名古屋銀行(8522)の貸借対照表/第2四半期

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名古屋銀行(8522)の株価  業績  進捗率の推移

意味貸借対照表は、特定の時点における企業の財務状況を示す決算書類の一つです。投資家や債権者が企業の財務健全性を評価したり、貸借対照表の複数の期間を比較することによって、企業の成長や変化を把握することができます。貸借対照表は、資産、負債、資本の3つのセクションに分かれ、資産の合計が、負債と資本の合計と必ず一致するようにできています。

 貸借対照表  損益計算書


2025年9月30日

 

 

(単位:百万円)

 

前連結会計年度

(2025年3月31日)

当中間連結会計期間

(2025年9月30日)

資産の部

 

 

現金預け金

711,182

884,357

コールローン及び買入手形

1,196

1,339

商品有価証券

2

3

有価証券

936,433

975,329

貸出金

3,990,329

4,108,324

外国為替

4,473

3,721

リース債権及びリース投資資産

42,047

43,713

その他資産

27,959

27,515

有形固定資産

41,654

41,475

無形固定資産

1,025

735

退職給付に係る資産

21,010

21,162

繰延税金資産

866

845

支払承諾見返

9,429

10,198

貸倒引当金

△17,252

△17,636

資産の部合計

5,770,358

6,101,086

負債の部

 

 

預金

4,790,183

5,290,299

譲渡性預金

235,996

33,000

コールマネー及び売渡手形

209

借用金

367,700

368,675

外国為替

680

471

社債

10,000

10,000

信託勘定借

1,478

1,498

その他負債

52,045

56,791

賞与引当金

1,137

1,141

役員賞与引当金

15

8

退職給付に係る負債

263

259

役員退職慰労引当金

35

31

睡眠預金払戻損失引当金

49

26

偶発損失引当金

1,308

1,325

利息返還損失引当金

24

24

繰延税金負債

20,629

26,915

再評価に係る繰延税金負債

2,847

2,783

支払承諾

9,429

10,198

負債の部合計

5,493,827

5,803,660

純資産の部

 

 

資本金

25,090

25,090

資本剰余金

21,241

21,249

利益剰余金

173,486

180,147

自己株式

△429

△385

株主資本合計

219,389

226,101

その他有価証券評価差額金

47,959

62,622

土地再評価差額金

3,785

3,647

退職給付に係る調整累計額

5,396

5,053

その他の包括利益累計額合計

57,141

71,323

純資産の部合計

276,531

297,425

負債及び純資産の部合計

5,770,358

6,101,086


2024年9月30日

 第2四半期決算短信_20241112141012

2.中間連結財務諸表及び主な注記

(1)中間連結貸借対照表

 

 

(単位:百万円)

 

前連結会計年度

(2024年3月31日)

当中間連結会計期間

(2024年9月30日)

資産の部

 

 

現金預け金

557,277

784,771

コールローン及び買入手形

1,059

999

商品有価証券

2

有価証券

934,253

874,071

貸出金

3,780,857

3,846,240

外国為替

4,340

4,042

リース債権及びリース投資資産

39,154

40,888

その他資産

54,453

25,839

有形固定資産

41,741

40,786

無形固定資産

1,727

1,360

退職給付に係る資産

23,139

23,428

繰延税金資産

779

788

支払承諾見返

9,493

9,803

貸倒引当金

17,240

16,788

資産の部合計

5,431,037

5,636,232

負債の部

 

 

預金

4,513,131

4,693,973

譲渡性預金

123,340

182,732

コールマネー及び売渡手形

426

債券貸借取引受入担保金

17,363

借用金

370,563

368,318

外国為替

60

85

社債

20,000

20,000

信託勘定借

1,588

1,621

その他負債

31,871

52,588

賞与引当金

1,139

1,108

役員賞与引当金

41

7

退職給付に係る負債

249

258

役員退職慰労引当金

36

30

睡眠預金払戻損失引当金

37

81

偶発損失引当金

1,558

1,516

利息返還損失引当金

25

25

繰延税金負債

33,993

22,607

再評価に係る繰延税金負債

2,766

2,766

支払承諾

9,493

9,803

負債の部合計

5,127,688

5,357,524

純資産の部

 

 

資本金

25,090

25,090

資本剰余金

21,241

21,241

利益剰余金

164,268

168,069

自己株式

367

425

株主資本合計

210,234

213,976

その他有価証券評価差額金

80,852

53,025

土地再評価差額金

3,867

3,867

退職給付に係る調整累計額

8,395

7,839

その他の包括利益累計額合計

93,115

64,731

純資産の部合計

303,349

278,708

負債及び純資産の部合計

5,431,037

5,636,232

 

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2023年9月30日

(1)【中間連結貸借対照表】

 

 

(単位:百万円)

 

前連結会計年度

(2023年3月31日)

当中間連結会計期間

(2023年9月30日)

資産の部

 

 

現金預け金

451,935

540,922

コールローン及び買入手形

1,346

商品有価証券

0

有価証券

876,724

900,912

貸出金

3,626,289

3,687,960

外国為替

5,700

4,998

リース債権及びリース投資資産

36,646

37,421

その他資産

51,056

52,923

有形固定資産

36,976

36,538

無形固定資産

2,229

1,995

退職給付に係る資産

14,098

14,221

繰延税金資産

739

765

支払承諾見返

9,949

10,063

貸倒引当金

△14,099

△16,124

資産の部合計

5,098,245

5,273,945

負債の部

 

 

預金

4,281,718

4,467,273

譲渡性預金

71,850

108,469

コールマネー及び売渡手形

6,033

416

債券貸借取引受入担保金

76,200

66,800

借用金

321,067

283,913

外国為替

304

73

社債

20,000

20,000

信託勘定借

1,601

1,741

その他負債

43,457

28,151

賞与引当金

1,135

1,117

役員賞与引当金

38

20

退職給付に係る負債

2,899

2,676

役員退職慰労引当金

25

30

睡眠預金払戻損失引当金

88

57

偶発損失引当金

1,249

1,458

利息返還損失引当金

27

27

繰延税金負債

12,500

17,626

再評価に係る繰延税金負債

2,766

2,766

支払承諾

9,949

10,063

負債の部合計

4,852,915

5,012,684

純資産の部

 

 

資本金

25,090

25,090

資本剰余金

21,241

21,241

利益剰余金

159,190

161,672

自己株式

△232

△227

株主資本合計

205,290

207,778

その他有価証券評価差額金

34,923

48,684

土地再評価差額金

3,867

3,867

退職給付に係る調整累計額

1,247

930

その他の包括利益累計額合計

40,038

53,482

純資産の部合計

245,329

261,260

負債及び純資産の部合計

5,098,245

5,273,945


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