(FY)Mar 31, 2024 | (Q4)Mar 31, 2024 | (Q3)Dec 31, 2023 | (Q2)Sep 30, 2023 | (Q1)Jun 30, 2023 | (FY)Mar 31, 2023 | (Q4)Mar 31, 2023 | (Q3)Dec 31, 2022 | (Q2)Sep 30, 2022 | (Q1)Jun 30, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Cash, cash equivalents and federal funds sold | -35.67%4.13T | -35.67%4.13T | -31.00%3.88T | -23.96%3.89T | -20.53%4.39T | 13.99%6.43T | 13.99%6.43T | 5.43%5.62T | 8.10%5.11T | 27.31%5.52T |
-Cash and cash equivalents | -35.67%4.13T | -35.67%4.13T | -31.00%3.88T | -23.96%3.89T | -20.53%4.39T | 13.99%6.43T | 13.99%6.43T | 5.43%5.62T | 8.10%5.11T | 27.31%5.52T |
-Including:Cash and bank accounts receivable | -35.67%4.13T | -35.67%4.13T | -31.00%3.88T | -23.96%3.89T | -20.53%4.39T | 13.99%6.43T | 13.99%6.43T | 5.43%5.62T | 8.10%5.11T | 27.31%5.52T |
Financial asset investment | 2.97%2.98T | 2.97%2.98T | 5.28%2.93T | 6.79%2.94T | 8.02%2.97T | 5.32%2.9T | 5.32%2.9T | 2.64%2.78T | -3.28%2.75T | -4.28%2.75T |
-Trading securities | -47.03%1.73B | -47.03%1.73B | -52.78%2.51B | -46.75%2.51B | -46.53%2.74B | -33.46%3.27B | -33.46%3.27B | 10.38%5.32B | 0.77%4.72B | -5.10%5.12B |
-Available-for-sale securities | 3.03%2.98T | 3.03%2.98T | 5.39%2.92T | 6.88%2.94T | 8.13%2.96T | 5.39%2.89T | 5.39%2.89T | 2.63%2.78T | -3.28%2.75T | -4.28%2.74T |
Net loan | 4.92%16.55T | 4.92%16.55T | 5.90%16.52T | 6.90%16.45T | 7.37%16.33T | 4.88%15.78T | 4.88%15.78T | 5.57%15.6T | 7.04%15.38T | 8.15%15.21T |
-Other loan assets | 4.90%16.64T | 4.90%16.64T | 5.91%16.6T | 6.92%16.53T | 7.39%16.41T | 4.91%15.86T | 4.91%15.86T | 5.59%15.67T | 7.07%15.46T | 8.13%15.28T |
-Allowance for loan and lease losses | 1.26%83.89B | 1.26%83.89B | 8.26%83.26B | 9.71%85.34B | 11.33%81.78B | 10.67%82.85B | 10.67%82.85B | 10.26%76.91B | 12.56%77.78B | 4.39%73.46B |
Finance lease receivables | 4.38%78B | 4.38%78B | 1.30%76.5B | 3.73%76.47B | 1.67%74.05B | 4.02%74.73B | 4.02%74.73B | 4.16%75.52B | 4.26%73.73B | 3.09%72.84B |
Net PPE | 2.23%168.07B | 2.23%168.07B | 1.97%167.32B | 1.16%167.39B | 0.76%167.74B | -2.04%164.41B | -2.04%164.41B | -0.93%164.08B | -1.04%165.48B | -0.69%166.48B |
-Gross PP&E | 2.23%168.07B | 2.23%168.07B | ---- | ---- | ---- | -2.04%164.4B | -2.04%164.4B | ---- | ---- | ---- |
Goodwill and other intangible assets | 8.57%18.95B | 8.57%18.95B | 7.06%17.63B | 16.25%18.49B | 17.77%19.03B | 4.81%17.45B | 4.81%17.45B | 0.22%16.47B | -6.04%15.9B | -7.30%16.16B |
-Other intangible assets | 8.57%18.95B | 8.57%18.95B | ---- | ---- | ---- | 4.81%17.45B | 4.81%17.45B | ---- | ---- | ---- |
Defined pension benefit | 37.11%61.19B | 37.11%61.19B | -17.41%47.06B | -17.46%46.31B | -17.51%45.49B | -17.68%44.63B | -17.68%44.63B | 10.95%56.98B | 10.88%56.11B | 18.52%55.14B |
Total tax assets | -96.78%983M | -96.78%983M | -76.83%8.55B | -53.41%16.51B | -47.26%14.12B | 49.80%30.54B | 49.80%30.54B | 278.44%36.89B | 479.04%35.45B | 238.72%26.78B |
-Deferred tax assets | -96.78%983M | -96.78%983M | -76.83%8.55B | -53.41%16.51B | -47.26%14.12B | 49.80%30.54B | 49.80%30.54B | 278.44%36.89B | 479.04%35.45B | 238.72%26.78B |
Other assets | 28.75%385.92B | 28.75%385.92B | -9.09%291.2B | 12.23%344.36B | -0.48%316.49B | -0.36%299.75B | -0.36%299.75B | -1.19%320.32B | 10.04%306.85B | 0.78%318B |
Total assets | -5.24%24.38T | -5.24%24.38T | -2.99%23.93T | 0.17%23.94T | 0.78%24.32T | 6.94%25.73T | 6.94%25.73T | 5.18%24.67T | 6.06%23.9T | 10.22%24.13T |
Liabilities | ||||||||||
Total deposits | 2.95%20.33T | 2.95%20.33T | 1.89%20.04T | 3.29%20.01T | 3.36%20.36T | 2.01%19.75T | 2.01%19.75T | 5.13%19.66T | 5.21%19.37T | 6.01%19.7T |
Trading and financial liabilities | -45.65%2.32T | -45.65%2.32T | -34.15%2.25T | -23.96%2.27T | -21.54%2.28T | 34.24%4.27T | 34.24%4.27T | 5.11%3.41T | 20.60%2.98T | 71.51%2.9T |
-Trading liabilities | -76.92%12M | -76.92%12M | 50.00%21M | -26.47%25M | -20.93%34M | 57.58%52M | 57.58%52M | -62.16%14M | -20.93%34M | -4.44%43M |
-Total debt | -45.65%2.32T | -45.65%2.32T | -34.15%2.25T | -23.96%2.27T | -21.54%2.28T | 34.24%4.27T | 34.24%4.27T | 5.11%3.41T | 20.60%2.98T | 71.52%2.9T |
Payables | -50.82%80.48B | -50.82%80.48B | -55.80%85.34B | -17.64%79.11B | 10.90%82.38B | 153.62%163.66B | 153.62%163.66B | 79.11%193.07B | -24.61%96.05B | -56.21%74.28B |
-Other payables | -50.82%80.48B | -50.82%80.48B | -55.80%85.34B | -17.64%79.11B | 10.90%82.38B | 153.62%163.66B | 153.62%163.66B | 79.11%193.07B | -24.61%96.05B | -56.21%74.28B |
Total provisions | -4.53%3.79B | -4.53%3.79B | 14.84%3.47B | 12.22%3.45B | 6.91%3.68B | 6.52%3.97B | 6.52%3.97B | 0.46%3.03B | -1.97%3.08B | -1.82%3.44B |
Total pension and other postretirement benefit plans | 12.18%6.24B | 12.18%6.24B | 23.55%3.1B | 14.31%5.95B | 1.24%2.94B | -5.62%5.56B | -5.62%5.56B | -10.25%2.51B | -7.70%5.21B | 9.75%2.91B |
Deferred income tax liabilities | 64.15%26.83B | 64.15%26.83B | 3.19%16.92B | 2.03%16.71B | 4.19%17.07B | -0.09%16.34B | -0.09%16.34B | 0.09%16.39B | -2.64%16.38B | -3.47%16.38B |
Other liabilities | -8.82%331.72B | -8.82%331.72B | 28.45%313.36B | 19.05%344.03B | 27.48%370.67B | 34.87%363.79B | 34.87%363.79B | 24.80%243.95B | -6.48%288.98B | 13.73%290.77B |
Total liability | -5.99%23.1T | -5.99%23.1T | -3.52%22.7T | -0.17%22.72T | 0.54%23.11T | 7.30%24.57T | 7.30%24.57T | 5.66%23.53T | 6.63%22.76T | 10.94%22.99T |
Shareholders'equity | ||||||||||
Share capital | 0.00%150.08B | 0.00%150.08B | 0.00%150.08B | 0.00%150.08B | 0.00%150.08B | 0.00%150.08B | 0.00%150.08B | 0.00%150.08B | 0.00%150.08B | 0.00%150.08B |
-common stock | 0.00%150.08B | 0.00%150.08B | 0.00%150.08B | 0.00%150.08B | 0.00%150.08B | 0.00%150.08B | 0.00%150.08B | 0.00%150.08B | 0.00%150.08B | 0.00%150.08B |
Additional paid-in capital | -6.39%231.56B | -6.39%231.56B | -6.39%231.56B | -6.39%231.56B | -6.39%231.56B | -0.00%247.36B | -0.00%247.36B | -0.00%247.36B | -0.00%247.36B | -0.00%247.36B |
Retained earnings | 5.77%784.23B | 5.77%784.23B | 5.51%771.19B | 5.83%768.1B | 5.17%750.63B | 4.66%741.44B | 4.66%741.44B | 3.74%730.94B | 3.69%725.79B | 4.23%713.75B |
Less: Treasury stock | -51.14%8.49B | -51.14%8.49B | -25.34%8.49B | -86.94%1.48B | -86.73%1.49B | 304.61%17.37B | 304.61%17.37B | 780.33%11.37B | 780.33%11.37B | 761.14%11.21B |
Fixed asset revaluation reserve | 0.06%36.38B | 0.06%36.38B | -0.20%36.41B | -0.35%36.36B | -0.35%36.36B | -0.35%36.36B | -0.35%36.36B | -0.04%36.48B | -0.47%36.49B | -0.47%36.49B |
Other reserves | 3,570.94%84.93B | 3,570.94%84.93B | 302.16%42.39B | 300.83%28.41B | 6,234.52%33.76B | -111.94%-2.45B | -111.94%-2.45B | -151.84%-20.97B | -127.14%-14.14B | -98.91%533M |
Other equity interest | ---- | ---- | ---- | ---- | ---- | -73.33%8M | -73.33%8M | -73.33%8M | -73.33%8M | -73.33%8M |
Total stockholders'equity | 10.67%1.28T | 10.67%1.28T | 8.00%1.22T | 6.95%1.21T | 5.62%1.2T | -0.28%1.16T | -0.28%1.16T | -3.84%1.13T | -4.28%1.13T | -2.52%1.14T |
Noncontrolling interests | 4.33%6.07B | 4.33%6.07B | 2.64%5.98B | 1.51%5.93B | 1.07%5.87B | -3.08%5.82B | -3.08%5.82B | -2.64%5.83B | 0.36%5.84B | 1.63%5.8B |
Total equity | 10.64%1.28T | 10.64%1.28T | 7.97%1.23T | 6.92%1.22T | 5.60%1.21T | -0.29%1.16T | -0.29%1.16T | -3.83%1.14T | -4.26%1.14T | -2.50%1.14T |
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 |
No Data