| Assets | — | — |
| Cash and due from banks | 4,245.78a | 4,689.38a |
| Call loans and bills purchased | 448.13a | 391.82a |
| Cash collateral paid for securities lending/borrowing transactions | 1.38a | 1.95a |
| Purchased monetary claims | 23.16a | 23.12a |
| Specified transaction assets | 16.5a | 12.25a |
| Money held in trust | 6.9a | 10.9a |
| Securities | 3,178.97a | 2,906.07a |
| Loans and bills discounted | 13,183.19a | 12,721.83a |
| Foreign exchange | 5.57a | 6.08a |
| Other assets | 338.97a | 378.75a |
| Tangible fixed assets | 125.3a | 123.61a |
| Intangible fixed assets | 23.93a | 14.63a |
| Retirement benefit asset | 37.41a | 28.71a |
| Deferred tax assets | 2.95a | 3.13a |
| Customers' liabilities for acceptances and guarantees | 24.85a | 27.57a |
| Allowance for loan losses | -31.68a | -31.09a |
| Total assets | 21,631.29a | 21,308.72a |
| Liabilities | — | — |
| Deposits | 16,251.92a | 15,927.77a |
| Negotiable certificates of deposit | 463.41a | 379.53a |
| Call money and bills sold | 1,415.02a | 1,499.38a |
| Securities sold under repurchase agreements | 50.57a | 44.48a |
| Cash collateral received for securities lending/borrowing transactions | 214.19a | 203.43a |
| Specified transaction liabilities | 9.44a | 6.28a |
| Borrowed money | 1,637.45a | 1,523.26a |
| Foreign exchange | 0.85a | 1.17a |
| Bonds | 44.83a | 120.79a |
| Borrowings under trust account | 16.89a | 15.56a |
| Other liabilities | 314.2a | 305.19a |
| Retirement benefit liability | 0.61a | 0.69a |
| Provision for directors' retirement benefits | 0.23a | 0.19a |
| Provision for losses on refund of dormant deposits | 0.42a | 0.64a |
| Provision for point program | 0.69a | 0.79a |
| Provision under special laws | 0.02a | 0.02a |
| Deferred tax liabilities | 29.82a | 60.07a |
| Deferred tax liabilities related to revaluation | 10.69a | 10.4a |
| Acceptances and guarantees | 24.85a | 27.57a |
| Total liabilities | 20,486.1a | 20,127.22a |
| Net assets | — | — |
| Capital stock | 145.07a | 145.07a |
| Capital surplus | 122.13a | 122.19a |
| Retained earnings | 837.9a | 796.21a |
| Treasury stock | -75.1a | -72.8a |
| Total shareholders' equity | 1,030a | 990.66a |
| Valuation difference on available-for-sale securities | 80.2a | 159.89a |
| Deferred gains (losses) on hedges | 17.65a | 16.28a |
| Land revaluation surplus | 9.59a | 9.93a |
| Remeasurements of defined benefit plans | 7.75a | 4.74a |
| Total accumulated other comprehensive income | 115.19a | 190.84a |
| Total net assets | 1,145.19a | 1,181.5a |
| Total liabilities and net assets | 21,631.29a | 21,308.72a |