v3.26.1
CONSOLIDATED BALANCE SHEETS - JPY (¥)
¥ in Millions
Mar. 31, 2026
Mar. 31, 2025
ASSETS    
Cash and Cash Equivalents ¥ 1,334,945 ¥ 1,206,573
Restricted Cash 116,154 115,410
Net investment in Leases 1,247,491 1,167,380
Installment Loans The amounts which are measured at fair value by electing the fair value option are as follows: March 31, 2025 ¥97,694 million March 31, 2026 ¥78,020 million 4,173,582 4,081,019
Allowance for Credit Losses (80,194) (56,769)
Investment in Operating Leases 2,152,820 1,967,178
Investment in Securities The amounts which are measured at fair value by electing the fair value option are as follows: March 31, 2025 ¥41,018 million March 31, 2026 ¥39,796 million The amounts which are associated to available-for-sale debt securities are as follows: As of March 31, 2025 Amortized Cost ¥3,174,036 million Allowance for Credit Losses ¥(670) million As of March 31, 2026 Amortized Cost ¥3,403,138 million Allowance for Credit Losses ¥(3,505) million 3,308,829 3,234,547
Property under Facility Operations 779,075 771,851
Equity method investments 1,306,312 1,320,015
Trade Notes, Accounts and Other Receivable 495,905 411,012
Inventories 269,187 229,229
Office Facilities 203,169 191,957
Other Assets The amounts which are measured at fair value by electing the fair value option are as follows: March 31, 2025 ¥2,586 million March 31, 2026 ¥1,163 million 2,695,501 2,226,849
Total Assets 18,002,776 16,866,251
Liabilities:    
Short-Term Debt 572,235 549,680
Deposits 2,625,556 2,449,812
Trade Notes, Accounts and Other Payable 356,008 339,787
Policy Liabilities and Policy Account Balances The amounts which are measured at fair value by electing the fair value option are as follows: March 31, 2025 ¥136,257 million March 31, 2026 ¥138,027 million 1,943,710 1,948,047
Income Taxes:    
Current 76,733 53,149
Deferred 611,051 525,632
Long-Term Debt 5,965,759 5,733,118
Other Liabilities 1,227,913 1,091,811
Total Liabilities 13,378,965 12,691,036
Redeemable Noncontrolling Interests 50,743 3,432
Commitments and Contingent Liabilities
Equity:    
Common stock: Authorized: 2,590,000,000 shares Issued: March 31, 2025 1,162,962,244 shares March 31, 2026 1,124,106,624 shares 221,111 221,111
Additional Paid-in Capital 235,239 234,193
Retained Earnings 3,502,509 3,354,911
Accumulated Other Comprehensive Income 605,110 341,298
Treasury Stock, at Cost: March 31, 2025 26,672,695 shares March 31, 2026 25,519,804 shares (81,469) (61,731)
ORIX Corporation Shareholders' Equity 4,482,500 4,089,782
Noncontrolling Interests 90,568 82,001
Total Equity 4,573,068 4,171,783
Total Liabilities and Equity 18,002,776 16,866,251
Variable Interest Entity, Primary Beneficiary    
ASSETS    
Cash and Cash Equivalents 568 1,333
Net Investment in Leases (Net of Allowance for Credit Losses) 16,322 6,482
Installment Loans (Net of Allowance for Credit Losses) 29,696 71,668
Investment in Operating Leases 82,491 77,480
Property under Facility Operations 72,350 91,323
Equity method investments 0 49,409
Other Assets The amounts which are measured at fair value by electing the fair value option are as follows: March 31, 2025 ¥2,586 million March 31, 2026 ¥1,163 million 34,319 45,402
Total Assets 235,746 343,097
Liabilities:    
Trade Notes, Accounts and Other Payable 688 525
Income Taxes:    
Long-Term Debt 142,028 199,360
Other Liabilities 12,490 16,749
Total Liabilities ¥ 155,206 ¥ 216,634