JP Stock MarketDetailed Quotes

Seven Bank (8410)

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  • 264.3
  • -2.1-0.79%
20min DelayNot Open Apr 30 15:30 JST
311.69BMarket Cap16.97P/E (Static)

Seven Bank (8410) 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
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
(Q3)Dec 31, 2023
Assets
Cash, cash equivalents and federal funds sold
-18.59%984.29B
-11.38%827.58B
--828.57B
-9.72%892.85B
-9.72%892.85B
7.96%1.21T
-15.38%933.87B
3.88%988.93B
3.88%988.93B
13.65%1.12T
-Cash and cash equivalents
-18.59%984.29B
-11.38%827.58B
--828.57B
-9.72%892.85B
-9.72%892.85B
9.93%1.21T
-15.38%933.87B
3.88%988.93B
3.88%988.93B
11.62%1.1T
-Including:Cash and bank accounts receivable
-18.59%984.29B
-11.38%827.58B
--828.57B
-9.72%892.85B
-9.72%892.85B
9.93%1.21T
-15.38%933.87B
3.88%988.93B
3.88%988.93B
11.62%1.1T
-Restricted cash and investment
----
----
----
----
----
----
----
----
----
--20B
Financial asset investment
4.03%137.77B
-4.69%121.59B
--117.75B
2.22%120.7B
2.22%120.7B
10.29%132.43B
4.23%127.58B
18.49%118.08B
18.49%118.08B
19.00%120.07B
-Available-for-sale securities
4.03%137.77B
-4.69%121.59B
--117.75B
2.22%120.7B
2.22%120.7B
10.29%132.43B
4.23%127.58B
18.49%118.08B
18.49%118.08B
19.00%120.07B
Net loan
31.37%80.21B
-21.98%76.77B
--72.37B
-33.55%67.58B
-33.55%67.58B
-37.41%61.06B
1.91%98.4B
65.12%101.7B
65.12%101.7B
19.83%97.54B
-Other loan assets
30.38%86.31B
-20.28%82.12B
--77.81B
-32.02%72.26B
-32.02%72.26B
-35.86%66.2B
1.39%103.01B
68.42%106.29B
68.42%106.29B
24.90%103.22B
-Allowance for loan and lease losses
18.62%6.1B
15.91%5.35B
--5.44B
1.87%4.68B
1.87%4.68B
-9.32%5.15B
-8.56%4.61B
201.97%4.59B
201.97%4.59B
359.81%5.67B
Receivables
-1.79%139.68B
-1.59%128.33B
--131.86B
-4.38%128.46B
-4.38%128.46B
-4.00%142.22B
-3.02%130.4B
--134.34B
--134.34B
--148.14B
Net PPE
0.93%46.19B
1.35%44.55B
--46.98B
28.34%50.25B
28.34%50.25B
25.13%45.77B
25.85%43.95B
29.40%39.15B
29.40%39.15B
22.20%36.57B
-Gross PP&E
----
----
----
28.35%50.25B
28.35%50.25B
----
----
29.40%39.15B
29.40%39.15B
----
Goodwill and other intangible assets
-10.04%45.65B
-0.83%49.39B
--50.45B
6.95%50.05B
6.95%50.05B
15.29%50.74B
19.36%49.81B
36.23%46.8B
36.23%46.8B
26.48%44.02B
-Other intangible assets
----
----
----
6.95%50.05B
6.95%50.05B
----
----
36.23%46.8B
36.23%46.8B
----
Defined pension benefit
14.01%3.16B
13.97%3.09B
--3.03B
13.54%2.97B
13.54%2.97B
34.73%2.77B
35.06%2.71B
134.95%2.62B
134.95%2.62B
82.11%2.06B
Total tax assets
-46.65%2.65B
-54.83%2.29B
--2.58B
-44.45%2.64B
-44.45%2.64B
-48.80%4.97B
-51.28%5.06B
0.83%4.75B
0.83%4.75B
156.06%9.7B
-Deferred tax assets
-46.65%2.65B
-54.83%2.29B
--2.58B
-44.45%2.64B
-44.45%2.64B
-48.80%4.97B
-51.28%5.06B
0.83%4.75B
0.83%4.75B
156.06%9.7B
Other assets
-1.82%231.9B
-0.57%176.46B
--217.67B
-35.88%180.49B
-35.88%180.49B
-22.50%236.18B
-26.97%177.47B
118.91%281.46B
118.91%281.46B
76.47%304.74B
Total assets
-11.33%1.67T
-8.87%1.43T
--1.47T
-12.91%1.5T
-12.91%1.5T
0.13%1.89T
-12.29%1.57T
30.90%1.72T
30.90%1.72T
33.52%1.88T
Liabilities
Total deposits
4.36%979.62B
-0.97%864.23B
--870.56B
-8.00%842.14B
-8.00%842.14B
-1.39%938.67B
-0.14%872.68B
11.43%915.42B
11.43%915.42B
4.81%951.86B
Trading and financial liabilities
-70.26%107.51B
-48.34%72.83B
--94.34B
-49.32%98.34B
-49.32%98.34B
21.85%361.5B
-54.99%140.98B
33.87%194.05B
33.87%194.05B
104.50%296.68B
-Total debt
-70.26%107.51B
-48.34%72.83B
--94.34B
-49.32%98.34B
-49.32%98.34B
21.85%361.5B
-54.99%140.98B
33.87%194.05B
33.87%194.05B
104.50%296.68B
Payables
-2.26%44.89B
-2.37%37.2B
--38.57B
-3.99%40.74B
-3.99%40.74B
-3.99%45.93B
-3.59%38.11B
--42.43B
--42.43B
--47.84B
-Accounts payable
-2.26%44.89B
-2.37%37.2B
--38.57B
-3.99%40.74B
-3.99%40.74B
-3.99%45.93B
-3.59%38.11B
--42.43B
--42.43B
--47.84B
Accrued liabilities and deferred income
2.03%94.52B
-1.76%67.15B
--84.52B
-39.93%71.23B
-39.93%71.23B
-22.47%92.64B
-16.33%68.35B
116.47%118.57B
116.47%118.57B
72.45%119.49B
-Deferred income
2.03%94.52B
-1.76%67.15B
--84.52B
-39.93%71.23B
-39.93%71.23B
-22.47%92.64B
-16.33%68.35B
116.47%118.57B
116.47%118.57B
72.45%119.49B
Total provisions
11.51%1.04B
-57.17%1.07B
--1.02B
-55.92%983M
-55.92%983M
27.05%930M
260.49%2.49B
253.41%2.23B
253.41%2.23B
24.07%732M
Total pension and other postretirement benefit plans
7.76%653M
-1.32%972M
--1.66B
1.93%1.11B
1.93%1.11B
9.78%606M
9.20%985M
29.13%1.09B
29.13%1.09B
22.67%552M
Deferred income tax liabilities
60.19%165M
54.72%164M
--166M
78.79%177M
78.79%177M
87.27%103M
96.30%106M
191.18%99M
191.18%99M
1,733.33%55M
Other liabilities
-1.16%164.65B
-6.36%153.17B
--152.4B
-5.54%158.77B
-5.54%158.77B
-9.95%166.58B
-16.05%163.57B
376.32%168.08B
376.32%168.08B
461.91%184.99B
Total liability
-13.31%1.39T
-7.03%1.2T
--1.24T
-15.84%1.21T
-15.84%1.21T
0.30%1.61T
-14.46%1.29T
36.29%1.44T
36.29%1.44T
38.54%1.6T
Shareholders'equity
Share capital
0.00%30.72B
0.00%30.72B
--30.72B
0.00%30.72B
0.00%30.72B
0.00%30.72B
0.00%30.72B
0.00%30.72B
0.00%30.72B
0.00%30.72B
-common stock
0.00%30.72B
0.00%30.72B
--30.72B
0.00%30.72B
0.00%30.72B
0.00%30.72B
0.00%30.72B
0.00%30.72B
0.00%30.72B
0.00%30.72B
Additional paid-in capital
3.21%32.07B
0.00%31.07B
--31.07B
0.72%31.07B
0.72%31.07B
0.66%31.07B
0.67%31.07B
-0.05%30.85B
-0.05%30.85B
0.01%30.87B
Retained earnings
0.08%204.04B
2.09%210.63B
--204.85B
2.62%207.13B
2.62%207.13B
-1.24%203.88B
-1.27%206.31B
10.64%201.84B
10.64%201.84B
15.40%206.45B
Less: Treasury stock
12.85%3.09B
1,854.53%53.55B
--53.56B
-0.22%2.74B
-0.22%2.74B
-0.29%2.74B
72.33%2.74B
204.89%2.74B
204.89%2.74B
205.22%2.75B
Other reserves
-2.51%9.8B
-16.13%9.52B
--9.96B
11.61%11.02B
11.61%11.02B
-5.59%10.05B
7.33%11.35B
31.42%9.87B
31.42%9.87B
9.95%10.65B
Other equity interest
96.30%53M
118.18%48M
--36M
166.67%32M
166.67%32M
285.71%27M
--22M
--12M
--12M
--7M
Total stockholders'equity
0.21%273.59B
-17.45%228.43B
--223.08B
2.47%277.23B
2.47%277.23B
-1.06%273.02B
-1.00%276.74B
7.95%270.55B
7.95%270.55B
10.70%275.95B
Noncontrolling interests
-6.09%4.85B
-7.72%4.84B
--4.93B
-0.96%5.26B
-0.96%5.26B
13.85%5.17B
11.17%5.24B
46.94%5.31B
46.94%5.31B
7.00%4.54B
Total equity
0.09%278.45B
-17.27%233.27B
--228B
2.40%282.49B
2.40%282.49B
-0.82%278.19B
-0.80%281.98B
8.50%275.85B
8.50%275.85B
10.64%280.49B
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(FY)Mar 31, 2024(Q4)Mar 31, 2024(Q3)Dec 31, 2023
Assets
Cash, cash equivalents and federal funds sold -18.59%984.29B-11.38%827.58B--828.57B-9.72%892.85B-9.72%892.85B7.96%1.21T-15.38%933.87B3.88%988.93B3.88%988.93B13.65%1.12T
-Cash and cash equivalents -18.59%984.29B-11.38%827.58B--828.57B-9.72%892.85B-9.72%892.85B9.93%1.21T-15.38%933.87B3.88%988.93B3.88%988.93B11.62%1.1T
-Including:Cash and bank accounts receivable -18.59%984.29B-11.38%827.58B--828.57B-9.72%892.85B-9.72%892.85B9.93%1.21T-15.38%933.87B3.88%988.93B3.88%988.93B11.62%1.1T
-Restricted cash and investment --------------------------------------20B
Financial asset investment 4.03%137.77B-4.69%121.59B--117.75B2.22%120.7B2.22%120.7B10.29%132.43B4.23%127.58B18.49%118.08B18.49%118.08B19.00%120.07B
-Available-for-sale securities 4.03%137.77B-4.69%121.59B--117.75B2.22%120.7B2.22%120.7B10.29%132.43B4.23%127.58B18.49%118.08B18.49%118.08B19.00%120.07B
Net loan 31.37%80.21B-21.98%76.77B--72.37B-33.55%67.58B-33.55%67.58B-37.41%61.06B1.91%98.4B65.12%101.7B65.12%101.7B19.83%97.54B
-Other loan assets 30.38%86.31B-20.28%82.12B--77.81B-32.02%72.26B-32.02%72.26B-35.86%66.2B1.39%103.01B68.42%106.29B68.42%106.29B24.90%103.22B
-Allowance for loan and lease losses 18.62%6.1B15.91%5.35B--5.44B1.87%4.68B1.87%4.68B-9.32%5.15B-8.56%4.61B201.97%4.59B201.97%4.59B359.81%5.67B
Receivables -1.79%139.68B-1.59%128.33B--131.86B-4.38%128.46B-4.38%128.46B-4.00%142.22B-3.02%130.4B--134.34B--134.34B--148.14B
Net PPE 0.93%46.19B1.35%44.55B--46.98B28.34%50.25B28.34%50.25B25.13%45.77B25.85%43.95B29.40%39.15B29.40%39.15B22.20%36.57B
-Gross PP&E ------------28.35%50.25B28.35%50.25B--------29.40%39.15B29.40%39.15B----
Goodwill and other intangible assets -10.04%45.65B-0.83%49.39B--50.45B6.95%50.05B6.95%50.05B15.29%50.74B19.36%49.81B36.23%46.8B36.23%46.8B26.48%44.02B
-Other intangible assets ------------6.95%50.05B6.95%50.05B--------36.23%46.8B36.23%46.8B----
Defined pension benefit 14.01%3.16B13.97%3.09B--3.03B13.54%2.97B13.54%2.97B34.73%2.77B35.06%2.71B134.95%2.62B134.95%2.62B82.11%2.06B
Total tax assets -46.65%2.65B-54.83%2.29B--2.58B-44.45%2.64B-44.45%2.64B-48.80%4.97B-51.28%5.06B0.83%4.75B0.83%4.75B156.06%9.7B
-Deferred tax assets -46.65%2.65B-54.83%2.29B--2.58B-44.45%2.64B-44.45%2.64B-48.80%4.97B-51.28%5.06B0.83%4.75B0.83%4.75B156.06%9.7B
Other assets -1.82%231.9B-0.57%176.46B--217.67B-35.88%180.49B-35.88%180.49B-22.50%236.18B-26.97%177.47B118.91%281.46B118.91%281.46B76.47%304.74B
Total assets -11.33%1.67T-8.87%1.43T--1.47T-12.91%1.5T-12.91%1.5T0.13%1.89T-12.29%1.57T30.90%1.72T30.90%1.72T33.52%1.88T
Liabilities
Total deposits 4.36%979.62B-0.97%864.23B--870.56B-8.00%842.14B-8.00%842.14B-1.39%938.67B-0.14%872.68B11.43%915.42B11.43%915.42B4.81%951.86B
Trading and financial liabilities -70.26%107.51B-48.34%72.83B--94.34B-49.32%98.34B-49.32%98.34B21.85%361.5B-54.99%140.98B33.87%194.05B33.87%194.05B104.50%296.68B
-Total debt -70.26%107.51B-48.34%72.83B--94.34B-49.32%98.34B-49.32%98.34B21.85%361.5B-54.99%140.98B33.87%194.05B33.87%194.05B104.50%296.68B
Payables -2.26%44.89B-2.37%37.2B--38.57B-3.99%40.74B-3.99%40.74B-3.99%45.93B-3.59%38.11B--42.43B--42.43B--47.84B
-Accounts payable -2.26%44.89B-2.37%37.2B--38.57B-3.99%40.74B-3.99%40.74B-3.99%45.93B-3.59%38.11B--42.43B--42.43B--47.84B
Accrued liabilities and deferred income 2.03%94.52B-1.76%67.15B--84.52B-39.93%71.23B-39.93%71.23B-22.47%92.64B-16.33%68.35B116.47%118.57B116.47%118.57B72.45%119.49B
-Deferred income 2.03%94.52B-1.76%67.15B--84.52B-39.93%71.23B-39.93%71.23B-22.47%92.64B-16.33%68.35B116.47%118.57B116.47%118.57B72.45%119.49B
Total provisions 11.51%1.04B-57.17%1.07B--1.02B-55.92%983M-55.92%983M27.05%930M260.49%2.49B253.41%2.23B253.41%2.23B24.07%732M
Total pension and other postretirement benefit plans 7.76%653M-1.32%972M--1.66B1.93%1.11B1.93%1.11B9.78%606M9.20%985M29.13%1.09B29.13%1.09B22.67%552M
Deferred income tax liabilities 60.19%165M54.72%164M--166M78.79%177M78.79%177M87.27%103M96.30%106M191.18%99M191.18%99M1,733.33%55M
Other liabilities -1.16%164.65B-6.36%153.17B--152.4B-5.54%158.77B-5.54%158.77B-9.95%166.58B-16.05%163.57B376.32%168.08B376.32%168.08B461.91%184.99B
Total liability -13.31%1.39T-7.03%1.2T--1.24T-15.84%1.21T-15.84%1.21T0.30%1.61T-14.46%1.29T36.29%1.44T36.29%1.44T38.54%1.6T
Shareholders'equity
Share capital 0.00%30.72B0.00%30.72B--30.72B0.00%30.72B0.00%30.72B0.00%30.72B0.00%30.72B0.00%30.72B0.00%30.72B0.00%30.72B
-common stock 0.00%30.72B0.00%30.72B--30.72B0.00%30.72B0.00%30.72B0.00%30.72B0.00%30.72B0.00%30.72B0.00%30.72B0.00%30.72B
Additional paid-in capital 3.21%32.07B0.00%31.07B--31.07B0.72%31.07B0.72%31.07B0.66%31.07B0.67%31.07B-0.05%30.85B-0.05%30.85B0.01%30.87B
Retained earnings 0.08%204.04B2.09%210.63B--204.85B2.62%207.13B2.62%207.13B-1.24%203.88B-1.27%206.31B10.64%201.84B10.64%201.84B15.40%206.45B
Less: Treasury stock 12.85%3.09B1,854.53%53.55B--53.56B-0.22%2.74B-0.22%2.74B-0.29%2.74B72.33%2.74B204.89%2.74B204.89%2.74B205.22%2.75B
Other reserves -2.51%9.8B-16.13%9.52B--9.96B11.61%11.02B11.61%11.02B-5.59%10.05B7.33%11.35B31.42%9.87B31.42%9.87B9.95%10.65B
Other equity interest 96.30%53M118.18%48M--36M166.67%32M166.67%32M285.71%27M--22M--12M--12M--7M
Total stockholders'equity 0.21%273.59B-17.45%228.43B--223.08B2.47%277.23B2.47%277.23B-1.06%273.02B-1.00%276.74B7.95%270.55B7.95%270.55B10.70%275.95B
Noncontrolling interests -6.09%4.85B-7.72%4.84B--4.93B-0.96%5.26B-0.96%5.26B13.85%5.17B11.17%5.24B46.94%5.31B46.94%5.31B7.00%4.54B
Total equity 0.09%278.45B-17.27%233.27B--228B2.40%282.49B2.40%282.49B-0.82%278.19B-0.80%281.98B8.50%275.85B8.50%275.85B10.64%280.49B
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP
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