JP Stock MarketDetailed Quotes

7182 Japan Post Bank

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  • 1420.0
  • +40.0+2.90%
20min DelayNot Open Nov 6 15:30 JST
5.14TMarket Cap14.43P/E (Static)

Japan Post Bank 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
92.17%-412.6B
-176.96%-5.27T
-21.14%6.85T
325.85%8.69T
232.20%2.04T
-111.86%-1.54T
-145.65%-728.25B
-114.91%-296.46B
65.69%1.99T
1.2T
Net profit before non-cash adjustment
8.73%494.06B
-8.50%454.37B
26.47%496.57B
3.70%392.65B
2.37%378.63B
-25.87%369.87B
13.24%498.92B
-8.38%440.6B
-15.79%480.89B
--571.03B
Total adjustment of non-cash items
-277.87%-4.6T
53.37%-1.22T
-66.07%-2.61T
-6.59%-1.57T
21.96%-1.48T
-37.27%-1.89T
3.18%-1.38T
-36.44%-1.42T
52.92%-1.04T
---2.22T
-Depreciation and amortization
24.68%42.68B
-9.23%34.23B
7.66%37.72B
-3.39%35.03B
7.63%36.26B
-10.02%33.69B
6.06%37.45B
-3.71%35.31B
5.97%36.67B
--34.6B
-Assets reserve and write-off
-76.00%210M
5,733.33%875M
-98.51%15M
--1.01B
--0
3,135.29%550M
-98.23%17M
19,060.00%958M
-70.59%5M
--17M
-Other restructuring costs
----
----
----
----
---27M
----
----
----
----
----
-Share of associates
2.81%-311M
-11.11%-320M
0.35%-288M
-20.92%-289M
-5.29%-239M
-138.95%-227M
---95M
----
----
----
-Disposal profit
1,943.98%309.73B
-91.76%15.15B
-14.48%183.89B
1,209.49%215.02B
-172.36%-19.38B
-5.87%26.78B
883.14%28.45B
172.81%2.89B
-231.14%-3.98B
--3.03B
-Net exchange gains and losses
-45.64%-1.94T
-22.74%-1.33T
-134.75%-1.08T
-428.82%-461.93B
84.93%-87.35B
-4,030.04%-579.64B
118.41%14.75B
-129.14%-80.13B
152.86%274.92B
---520.09B
-Pension and employee benefit expenses
----
----
----
----
----
----
132.56%100M
--43M
----
----
-Other non-cash items
-4,877.88%-3.02T
103.61%63.13B
-28.45%-1.75T
3.07%-1.36T
-2.39%-1.4T
5.91%-1.37T
-5.52%-1.46T
-2.33%-1.38T
22.06%-1.35T
---1.73T
Changes in working capital
181.99%3.7T
-150.28%-4.51T
-9.13%8.96T
214.54%9.87T
14,439.42%3.14T
-114.55%-21.87B
-78.08%150.31B
-73.11%685.72B
-10.33%2.55T
--2.84T
-Change in loans
198.91%6.04T
-215.97%-6.1T
63.56%5.26T
166.33%3.22T
205.37%1.21T
-206.31%-1.15T
54.63%-374.27B
-134.88%-824.96B
34.02%2.37T
--1.76T
-Provision for loans, leases and other losses
-2,904.50%-136.07B
68.93%-4.53B
-221.97%-14.58B
50.21%-4.53B
-763.80%-9.09B
-98.42%1.37B
6,962.68%86.87B
470.48%1.23B
-96.45%-332M
---169M
-Change in deposits by banks and customers
-242.24%-2.15T
-60.78%1.51T
-41.55%3.85T
228.53%6.59T
79.68%2T
149.82%1.12T
-71.42%446.64B
869.36%1.56T
-85.32%161.21B
--1.1T
-Changes in other current assets
-163.37%-56.39B
166.86%88.98B
-299.75%-133.08B
199.33%66.62B
-1,046.01%-67.07B
180.20%7.09B
83.42%-8.84B
-322.13%-53.32B
228.55%24B
---18.67B
-Changes in other current liabilities
-119.33%-138M
292.31%714M
5,966.67%182M
102.56%3M
-136.79%-117M
427.84%318M
-242.65%-97M
-5.56%68M
350.00%72M
--16M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
-62.79%-670.31B
-20.05%-411.77B
20.20%-343B
-6.07%-429.82B
48.15%-405.22B
5.15%-781.46B
-83.16%-823.89B
-91.18%-449.82B
-10.87%-235.28B
-212.21B
Interest received (cash flow from operating activities)
Tax refund paid
-2,408.86%-202.29B
95.47%-8.06B
-76.32%-178.06B
-29.94%-100.99B
54.00%-77.72B
-25.60%-168.96B
11.78%-134.52B
16.12%-152.49B
8.74%-181.79B
-199.19B
Other operating cash inflow (outflow)
14.32%1.37T
-10.62%1.2T
4.77%1.34T
-7.47%1.28T
0.49%1.38T
-11.80%1.37T
-3.71%1.56T
-13.80%1.62T
-9.00%1.88T
2.06T
Operating cash flow
101.80%81.04B
-158.65%-4.5T
-18.72%7.67T
221.23%9.43T
361.97%2.94T
-759.38%-1.12T
-118.18%-130.41B
-79.18%717.49B
20.95%3.45T
--2.85T
Investing cash flow
Net PPE purchase and sale
-48.31%-27.33B
-35.50%-18.43B
41.04%-13.6B
-40.76%-23.06B
65.97%-16.39B
-39.78%-48.15B
-79.15%-34.45B
40.41%-19.23B
-27.74%-32.26B
---25.26B
Net intangibles purchase and sale
-24.52%-35.58B
-30.86%-28.58B
-54.22%-21.84B
-54.03%-14.16B
38.76%-9.19B
37.97%-15.01B
-65.66%-24.2B
-52.01%-14.61B
-57.15%-9.61B
---6.12B
Net business purchase and sale
----
----
----
----
--487M
----
----
----
----
----
Net investment property transactions
-262.72%-11.15T
594.66%6.85T
-5,752.25%-1.39T
97.55%-23.67B
-137.01%-967.13B
282.12%2.61T
-129.47%-1.44T
-52.53%4.87T
-16.86%10.26T
--12.34T
Net changes in other investments
299.96%933.35B
-182.84%-466.77B
11.79%-165.03B
76.47%-187.09B
-586.53%-795.13B
189.56%163.43B
-538.83%-182.48B
115.79%41.58B
-1,625.02%-263.31B
---15.26B
Investing cash flow
-262.18%-10.28T
499.71%6.34T
-539.38%-1.59T
86.13%-247.98B
-165.86%-1.79T
261.90%2.71T
-134.37%-1.68T
-51.00%4.88T
-19.03%9.95T
--12.29T
Financing cash flow
Net common stock issuance
39.00%-57.25B
-65,528.67%-93.85B
36.16%-143M
18.84%-224M
43.44%-276M
-15.09%-488M
-1.44%-424M
---418M
----
---1.3T
Cash dividends paid
2.29%-183.18B
-0.00%-187.47B
-99.85%-187.47B
49.99%-93.8B
-0.06%-187.55B
-0.02%-187.44B
-0.06%-187.41B
-1.40%-187.3B
-96.53%-184.72B
---93.99B
Cash dividends for minorities
75.47%-2.43B
-894.09%-9.92B
-850.48%-998M
-303.85%-105M
---26M
----
----
----
----
----
Net other fund-raising expenses
19.40%6.22B
-25.13%5.21B
-53.61%6.96B
168.19%14.99B
11.98%5.59B
880.75%4.99B
51,000.00%509M
---1M
----
----
Financing cash flow
17.27%-236.64B
-57.46%-286.04B
-129.54%-181.66B
56.58%-79.14B
0.37%-182.27B
2.34%-182.94B
0.21%-187.32B
-1.62%-187.72B
86.75%-184.72B
---1.39T
Net cash flow
Beginning cash position
2.34%68.16T
9.72%66.6T
17.64%60.7T
1.91%51.6T
2.87%50.63T
-3.89%49.22T
11.80%51.22T
40.54%45.81T
72.94%32.6T
--18.85T
Current changes in cash
-770.72%-10.43T
-73.63%1.56T
-35.21%5.9T
842.12%9.1T
-31.47%966.34B
170.72%1.41T
-136.88%-1.99T
-59.08%5.41T
-3.88%13.21T
--13.75T
Effect of exchange rate changes
----
----
-51.41%69M
-36.32%142M
-28.06%223M
-0.32%310M
-10.37%311M
7.43%347M
-42.83%323M
--565M
Cash adjustments other than cash changes
----
---1M
----
---1M
----
0.00%-1M
-200.00%-1M
--1M
----
--1M
End cash Position
-15.31%57.72T
2.34%68.16T
9.72%66.6T
17.64%60.7T
1.91%51.6T
2.87%50.63T
-3.89%49.22T
11.80%51.22T
40.54%45.81T
--32.6T
Free cash flow
100.40%18.09B
-159.62%-4.54T
-18.89%7.62T
222.77%9.39T
345.83%2.91T
-526.21%-1.18T
-127.65%-189.06B
-79.92%683.65B
21.02%3.4T
--2.81T
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 92.17%-412.6B-176.96%-5.27T-21.14%6.85T325.85%8.69T232.20%2.04T-111.86%-1.54T-145.65%-728.25B-114.91%-296.46B65.69%1.99T1.2T
Net profit before non-cash adjustment 8.73%494.06B-8.50%454.37B26.47%496.57B3.70%392.65B2.37%378.63B-25.87%369.87B13.24%498.92B-8.38%440.6B-15.79%480.89B--571.03B
Total adjustment of non-cash items -277.87%-4.6T53.37%-1.22T-66.07%-2.61T-6.59%-1.57T21.96%-1.48T-37.27%-1.89T3.18%-1.38T-36.44%-1.42T52.92%-1.04T---2.22T
-Depreciation and amortization 24.68%42.68B-9.23%34.23B7.66%37.72B-3.39%35.03B7.63%36.26B-10.02%33.69B6.06%37.45B-3.71%35.31B5.97%36.67B--34.6B
-Assets reserve and write-off -76.00%210M5,733.33%875M-98.51%15M--1.01B--03,135.29%550M-98.23%17M19,060.00%958M-70.59%5M--17M
-Other restructuring costs -------------------27M--------------------
-Share of associates 2.81%-311M-11.11%-320M0.35%-288M-20.92%-289M-5.29%-239M-138.95%-227M---95M------------
-Disposal profit 1,943.98%309.73B-91.76%15.15B-14.48%183.89B1,209.49%215.02B-172.36%-19.38B-5.87%26.78B883.14%28.45B172.81%2.89B-231.14%-3.98B--3.03B
-Net exchange gains and losses -45.64%-1.94T-22.74%-1.33T-134.75%-1.08T-428.82%-461.93B84.93%-87.35B-4,030.04%-579.64B118.41%14.75B-129.14%-80.13B152.86%274.92B---520.09B
-Pension and employee benefit expenses ------------------------132.56%100M--43M--------
-Other non-cash items -4,877.88%-3.02T103.61%63.13B-28.45%-1.75T3.07%-1.36T-2.39%-1.4T5.91%-1.37T-5.52%-1.46T-2.33%-1.38T22.06%-1.35T---1.73T
Changes in working capital 181.99%3.7T-150.28%-4.51T-9.13%8.96T214.54%9.87T14,439.42%3.14T-114.55%-21.87B-78.08%150.31B-73.11%685.72B-10.33%2.55T--2.84T
-Change in loans 198.91%6.04T-215.97%-6.1T63.56%5.26T166.33%3.22T205.37%1.21T-206.31%-1.15T54.63%-374.27B-134.88%-824.96B34.02%2.37T--1.76T
-Provision for loans, leases and other losses -2,904.50%-136.07B68.93%-4.53B-221.97%-14.58B50.21%-4.53B-763.80%-9.09B-98.42%1.37B6,962.68%86.87B470.48%1.23B-96.45%-332M---169M
-Change in deposits by banks and customers -242.24%-2.15T-60.78%1.51T-41.55%3.85T228.53%6.59T79.68%2T149.82%1.12T-71.42%446.64B869.36%1.56T-85.32%161.21B--1.1T
-Changes in other current assets -163.37%-56.39B166.86%88.98B-299.75%-133.08B199.33%66.62B-1,046.01%-67.07B180.20%7.09B83.42%-8.84B-322.13%-53.32B228.55%24B---18.67B
-Changes in other current liabilities -119.33%-138M292.31%714M5,966.67%182M102.56%3M-136.79%-117M427.84%318M-242.65%-97M-5.56%68M350.00%72M--16M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities) -62.79%-670.31B-20.05%-411.77B20.20%-343B-6.07%-429.82B48.15%-405.22B5.15%-781.46B-83.16%-823.89B-91.18%-449.82B-10.87%-235.28B-212.21B
Interest received (cash flow from operating activities)
Tax refund paid -2,408.86%-202.29B95.47%-8.06B-76.32%-178.06B-29.94%-100.99B54.00%-77.72B-25.60%-168.96B11.78%-134.52B16.12%-152.49B8.74%-181.79B-199.19B
Other operating cash inflow (outflow) 14.32%1.37T-10.62%1.2T4.77%1.34T-7.47%1.28T0.49%1.38T-11.80%1.37T-3.71%1.56T-13.80%1.62T-9.00%1.88T2.06T
Operating cash flow 101.80%81.04B-158.65%-4.5T-18.72%7.67T221.23%9.43T361.97%2.94T-759.38%-1.12T-118.18%-130.41B-79.18%717.49B20.95%3.45T--2.85T
Investing cash flow
Net PPE purchase and sale -48.31%-27.33B-35.50%-18.43B41.04%-13.6B-40.76%-23.06B65.97%-16.39B-39.78%-48.15B-79.15%-34.45B40.41%-19.23B-27.74%-32.26B---25.26B
Net intangibles purchase and sale -24.52%-35.58B-30.86%-28.58B-54.22%-21.84B-54.03%-14.16B38.76%-9.19B37.97%-15.01B-65.66%-24.2B-52.01%-14.61B-57.15%-9.61B---6.12B
Net business purchase and sale ------------------487M--------------------
Net investment property transactions -262.72%-11.15T594.66%6.85T-5,752.25%-1.39T97.55%-23.67B-137.01%-967.13B282.12%2.61T-129.47%-1.44T-52.53%4.87T-16.86%10.26T--12.34T
Net changes in other investments 299.96%933.35B-182.84%-466.77B11.79%-165.03B76.47%-187.09B-586.53%-795.13B189.56%163.43B-538.83%-182.48B115.79%41.58B-1,625.02%-263.31B---15.26B
Investing cash flow -262.18%-10.28T499.71%6.34T-539.38%-1.59T86.13%-247.98B-165.86%-1.79T261.90%2.71T-134.37%-1.68T-51.00%4.88T-19.03%9.95T--12.29T
Financing cash flow
Net common stock issuance 39.00%-57.25B-65,528.67%-93.85B36.16%-143M18.84%-224M43.44%-276M-15.09%-488M-1.44%-424M---418M-------1.3T
Cash dividends paid 2.29%-183.18B-0.00%-187.47B-99.85%-187.47B49.99%-93.8B-0.06%-187.55B-0.02%-187.44B-0.06%-187.41B-1.40%-187.3B-96.53%-184.72B---93.99B
Cash dividends for minorities 75.47%-2.43B-894.09%-9.92B-850.48%-998M-303.85%-105M---26M--------------------
Net other fund-raising expenses 19.40%6.22B-25.13%5.21B-53.61%6.96B168.19%14.99B11.98%5.59B880.75%4.99B51,000.00%509M---1M--------
Financing cash flow 17.27%-236.64B-57.46%-286.04B-129.54%-181.66B56.58%-79.14B0.37%-182.27B2.34%-182.94B0.21%-187.32B-1.62%-187.72B86.75%-184.72B---1.39T
Net cash flow
Beginning cash position 2.34%68.16T9.72%66.6T17.64%60.7T1.91%51.6T2.87%50.63T-3.89%49.22T11.80%51.22T40.54%45.81T72.94%32.6T--18.85T
Current changes in cash -770.72%-10.43T-73.63%1.56T-35.21%5.9T842.12%9.1T-31.47%966.34B170.72%1.41T-136.88%-1.99T-59.08%5.41T-3.88%13.21T--13.75T
Effect of exchange rate changes ---------51.41%69M-36.32%142M-28.06%223M-0.32%310M-10.37%311M7.43%347M-42.83%323M--565M
Cash adjustments other than cash changes -------1M-------1M----0.00%-1M-200.00%-1M--1M------1M
End cash Position -15.31%57.72T2.34%68.16T9.72%66.6T17.64%60.7T1.91%51.6T2.87%50.63T-3.89%49.22T11.80%51.22T40.54%45.81T--32.6T
Free cash flow 100.40%18.09B-159.62%-4.54T-18.89%7.62T222.77%9.39T345.83%2.91T-526.21%-1.18T-127.65%-189.06B-79.92%683.65B21.02%3.4T--2.81T
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

Analysis

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Price Target

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Heat List
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Symbol
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% Chg

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