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Variable Interest Entities (Tables)
12 Months Ended
Mar. 31, 2025
Variable Interest Entity, Primary Beneficiary  
Information about Variable Interest Entities (Consolidated and Non-consolidated)
1.
Consolidated VIEs
March 31, 2024
 
    
Millions of yen
 
Types of VIEs
  
Total

assets*1
    
Total

liabilities*1
    
Assets which

are pledged as

collateral*2
    
Commitments*3
 
(
a
)   VIEs for acquisition of real estate and real estate development projects for customers
   ¥ 1,657      ¥ 1      ¥ 0      ¥ 0  
(
b
)   VIEs for acquisition of real estate for the Company and its subsidiaries’ real estate-related business
     51,654        10,461        16,434        0  
(
c
)   VIEs for corporate rehabilitation support business
     5,043        29        0        0  
(
d
)   VIEs for investment in securities
     217,715        117        0        77,566  
(e)   VIEs for securitizing financial assets such as finance lease receivable and loan receivable
     213,615        165,062        213,615        0  
(f)   VIEs for securitization of loan receivable originated by third parties
     497        1,015        497        0  
(
g
)   VIEs for power generation projects
     236,715        156,000        181,610        42,102  
(h)   Other VIEs
     165,278        54,648        122,712        0  
  
 
 
    
 
 
    
 
 
    
 
 
 
Total
   ¥ 892,174      ¥ 387,333      ¥ 534,868      ¥ 119,668  
  
 
 
    
 
 
    
 
 
    
 
 
 
 
March 31, 2025
 
    
Millions of yen
 
Types of VIEs
  
Total

assets*1
    
Total

liabilities*1
    
Assets which

are pledged as

collateral*2
    
Commitments*3
 
(
a
)   VIEs for acquisition of real estate and real estate development projects for customers
  
¥
0     
¥
0     
¥
0     
¥
0  
(
b
)   VIEs for acquisition of real estate for the Company and its subsidiaries’ real estate-related business
     51,025        10,956        16,769        0  
(
c
)   VIEs for corporate rehabilitation support business
     5,069        8        0        0  
(
d
)   VIEs for investment in securities
     225,040        111        0        85,069  
(
e
)   VIEs for securitizing financial assets such as finance lease receivable and loan receivable
     85,765        66,914        85,765        0  
(
f
)   VIEs for securitization of loan receivable originated by third parties
     0        0        0        0  
(
g
)   VIEs for power generation projects
     112,360        76,429        105,499        56,959  
(h)   Other VIEs
     146,801        65,311        135,064        0  
  
 
 
    
 
 
    
 
 
    
 
 
 
Total
   ¥ 626,060      ¥ 219,729      ¥ 343,097      ¥ 142,028  
  
 
 
    
 
 
    
 
 
    
 
 
 
 
*1
The assets of most VIEs are used only to repay the liabilities of the VIEs, and the creditors of the liabilities of most VIEs have no recourse to other assets of the Company and its subsidiaries.
*2
The assets are pledged as collateral by VIE for financing of the VIE.
*3
This item represents remaining balance of commitments that could require the Company and its subsidiaries to provide investments or loans to the VIE.
Variable Interest Entity, Not Primary Beneficiary  
Information about Variable Interest Entities (Consolidated and Non-consolidated)
2.
Non-consolidated
VIEs
 
March 31, 2024
 


  
Millions of yen
 
 
  
 
 
  
Carrying amount of the
variable interests in the
VIEs held by the Company
and its subsidiaries
 
  
 
 
Types of VIEs
  
Total assets
 
  
Non-recourse

loans
 
  
Investments
 
  
Maximum

exposure

to loss *
 
(
a
)   VIEs for acquisition of real estate and real estate development projects for customers
   ¥
1,196,344      ¥
52,666      ¥
11,773      ¥
67,439  
(
b
)   VIEs for acquisition of real estate for the Company and its subsidiaries’ real estate-related
business
     0        0        0        0  
(
c
)   VIEs for corporate rehabilitation support business
     0        0        0        0  
(
d
)   VIEs for investment in securities
     23,366,221        0        223,264        318,007  
(e)   VIEs for securitizing financial assets such as finance lease receivable and loan receivable
     0        0        0        0  
(f)   VIEs for securitization of loan receivable originated by third parties
     1,396,339        0        14,691        14,691  
(
g
)   VIEs for power generation projects
     14,830        0        2,630        4,680  
(h)   Other VIEs
     2,308,142        3,778        42,512        70,016  
  
 
 
    
 
 
    
 
 
    
 
 
 
Total
   ¥ 28,281,876      ¥ 56,444      ¥ 294,870      ¥ 474,833  
  
 
 
    
 
 
    
 
 
    
 
 
 
 
March 31, 2025
 
           
    
Millions of yen
 
           
Carrying amount of the
variable interests in the
VIEs held by the Company
and its subsidiaries
        
Types of VIEs
  
Total assets
    
Non-recourse

loans
    
Investments
    
Maximum

exposure

to loss *
 
(
a
)   VIEs for acquisition of real estate and real estate development projects for customers
  
¥
1,859,420     
¥
132,495     
¥
11,224     
¥
149,602  
(
b
)   VIEs for acquisition of real estate for the Company and its subsidiaries’ real estate-related
business
     0        0        0        0  
(
c
)   VIEs for corporate rehabilitation support business
     0        0        0        0  
(
d
)   VIEs for investment in securities
     32,105,994        0        272,927        375,942  
(e)   VIEs for securitizing financial assets such as finance lease receivable and loan receivable
     0        0        0        0  
(f)   VIEs for securitization of loan receivable originated by third parties
     760,293        0        16,437        16,437  
(
g
)   VIEs for power generation projects
     19,499        0        3,945        5,195  
(h)   Other VIEs
     2,914,618        3,732        51,661        75,479  
  
 
 
    
 
 
    
 
 
    
 
 
 
Total
   ¥ 37,659,824      ¥ 136,227      ¥ 356,194      ¥ 622,655  
  
 
 
    
 
 
    
 
 
    
 
 
 
 
*
Maximum exposure to loss includes remaining balance of commitments that could require the Company and its subsidiaries to provide investments or loans to the
VIE.