2.中間連結財務諸表及び主な注記

(1)中間連結貸借対照表

 

 

(単位:百万円)

 

前連結会計年度

(2025年3月31日)

当中間連結会計期間

(2025年9月30日)

資産の部

 

 

現金預け金

1,409,371

1,710,799

コールローン及び買入手形

31,782

70,872

買入金銭債権

58,530

53,275

特定取引資産

262,803

295,925

金銭の信託

12,728

8,844

有価証券

1,355,458

1,401,835

貸出金

4,206,564

4,163,123

外国為替

46,420

42,269

その他資産

331,054

360,243

有形固定資産

22,385

21,890

無形固定資産

19,075

18,459

退職給付に係る資産

9,430

9,611

繰延税金資産

51,583

49,706

支払承諾見返

18,711

18,450

貸倒引当金

71,025

57,326

投資損失引当金

2,439

2,389

資産の部合計

7,762,434

8,165,591

負債の部

 

 

預金

5,598,301

5,849,583

譲渡性預金

74,600

49,200

コールマネー及び売渡手形

5,000

71,466

売現先勘定

27,924

36,261

債券貸借取引受入担保金

345,719

351,988

特定取引負債

209,155

272,839

借用金

726,300

740,100

社債

124,640

124,199

その他負債

155,993

163,712

賞与引当金

4,756

2,965

役員賞与引当金

67

35

退職給付に係る負債

10,353

10,203

オフバランス取引信用リスク引当金

1,218

1,254

特別法上の引当金

8

8

支払承諾

18,711

18,450

負債の部合計

7,302,748

7,692,269

純資産の部

 

 

資本金

125,966

125,966

資本剰余金

113,483

113,483

利益剰余金

241,485

249,009

自己株式

2,894

2,894

株主資本合計

478,040

485,565

その他有価証券評価差額金

39,532

26,727

繰延ヘッジ損益

517

2,438

為替換算調整勘定

9,604

5,948

退職給付に係る調整累計額

2,286

1,947

その他の包括利益累計額合計

27,123

21,270

新株予約権

501

626

非支配株主持分

8,267

8,400

純資産の部合計

459,685

473,322

負債及び純資産の部合計

7,762,434

8,165,591

 

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