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Estimated Fair Value of Financial Instruments (Information about Carrying Amount of Financial Instruments Reported in Consolidated Balance Sheets and Related Market or Fair Value) (Detail) - JPY (¥)
¥ in Millions
Mar. 31, 2025
Mar. 31, 2024
Assets:    
Cash and cash equivalents ¥ 1,206,573 ¥ 1,032,810
Restricted Cash 115,410 152,497
Equity securities [1] 626,910 597,601
Available-for-sale debt securities 2,607,637 2,665,478
Other Assets:    
Derivative assets 43,675 25,490
Liabilities:    
Short-term debt 549,680 574,095
Deposits 2,449,812 2,245,835
Policy liabilities and Policy account balances (Investment contracts) 1,948,047 1,892,510
Long-term debt 5,733,118 5,626,376
Other Liabilities:    
Derivative liabilities ¥ 35,543 ¥ 48,190
Derivative Liability, Statement of Financial Position [Extensible Enumeration] Other Liabilities Other Liabilities
Level 1    
Assets:    
Cash and cash equivalents ¥ 1,206,573 ¥ 1,032,810
Restricted Cash 115,410 152,497
Installment loans (net of allowance for credit losses) 0 0
Equity securities 137,014 [2] 108,964 [3]
Available-for-sale debt securities 12,243 11,491
Other Assets:    
Time deposits 0 0
Derivative assets [4]
Reinsurance recoverables (Investment contracts) 0 0
Liabilities:    
Short-term debt 0 0
Deposits 0 0
Policy liabilities and Policy account balances (Investment contracts) 0 0
Long-term debt 0 0
Accounts payable (Contingent consideration) 0 0
Other Liabilities:    
Derivative liabilities [4]
Level 2    
Assets:    
Cash and cash equivalents 0 0
Restricted Cash 0 0
Installment loans (net of allowance for credit losses) 42,940 163,536
Equity securities 119,466 [2] 143,786 [3]
Available-for-sale debt securities 2,377,740 2,334,690
Other Assets:    
Time deposits 1,400 2,033
Derivative assets [4]
Reinsurance recoverables (Investment contracts) 0 0
Liabilities:    
Short-term debt 549,680 574,095
Deposits 2,279,207 2,073,845
Policy liabilities and Policy account balances (Investment contracts) 0 0
Long-term debt 1,705,485 1,769,943
Accounts payable (Contingent consideration) 0 0
Other Liabilities:    
Derivative liabilities [4]
Level 3    
Assets:    
Cash and cash equivalents 0 0
Restricted Cash 0 0
Installment loans (net of allowance for credit losses) 3,975,689 3,736,152
Equity securities 162,210 [2] 162,857 [3]
Available-for-sale debt securities 217,654 319,297
Other Assets:    
Time deposits 0 0
Derivative assets [4]
Reinsurance recoverables (Investment contracts) 126,480 4,550
Liabilities:    
Short-term debt 0 0
Deposits 0 0
Policy liabilities and Policy account balances (Investment contracts) 214,937 121,966
Long-term debt 3,973,343 3,824,945
Accounts payable (Contingent consideration) 15,259 14,136
Other Liabilities:    
Derivative liabilities [4]
Carrying amount    
Assets:    
Cash and cash equivalents 1,206,573 1,032,810
Restricted Cash 115,410 152,497
Installment loans (net of allowance for credit losses) 4,043,271 3,918,504
Equity securities 418,690 [2] 415,607 [3]
Available-for-sale debt securities 2,607,637 2,665,478
Other Assets:    
Time deposits 1,400 2,033
Derivative assets [4] 43,675 25,490
Reinsurance recoverables (Investment contracts) 138,441 4,592
Liabilities:    
Short-term debt 549,680 574,095
Deposits 2,280,597 2,074,828
Policy liabilities and Policy account balances (Investment contracts) 237,702 122,686
Long-term debt 5,733,118 5,626,376
Accounts payable (Contingent consideration) 15,259 14,136
Other Liabilities:    
Derivative liabilities [4] 35,543 48,190
Estimated fair value    
Assets:    
Cash and cash equivalents 1,206,573 1,032,810
Restricted Cash 115,410 152,497
Installment loans (net of allowance for credit losses) 4,018,629 3,899,688
Equity securities 418,690 [2] 415,607 [3]
Available-for-sale debt securities 2,607,637 2,665,478
Other Assets:    
Time deposits 1,400 2,033
Derivative assets [4] 43,675 25,490
Reinsurance recoverables (Investment contracts) 126,480 4,550
Liabilities:    
Short-term debt 549,680 574,095
Deposits 2,279,207 2,073,845
Policy liabilities and Policy account balances (Investment contracts) 214,937 121,966
Long-term debt 5,678,828 5,594,888
Accounts payable (Contingent consideration) 15,259 14,136
Other Liabilities:    
Derivative liabilities [4] ¥ 35,543 ¥ 48,190
[1] The amount of assets under management of variable annuity and variable life insurance contracts included in equity securities were ¥161,244 million and ¥132,313 million as of March 31, 2024 and 2025, respectively. The amount of investment funds and others elected the fair value option included in equity securities were ¥26,945 million and ¥24,960 million as of March 31, 2024 and 2025, respectively.
[2] The amount of ¥118,666 million of investment funds measured at net asset value per share is not included.
[3] The amount of ¥85,280 million of investment funds measured at net asset value per share is not included.
[4] It represents the amount after offset under counterparty netting of derivative assets and liabilities. For the information of input level before netting, see Note 2 “Fair Value Measurements.”