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CONSOLIDATED STATEMENTS OF CHANGES IN EQUITY - JPY (¥)
¥ in Millions
Total
Cumulative Effect, Period of Adoption, Adjustment [Member]
Cumulative Effect, Period of Adoption, Adjusted Balance [Member]
Common Stock
Common Stock
Cumulative Effect, Period of Adoption, Adjusted Balance [Member]
Additional Paid-in Capital
Additional Paid-in Capital
Cumulative Effect, Period of Adoption, Adjusted Balance [Member]
Retained Earnings
Retained Earnings
Cumulative Effect, Period of Adoption, Adjustment [Member]
Retained Earnings
Cumulative Effect, Period of Adoption, Adjusted Balance [Member]
Accumulated Other Comprehensive Income (Loss)
Accumulated Other Comprehensive Income (Loss)
Cumulative Effect, Period of Adoption, Adjusted Balance [Member]
Treasury Stock
Treasury Stock
Cumulative Effect, Period of Adoption, Adjusted Balance [Member]
Total ORIX Corporation Shareholders' Equity
Total ORIX Corporation Shareholders' Equity
Cumulative Effect, Period of Adoption, Adjustment [Member]
Total ORIX Corporation Shareholders' Equity
Cumulative Effect, Period of Adoption, Adjusted Balance [Member]
Noncontrolling Interests
Noncontrolling Interests
Cumulative Effect, Period of Adoption, Adjustment [Member]
Noncontrolling Interests
Cumulative Effect, Period of Adoption, Adjusted Balance [Member]
Beginning Balance at Mar. 31, 2022 ¥ 3,414,178     ¥ 221,111   ¥ 260,479   ¥ 2,914,558     ¥ 21,495   ¥ (113,447)   ¥ 3,304,196     ¥ 109,982    
Contribution to subsidiaries 3,451                           0     3,451    
Transaction with noncontrolling interests (60,410)         (28,048)         4,396       (23,652)     (36,758)    
Comprehensive income, net of tax:                                        
Net income (loss) 296,901             290,340             290,340     6,561    
Other comprehensive income (loss)                                        
Net change of unrealized gains (losses) on investment in securities (110,142)                   (110,142)       (110,142)     0    
Impact of changes in policy liability discount rate 126,980                   126,980       126,980     0    
Net change of debt valuation adjustments 54                   54       54     0    
Net change of defined benefit pension plans 4,448                   4,455       4,455     (7)    
Net change of foreign currency translation adjustments 94,732                   91,095       91,095     3,637    
Net change of unrealized gains (losses) on derivative instruments 19,670                   17,802       17,802     1,868    
Total other comprehensive income (loss) 135,742                           130,244     5,498    
Total comprehensive income (loss) 432,643                           420,584     12,059    
Cash dividends (124,309)             (106,290)             (106,290)     (18,019)    
Acquisition of treasury stock (52,071)                       (52,071)   (52,071)     0    
Disposal of treasury stock 17         (85)             102   17     0    
Cancellation of treasury stock 0             (44,160)         44,160   0     0    
Other, net 823         823                 823     0    
Ending Balance at Mar. 31, 2023 3,614,322     221,111   233,169   3,054,448     156,135   (121,256)   3,543,607     70,715    
Contribution to subsidiaries 18,357                           0     18,357    
Transaction with noncontrolling interests (3,549)         86         (165)       (79)     (3,470)    
Comprehensive income, net of tax:                                        
Net income (loss) 338,450             346,132             346,132     (7,682)    
Other comprehensive income (loss)                                        
Net change of unrealized gains (losses) on investment in securities (67,772)                   (67,772)       (67,772)     0    
Impact of changes in policy liability discount rate 93,269                   93,269       93,269     0    
Net change of debt valuation adjustments (191)                   (191)       (191)     0    
Net change of defined benefit pension plans 13,293                   13,287       13,287     6    
Net change of foreign currency translation adjustments 173,101                   168,285       168,285     4,816    
Net change of unrealized gains (losses) on derivative instruments (5,875)                   (5,700)       (5,700)     (175)    
Total other comprehensive income (loss) 205,825                           201,178     4,647    
Total comprehensive income (loss) 544,275                           547,310     (3,035)    
Cash dividends (101,968)             (99,900)             (99,900)     (2,068)    
Acquisition of treasury stock (50,001)                       (50,001)   (50,001)     0    
Disposal of treasury stock 50         (227)             277   50     0    
Cancellation of treasury stock 0         (49)   (40,951)         41,000   0     0    
Other, net 479         478   1             479     0    
Ending Balance at Mar. 31, 2024 4,021,965   ¥ 4,021,808 221,111 ¥ 221,111 233,457 ¥ 233,457 3,259,730   ¥ 3,259,573 357,148 ¥ 357,148 (129,980) ¥ (129,980) 3,941,466   ¥ 3,941,309 80,499   ¥ 80,499
Ending Balance (Accounting Standards Update 2023-02) at Mar. 31, 2024   ¥ (157)             ¥ (157)             ¥ (157)     ¥ 0  
Contribution to subsidiaries 10,736                           0     10,736    
Transaction with noncontrolling interests (7,232)         83         136       219     (7,451)    
Comprehensive income, net of tax:                                        
Net income (loss) 351,241             351,630             351,630     (389)    
Other comprehensive income (loss)                                        
Net change of unrealized gains (losses) on investment in securities (153,108)                   (153,108)       (153,108)     0    
Impact of changes in policy liability discount rate 158,339                   158,339       158,339     0    
Net change of debt valuation adjustments (35)                   (35)       (35)     0    
Net change of defined benefit pension plans 5,128                   5,121       5,121     7    
Net change of foreign currency translation adjustments (20,010)                   (19,687)       (19,687)     (323)    
Net change of unrealized gains (losses) on derivative instruments (6,403)                   (6,616)       (6,616)     213    
Total other comprehensive income (loss) (16,089)                           (15,986)     (103)    
Total comprehensive income (loss) 335,152                           335,644     (492)    
Cash dividends (136,881)             (135,590)             (135,590)     (1,291)    
Acquisition of treasury stock (53,518)                       (53,518)   (53,518)     0    
Disposal of treasury stock 263         (654)             917   263     0    
Cancellation of treasury stock 0         (149)   (120,702)         120,851   0     0    
Other, net 1,455         1,456             (1)   1,455     0    
Ending Balance at Mar. 31, 2025 ¥ 4,171,783     ¥ 221,111   ¥ 234,193   ¥ 3,354,911     ¥ 341,298   ¥ (61,731)   ¥ 4,089,782     ¥ 82,001