(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 | 7.94%891.42B | 7.94%891.42B | 34.28%774.07B | -4.83%704.61B | -3.85%721.68B | 5.86%825.83B | 5.86%825.83B | -44.71%576.44B | -28.77%740.38B | -29.31%750.6B |
-Cash and cash equivalents | 7.99%886.42B | 7.99%886.42B | 34.58%769.07B | -4.86%699.61B | -3.88%716.68B | 5.90%820.84B | 5.90%820.84B | -44.92%571.45B | -28.91%735.38B | -29.45%745.61B |
-Including:Cash and bank accounts receivable | 7.99%886.42B | 7.99%886.42B | 34.58%769.07B | -4.86%699.61B | -3.88%716.68B | 5.90%820.84B | 5.90%820.84B | -44.92%571.45B | -28.91%735.38B | -29.45%745.61B |
-Restricted cash and investment | 0.10%4.99B | 0.10%4.99B | 0.14%5B | 0.08%5B | -0.02%5B | -0.20%4.99B | -0.20%4.99B | -0.68%4.99B | -0.34%4.99B | -0.28%5B |
Financial asset investment | -0.19%1.57T | -0.19%1.57T | -5.66%1.53T | -6.34%1.55T | -8.73%1.56T | -18.91%1.58T | -18.91%1.58T | -22.14%1.62T | -16.91%1.66T | -11.56%1.7T |
-Available-for-sale securities | -0.19%1.57T | -0.19%1.57T | -5.66%1.53T | -6.34%1.55T | -8.73%1.56T | -18.91%1.58T | -18.91%1.58T | -22.14%1.62T | -16.91%1.66T | -11.56%1.7T |
Net loan | 9.79%4.7T | 9.79%4.7T | 9.37%4.53T | 9.57%4.43T | 10.77%4.3T | 10.82%4.29T | 10.82%4.29T | 11.22%4.14T | 11.80%4.05T | 10.18%3.88T |
-Other loan assets | 9.76%4.75T | 9.76%4.75T | 9.36%4.58T | 9.44%4.48T | 10.65%4.34T | 10.66%4.33T | 10.66%4.33T | 11.05%4.19T | 11.67%4.09T | 10.03%3.93T |
-Allowance for loan and lease losses | 6.67%43.61B | 6.67%43.61B | 8.18%45.87B | -2.87%41.76B | -0.27%42.06B | -3.96%40.89B | -3.96%40.89B | -3.84%42.4B | 0.33%42.99B | -2.10%42.17B |
Finance lease receivables | -0.09%28.16B | -0.09%28.16B | -0.70%28.15B | -2.55%28.03B | -4.02%27.87B | -3.78%28.18B | -3.78%28.18B | -2.59%28.34B | -0.81%28.76B | -1.82%29.04B |
Net PPE | -1.08%34.33B | -1.08%34.33B | 0.23%34.07B | 2.06%34.23B | 1.94%34.5B | 1.41%34.7B | 1.41%34.7B | 0.01%33.99B | -0.72%33.54B | -0.28%33.84B |
-Gross PP&E | -1.08%34.32B | -1.08%34.32B | ---- | ---- | ---- | 1.41%34.7B | 1.41%34.7B | ---- | ---- | ---- |
Goodwill and other intangible assets | -13.86%3.32B | -13.86%3.32B | -21.01%3.16B | -19.16%3.35B | -14.32%3.67B | -11.89%3.85B | -11.89%3.85B | -8.63%3.99B | -7.48%4.15B | -9.21%4.29B |
-Goodwill | --85M | --85M | ---- | ---- | ---- | --0 | --0 | ---- | ---- | ---- |
-Other intangible assets | -16.06%3.24B | -16.06%3.24B | ---- | ---- | ---- | -11.89%3.85B | -11.89%3.85B | ---- | ---- | ---- |
Defined pension benefit | 102.67%8.41B | 102.67%8.41B | 86.58%5.12B | 103.31%4.8B | 126.65%4.47B | 161.17%4.15B | 161.17%4.15B | 79.16%2.74B | 108.21%2.36B | 168.21%1.97B |
Total tax assets | -2.55%34.61B | -2.55%34.61B | -8.69%37.2B | 4.32%39.58B | 13.59%31.96B | 130.54%35.52B | 130.54%35.52B | 84,766.67%40.74B | 111,476.47%37.94B | 82,658.82%28.14B |
-Deferred tax assets | -2.55%34.61B | -2.55%34.61B | -8.69%37.2B | 4.32%39.58B | 13.59%31.96B | 130.54%35.52B | 130.54%35.52B | 84,766.67%40.74B | 111,476.47%37.94B | 82,658.82%28.14B |
Other assets | -1.49%83.18B | -1.49%83.18B | 6.33%94.55B | 35.93%110.55B | 5.06%87.43B | -15.82%84.44B | -15.82%84.44B | 3.20%88.93B | -11.17%81.33B | -3.63%83.22B |
Total assets | 7.02%7.36T | 7.02%7.36T | 7.62%7.04T | 4.21%6.91T | 3.83%6.77T | 1.51%6.88T | 1.51%6.88T | -6.64%6.54T | -2.65%6.63T | -2.25%6.52T |
Liabilities | ||||||||||
Total deposits | 10.33%6.23T | 10.33%6.23T | 14.47%6.02T | 9.39%5.78T | 10.94%5.66T | 12.42%5.65T | 12.42%5.65T | 3.61%5.26T | 6.62%5.28T | 3.32%5.1T |
Trading and financial liabilities | -11.26%608.27B | -11.26%608.27B | -16.44%606.27B | -7.96%666.58B | -17.19%623B | -16.84%685.45B | -16.84%685.45B | -30.74%725.52B | -27.05%724.25B | -5.78%752.33B |
-Total debt | -11.26%608.27B | -11.26%608.27B | -16.44%606.27B | -7.96%666.58B | -17.19%623B | -16.84%685.45B | -16.84%685.45B | -30.74%725.52B | -27.05%724.25B | -5.78%752.33B |
Total provisions | -6.73%1.37B | -6.73%1.37B | -1.65%1.43B | 4.93%1.47B | 3.34%1.55B | -2.71%1.47B | -2.71%1.47B | -2.09%1.45B | -4.44%1.4B | -6.26%1.5B |
Total pension and other postretirement benefit plans | -4.24%9.73B | -4.24%9.73B | -3.20%8.99B | -2.30%10.03B | -4.38%9.04B | -3.31%10.16B | -3.31%10.16B | -3.11%9.29B | -2.68%10.27B | -1.65%9.46B |
Deferred income tax liabilities | -25.29%2.04B | -25.29%2.04B | -23.33%2.03B | -22.06%2.04B | -18.27%2.15B | 3.53%2.72B | 3.53%2.72B | -13.05%2.65B | -43.50%2.62B | -49.54%2.63B |
Other liabilities | -15.57%183.35B | -15.57%183.35B | -64.80%85.6B | -51.98%145.37B | -52.74%154.44B | -61.19%217.17B | -61.19%217.17B | -49.40%243.21B | -33.92%302.73B | -38.46%326.75B |
Total liability | 7.18%7.04T | 7.18%7.04T | 7.74%6.72T | 4.43%6.6T | 4.12%6.45T | 2.22%6.56T | 2.22%6.56T | -5.70%6.24T | -1.53%6.32T | -1.42%6.19T |
Shareholders'equity | ||||||||||
Share capital | 0.00%20.71B | 0.00%20.71B | 0.00%20.71B | 0.00%20.71B | 0.00%20.71B | 0.00%20.71B | 0.00%20.71B | 0.00%20.71B | 0.00%20.71B | 0.00%20.71B |
-common stock | 0.00%20.71B | 0.00%20.71B | 0.00%20.71B | 0.00%20.71B | 0.00%20.71B | 0.00%20.71B | 0.00%20.71B | 0.00%20.71B | 0.00%20.71B | 0.00%20.71B |
Additional paid-in capital | 0.00%22.06B | 0.00%22.06B | 0.00%22.06B | 0.00%22.06B | 0.00%22.06B | 0.00%22.06B | 0.00%22.06B | 0.00%22.06B | 0.00%22.06B | 0.00%22.06B |
Retained earnings | 3.69%322.07B | 3.69%322.07B | 2.27%315.69B | 2.59%314.65B | 2.48%310.28B | 3.16%310.62B | 3.16%310.62B | 3.32%308.7B | 3.43%306.7B | 3.82%302.76B |
Less: Treasury stock | 45.05%2.68B | 45.05%2.68B | 166.47%2.68B | 391.38%2.68B | 266.51%2.3B | 187.25%1.85B | 187.25%1.85B | 56.30%1.01B | -15.11%545M | -10.43%627M |
Fixed asset revaluation reserve | -3.43%2.25B | -3.43%2.25B | -3.39%2.25B | -2.89%2.28B | -0.51%2.33B | -0.72%2.33B | -0.72%2.33B | -0.77%2.33B | -6.30%2.35B | -6.77%2.34B |
Other reserves | 3.39%-39.82B | 3.39%-39.82B | 18.16%-44.12B | -15.44%-52.12B | -48.72%-34.69B | -687.97%-41.22B | -687.97%-41.22B | -225.03%-53.91B | -195.21%-45.15B | -148.24%-23.33B |
Other equity interest | -70.87%30M | -70.87%30M | -70.87%30M | -70.87%30M | -72.48%30M | -16.26%103M | -16.26%103M | -16.26%103M | -16.26%103M | -11.38%109M |
Total stockholders'equity | 3.79%324.61B | 3.79%324.61B | 5.00%313.94B | -0.42%304.92B | -1.73%318.41B | -11.33%312.75B | -11.33%312.75B | -22.64%298.98B | -21.22%306.22B | -15.77%324.02B |
Noncontrolling interests | 4.40%475M | 4.40%475M | 1.30%468M | 0.64%470M | -5.63%453M | -7.33%455M | -7.33%455M | -8.51%462M | -9.14%467M | -9.43%480M |
Total equity | 3.79%325.09B | 3.79%325.09B | 5.00%314.41B | -0.42%305.39B | -1.74%318.87B | -11.32%313.21B | -11.32%313.21B | -22.62%299.44B | -21.21%306.68B | -15.76%324.5B |
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 |
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