92B
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP
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