SEC Filing Summary: Mizuho Financial Group Inc (13F-HR)
Business Context and Reporting Period
This filing is a Form 13F-HR submitted by Mizuho Financial Group Inc, an institutional investment manager based in Tokyo, Japan. The report covers the calendar quarter ended December 31, 2016, and was signed on February 10, 2017, by Bo Kusanagi, General Manager of the Asset Management Coordination Department.
Key Financial Metrics
As a Form 13F filing, this document discloses equity holdings rather than the company's own financial performance (revenue, profit, or cash flow). The filing reports the following aggregate data for the reporting period:
- Total Value of Reported Holdings: $1,170,764,000 (1,170,764 thousands)
- Total Number of Holdings Entries: 2
- Other Included Managers: 0
Note: The filing text does not provide data on Mizuho Financial Group's own revenue, profit, margins, debt, or liquidity, as this form is strictly for reporting managed equity positions.
Material Changes
The filing text does not provide comparative data for the prior period (September 30, 2016) to calculate material changes in holdings value or composition. The report indicates this is a standard holdings report, not an amendment or restatement.
Guidance, Outlook, and Risks
Form 13F filings do not contain management commentary, forward-looking guidance, risk factors, or contingency disclosures regarding the reporting manager's business operations. The document includes a standard SEC disclaimer stating that the Commission has not reviewed the information for accuracy or completeness.
Key Facts for Investor Verification
- Verify the specific identities of the 2 equity holdings reported, as the provided text only lists the aggregate count and value.
- Confirm whether this report represents all holdings managed by Mizuho Financial Group Inc or if other managers report portions of their portfolio separately (the filing indicates "all holdings of this reporting manager are reported in this report").
- Note that this filing reflects equity positions only and does not disclose derivatives, fixed income, or cash positions held by the manager.