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MEDIA INDONESIA                                                                                                                                                                                                                                     KAMIS, 28 MARET 2024   l HALAMAN 11




  Sesuai dengan Peraturan Otoritas Jasa Keuangan Nomor 37/POJK.03/2019 tanggal 20 Desember 2019 dan Surat Edaran Otoritas Jasa Keuangan Nomor 9/SEOJK.03/2020 tanggal 30 Juni 2020 tentang Transparansi dan Publikasi Laporan Bank, maka
  di bawah ini adalah Laporan Posisi Keuangan Konsolidasian per 31 Desember 2023 dan 31 Maret 2023 (tahun buku Mizuho Financial Group Inc. adalah 31 Maret), serta Laporan Laba Rugi Komprehensif Konsolidasian Mizuho Financial Group Inc. untuk
  periode sembilan bulan yang berakhir pada tanggal 31 Desember 2023 dan 31 Desember 2022. Pada tanggal 31 Desember 2023, Mizuho Financial Group Inc. merupakan pemegang saham 100% Mizuho Bank, Limited yang merupakan pemegang 99%
  saham PT Bank Mizuho Indonesia, sehingga Mizuho Financial Group Inc. merupakan pemegang saham pengendali PT Bank Mizuho Indonesia.

                                              Mizuho Financial Group Inc.                                                                                                 Mizuho Financial Group Inc.
                                      Consolidated Statements of Balance Sheets                                                                                       Consolidated Statements of Income
                                      As of 31 December 2023 and 31 March 2023                                                                              For Nine-Month Period Ended 31 December 2023 and 2022
                                                   (in JPY Million)                                                                                                             (in JPY Million)
                                                                                      31 Dec 2023        31 Mar 2023                                                                                           31 Dec 2023        31 Dec 2022
   Assets                                                                                                                   Ordinary Income                                                                         6.160.482         4.308.147
     Cash and Due from Banks                                                              66.675.039        67.152.100         Interest Income                                                                      4.061.818         2.050.840
     Call Loans and Bills Purchased                                                        1.028.132         1.386.895
                                                                                                                                     Interest on Loans and Bills Discounted                                         2.020.883         1.175.714
     Receivables under Resale Agreements                                                  19.017.294        11.693.419
     Guarantee Deposits Paid under Securities Borrowing Transactions                       1.940.810         1.897.429               Interest and Dividends on Securities                                            460.495            268.434
     Other Debt Purchased                                                                  4.248.375         3.836.735         Fiduciary Income                                                                       45.536             43.548
     Trading Assets                                                                       21.391.511        17.404.494         Fee and Commission Income                                                             738.392            640.453
     Money Held in Trust                                                                     547.119           514.607
                                                                                                                               Trading Income                                                                        909.834          1.056.220
     Securities                                                                           39.355.280        37.363.140
     Loans and Bills Discounted                                                           91.738.654        88.687.155         Other Operating Income                                                                251.861            389.222
     Foreign Exchange Assets                                                               2.269.844         2.408.587         Other Ordinary Income                                                                 153.038            127.861
     Derivatives other than for Trading Assets                                             2.737.723         2.184.875
     Other Assets                                                                          8.240.489         8.689.547      Ordinary Expenses                                                                       5.277.631         3.649.996
     Tangible Fixed Assets                                                                 1.123.832         1.105.851         Interest Expenses                                                                    3.404.582         1.326.742
     Intangible Fixed Assets                                                                 687.648           572.719               Interest on Deposits                                                           1.230.987           495.216
     Net Defined Benefit Asset                                                               760.955           859.271         Fee and Commission Expenses                                                           149.756            125.607
     Deferred Tax Assets                                                                     199.286           316.168
     Customers’ Liabilities for Acceptances and Guarantees                                 9.893.645         8.905.643         Trading Expenses                                                                      387.416            843.720
     Reserves for Possible Losses on Loans                                                  (706.947)         (720.437)        Other Operating Expenses                                                               67.424            140.296
     Reserves for Possible Losses on Investments                                                  (2)               (1)        General and Administrative Expenses                                                  1.172.275         1.057.623
   Total Assets                                                                          271.148.694       254.258.203         Other Ordinary Expenses                                                                96.176            156.004
   Liabilities                                                                                                              Ordinary Profits                                                                         882.850            658.150
      Deposits                                                                           148.469.120       150.498.976
      Negotiable Certificates of Deposit                                                  17.556.689        13.788.347      Extraordinary Gains                                                                       42.212             41.945
      Call Money and Bills Sold                                                            1.555.058         1.814.873
                                                                                                                            Extraordinary Losses                                                                        3.609            10.134
      Payables under Repurchase Agreements                                                35.273.822        25.735.560
      Guarantee Deposits Received under Securities Lending Transactions                      773.780           757.842      Income before Income Taxes                                                               921.452            689.961
      Commercial Paper                                                                     1.541.661         1.782.111
      Trading Liabilities                                                                 15.001.675        12.698.007      Income Taxes:
      Borrowed Money                                                                       5.608.362         4.155.480         Current                                                                               224.731             94.750
      Foreign Exchange Liabilities                                                           848.057           671.552
                                                                                                                               Deferred                                                                               51.282             47.787
      Short-term Bonds                                                                       462.301           477.141
      Bonds and Notes                                                                     11.365.532        11.371.189         Total Income Taxes                                                                    276.014            142.537
      Due to Trust Accounts                                                                1.023.850         1.534.097
      Derivatives other than for Trading Liabilities                                       4.033.563         2.749.138      Profit                                                                                   645.438            547.423
      Other Liabilities                                                                    7.490.377         7.777.025
                                                                                                                            Profit Attributable to Non-controlling Interests                                            3.118             4.146
      Reserve for Bonus Payments                                                              93.520           126.694
      Reserve for Variable Compensation                                                        1.894             2.381      Profit Attributable to Owners of Parent                                                  642.320            543.277
      Net Defined Benefit Liability                                                           68.454            68.429
      Reserve for Director and Corporate Auditor Retirement Benefits                             589               539
      Reserve for Possible Losses on Sales of Loans                                           21.794            15.049                                                    Mizuho Financial Group Inc.
      Reserve for Contingencies                                                               19.065            13.706
                                                                                                                                                               Consolidated Statements of Comprehensive Income
      Reserve for Reimbursement of Deposits                                                   10.918            13.695
      Reserve for Reimbursement of Debentures                                                  5.501             7.798                                      For Nine-Month Period Ended 31 December 2023 and 2022
      Reserves under Special Laws                                                              3.354             3.352                                                           (in JPY Million)
      Deferred Tax Liabilities                                                                26.499            22.391
      Deferred Tax Liabilities for Revaluation Reserve for Land                               57.986            58.711                                                                                          31 Dec 2023       31 Dec 2022
      Acceptances and Guarantees                                                           9.893.645         8.905.643
                                                                                                                            Profit                                                                                   645.438            547.423
      Total Liabilities                                                                  261.207.078       245.049.740
                                                                                                                            Other Comprehensive Income                                                               327.443           (460.709)
   Net Assets
                                                                                                                               Net Unrealized Gains (Losses) on Other Securities                                     210.789           (491.119)
     Common Stock                                                                          2.256.767         2.256.767
     Capital Surplus                                                                       1.129.267         1.129.267         Deferred Gains or Losses on Hedges                                                       8.422          (150.531)
     Retained Earnings                                                                     5.501.306         5.093.911         Foreign Currency Translation Adjustments                                              136.694            195.641
     Treasury Stock                                                                           (8.444)           (8.786)        Remeasurements of Defined Benefit Plans                                                (44.367)          (43.681)
      Total Shareholders’ Equity                                                           8.878.897         8.471.160         Own Credit Risk Adjustments, Net of Tax                                                    68                 19
      Net Unrealized Gains (Losses) on Other Securities                                      773.273           564.495         Share of Other Comprehensive Income of Associates Accounted
      Deferred Gains or Losses on Hedges                                                    (349.849)         (358.102)              for Using Equity Method                                                          15.836             28.962
      Revaluation Reserve for Land                                                           127.792           129.321
      Foreign Currency Translation Adjustments                                               294.788           144.093      Comprehensive Income                                                                     972.881             86.714
      Remeasurements of Defined Benefit Plans                                                137.584           182.306       (Breakdown)
      Own Credit Risk Adjustments, Net of Tax                                                     88                19
                                                                                                                               Comprehensive Income Attributable to Owners of Parent                                 965.394             81.264
      Total Accumulated Other Comprehensive Income                                          983.677            662.133         Comprehensive Income Attributable to Non-controlling Interests                           7.487             5.450
      Stock Acquisition Rights                                                                     5                 5
      Non-controlling Interests                                                               79.035            75.163
                                                                                                                                                                                     Tokyo, 2 Peb 2024
      Total Net Assets                                                                     9.941.616         9.208.463
                                                                                                                                                                                    Board of Directors
   Total Liabilities and Net Assets                                                      271.148.694       254.258.203                                                         Mizuho Financial Group Inc.




Media Indonesia_4 kol x 200 mm, 28 Maret 2024_revisi 3
MATERI IKLAN SIAP CETAK

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Names mentioned 7 people and organisations named in the text · linked when the evidence is strong

linked org Mizuho Bank p.1
linked org PT Bank Mizuho Indonesia p.1
possible org Otoritas Jasa Keuangan p.1 ×2
possible org Mizuho Financial Group Inc. p.1 ×12
unresolved org Laba Rugi Komprehensif Konsolidasian Mizuho Financial Group Inc. p.1
unresolved org PT Bank Mizuho Indonesia. Mizuho Financial Group Inc. p.1

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