(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 | -9.79%1.08T | -9.79%1.08T | 2.51%995.86B | -5.17%962.33B | 6.43%1.19T | 7.33%1.2T | 7.33%1.2T | -15.99%971.51B | 8.06%1.01T | 4.16%1.12T |
-Cash and cash equivalents | -9.79%1.08T | -9.79%1.08T | 2.51%995.86B | -5.17%962.33B | 6.43%1.19T | 7.33%1.2T | 7.33%1.2T | -15.99%971.51B | 8.06%1.01T | 4.16%1.12T |
-Including:Cash and bank accounts receivable | -9.79%1.08T | -9.79%1.08T | 2.51%995.86B | -5.17%962.33B | 6.43%1.19T | 7.33%1.2T | 7.33%1.2T | -15.99%971.51B | 8.06%1.01T | 4.16%1.12T |
Financial asset investment | 7.30%1.16T | 7.30%1.16T | 13.98%1.17T | 6.58%1.18T | -6.84%1.15T | -17.16%1.08T | -17.16%1.08T | -20.04%1.03T | -18.38%1.11T | -6.94%1.24T |
-Trading securities | --0 | --0 | --0 | --0 | --9M | --9M | --9M | ---- | -54.55%20M | ---- |
-Available-for-sale securities | 7.31%1.16T | 7.31%1.16T | 13.98%1.17T | 6.58%1.18T | -6.84%1.15T | -17.16%1.08T | -17.16%1.08T | -20.03%1.03T | -18.38%1.11T | -6.94%1.24T |
Net loan | 2.16%3.42T | 2.16%3.42T | 0.59%3.42T | 1.95%3.41T | 4.80%3.36T | 6.14%3.34T | 6.14%3.34T | 10.02%3.4T | 9.98%3.34T | 7.04%3.2T |
-Other loan assets | 2.14%3.43T | 2.14%3.43T | 0.56%3.44T | 1.92%3.43T | 4.72%3.37T | 6.08%3.36T | 6.08%3.36T | 9.99%3.42T | 9.98%3.36T | 7.03%3.22T |
-Allowance for loan and lease losses | -1.23%17.3B | -1.23%17.3B | -4.64%16.86B | -4.48%17.11B | -7.68%16.99B | -4.22%17.51B | -4.22%17.51B | 5.52%17.68B | 8.34%17.91B | 4.90%18.4B |
Finance lease receivables | -3.52%18.02B | -3.52%18.02B | -4.65%18.07B | -7.82%18.11B | -10.94%18.27B | -12.17%18.68B | -12.17%18.68B | -10.78%18.95B | -8.54%19.64B | -6.61%20.51B |
Net PPE | 1.30%37.35B | 1.30%37.35B | 1.22%37.36B | 0.89%37.06B | -0.19%36.87B | -0.72%36.87B | -0.72%36.87B | -1.03%36.91B | -1.47%36.74B | -0.69%36.94B |
-Gross PP&E | 1.30%37.35B | 1.30%37.35B | ---- | ---- | ---- | -0.72%36.87B | -0.72%36.87B | ---- | ---- | ---- |
Goodwill and other intangible assets | 9.87%4.84B | 9.87%4.84B | 11.70%4.61B | -4.28%4.27B | -5.60%4.37B | -5.33%4.41B | -5.33%4.41B | -11.87%4.13B | -8.51%4.46B | -4.78%4.62B |
-Other intangible assets | 9.87%4.84B | 9.87%4.84B | ---- | ---- | ---- | -5.33%4.41B | -5.33%4.41B | ---- | ---- | ---- |
Defined pension benefit | 70.60%27.21B | 70.60%27.21B | 84.37%16.67B | 86.51%16.47B | 88.59%16.27B | 92.70%15.95B | 92.70%15.95B | 7.89%9.04B | 7.99%8.83B | 8.08%8.63B |
Total tax assets | -1.37%722M | -1.37%722M | -83.73%731M | -43.38%723M | -1.75%731M | -0.68%732M | -0.68%732M | 470.30%4.49B | 78.60%1.28B | -5.58%744M |
-Deferred tax assets | -1.37%722M | -1.37%722M | -83.73%731M | -43.38%723M | -1.75%731M | -0.68%732M | -0.68%732M | 470.30%4.49B | 78.60%1.28B | -5.58%744M |
Other assets | -12.62%96.57B | -12.62%96.57B | -10.65%98.46B | 25.48%124.44B | -5.70%99.55B | 5.71%110.52B | 5.71%110.52B | 22.06%110.2B | 9.51%99.17B | 15.80%105.56B |
Total assets | 0.54%5.84T | 0.54%5.84T | 3.22%5.76T | 2.07%5.75T | 2.44%5.87T | 1.08%5.81T | 1.08%5.81T | -1.96%5.58T | 2.48%5.64T | 3.17%5.73T |
Liabilities | ||||||||||
Total deposits | -0.65%4.75T | -0.65%4.75T | 1.10%4.72T | 1.06%4.73T | -0.01%4.78T | 3.19%4.78T | 3.19%4.78T | 1.09%4.67T | 2.33%4.68T | 2.79%4.78T |
Trading and financial liabilities | -2.16%630.88B | -2.16%630.88B | 16.21%613.16B | 6.60%609.67B | 21.72%682.81B | -10.92%644.79B | -10.92%644.79B | -19.62%527.63B | 22.70%571.93B | 18.10%560.97B |
-Total debt | -2.16%630.88B | -2.16%630.88B | 16.21%613.16B | 6.60%609.67B | 21.72%682.81B | -10.92%644.79B | -10.92%644.79B | -19.62%527.63B | 22.70%571.93B | 18.10%560.97B |
Total provisions | 2.59%238M | 2.59%238M | -5.11%223M | 30.90%233M | 10.50%221M | 0.00%232M | 0.00%232M | -9.96%235M | -39.66%178M | -40.65%200M |
Total pension and other postretirement benefit plans | 13.37%585M | 13.37%585M | 13.20%506M | 24.62%486M | 20.66%473M | 14.41%516M | 14.41%516M | 17.63%447M | 8.94%390M | 9.19%392M |
Deferred income tax liabilities | 225.82%26.47B | 225.82%26.47B | 215.76%16.05B | 136.79%12.02B | 117.66%13.51B | -27.82%8.13B | -27.82%8.13B | -65.48%5.08B | -71.32%5.08B | -62.94%6.21B |
Other liabilities | 10.35%103.65B | 10.35%103.65B | -5.14%106.45B | 0.71%104.18B | -9.53%97.28B | -0.40%93.93B | -0.40%93.93B | 4.51%112.22B | -26.80%103.44B | -8.80%107.53B |
Total liability | -0.30%5.51T | -0.30%5.51T | 2.67%5.46T | 1.78%5.46T | 2.17%5.58T | 1.20%5.53T | 1.20%5.53T | -1.54%5.32T | 3.11%5.37T | 3.70%5.46T |
Shareholders'equity | ||||||||||
Share capital | 0.00%37.32B | 0.00%37.32B | 0.00%37.32B | 0.00%37.32B | 0.00%37.32B | 0.00%37.32B | 0.00%37.32B | 0.00%37.32B | 0.00%37.32B | 0.00%37.32B |
-common stock | 0.00%37.32B | 0.00%37.32B | 0.00%37.32B | 0.00%37.32B | 0.00%37.32B | 0.00%37.32B | 0.00%37.32B | 0.00%37.32B | 0.00%37.32B | 0.00%37.32B |
Additional paid-in capital | 0.00%30.49B | 0.00%30.49B | 0.00%30.49B | 0.00%30.49B | 0.00%30.49B | 0.00%30.49B | 0.00%30.49B | 0.00%30.49B | 0.00%30.49B | 0.00%30.49B |
Retained earnings | 3.67%194.8B | 3.67%194.8B | 3.44%192.13B | 2.88%191.08B | 2.64%190.5B | 2.43%187.91B | 2.43%187.91B | 2.29%185.73B | 3.59%185.73B | 5.59%185.6B |
Less: Treasury stock | 10.92%569M | 10.92%569M | 10.94%568M | 10.74%567M | -75.42%656M | -74.73%513M | -74.73%513M | -74.77%512M | -74.77%512M | 29.25%2.67B |
Fixed asset revaluation reserve | -1.09%7.87B | -1.09%7.87B | -0.47%7.9B | -0.48%7.9B | 0.14%7.94B | 0.32%7.95B | 0.32%7.95B | 0.08%7.94B | 0.09%7.94B | -0.01%7.93B |
Other reserves | 230.66%59.26B | 230.66%59.26B | 695.57%36.1B | 163.96%25.86B | 93.78%30.2B | -34.03%17.92B | -34.03%17.92B | -88.35%4.54B | -77.32%9.8B | -64.18%15.59B |
Other equity interest | 0.00%21M | 0.00%21M | 0.00%21M | 0.00%21M | 0.00%21M | 0.00%21M | 0.00%21M | 0.00%21M | 0.00%21M | -48.78%21M |
Total stockholders'equity | 17.11%329.19B | 17.11%329.19B | 14.26%303.39B | 7.87%292.11B | 7.86%295.82B | -1.14%281.1B | -1.14%281.1B | -9.76%265.53B | -8.59%270.79B | -6.39%274.27B |
Total equity | 17.11%329.19B | 17.11%329.19B | 14.26%303.39B | 7.87%292.11B | 7.86%295.82B | -1.14%281.1B | -1.14%281.1B | -9.76%265.53B | -8.59%270.79B | -6.39%274.27B |
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 |
Audit Opinions | -- | -- | -- | -- | -- | Unqualified Opinion | -- | -- | -- | -- |
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