Below are the financial statements of MS&AD Insurance Group Holdings, including the income statement and balance sheet for the company's latest fiscal year. All figures are accurate, verifiable, and fully traceable to the original annual filing where disclosed.
All figures in billions of JPY | 2024 | 2023 |
---|---|---|
Shareholders’ equity | — | — |
Common stock | 101.08a | 100.81a |
Capital surplus | 344.79a | 345.14a |
Retained earnings | 1,634.44a | 1,383.91a |
Treasury stock | -36.84a | -6.66a |
Total shareholders’ equity | 2,043.46a | 1,823.2a |
Accumulated other comprehensive income | — | — |
Net unrealized gains/(losses) on investments in securities | 2,237.15a | 1,216.56a |
Net deferred gains/(losses) on hedges | -48.4a | -22a |
Foreign currency translation adjustments | 222.85a | 80.61a |
Accumulated actuarial gains/(losses) on retirement benefits | 32.55a | -9.45a |
Net unrealized gains/(losses) on policy liabilities for overseas consolidated subsidiaries, etc. | -20.82a | 2.63a |
Total accumulated other comprehensive income | 2,423.33a | 1,268.36a |
Net assets | — | — |
Stock acquisition rights | 0.39a | 0.56a |
Non-controlling interests | 46.38a | 47.38a |
Total net assets | 4,513.56a | 3,139.5a |
Total liabilities and net assets | 26,960.21a | 24,349.98a |
Assets | — | — |
Cash, deposits and savings | 2,911.35a | 2,771.98a |
Monetary claims bought | 184.2a | 142.98a |
Money trusts | 2,420.17a | 2,082.01a |
Investments in securities | 18,166.67a | 16,144.02a |
Loans | 970.15a | 959.48a |
Tangible fixed assets: | 465.66a | 476.71a |
Land | 216.91a | 220.9a |
Buildings | 186.27a | 192.97a |
Lease assets | 29.45a | 28.96a |
Construction in progress | 2.56a | 1.71a |
Other tangible fixed assets | 30.47a | 32.17a |
Intangible fixed assets: | 490.51a | 496.12a |
Software | 165.01a | 134.96a |
Goodwill | 141.45a | 143.25a |
Lease assets | 0.19a | 0.21a |
Other intangible fixed assets | 183.86a | 217.7a |
Other assets | 1,178.31a | 1,116.66a |
Assets for retirement benefits | 100.65a | 36.37a |
Deferred tax assets | 59.39a | 102.11a |
Customers’ liabilities under acceptances and guarantees | 22.85a | 27.52a |
Bad debt reserve | -9.7a | -5.99a |
Total assets | 26,960.21a | 24,349.98a |
Liabilities | — | — |
Policy liabilities: | 19,198.04a | 18,357.16a |
Outstanding claims | 2,884.81a | 2,590a |
Underwriting reserves | 16,313.23a | 15,767.16a |
Bonds issued | 715.05a | 714.74a |
Other liabilities | 1,733.68a | 1,628.14a |
Liabilities for pension and retirement benefits | 138.03a | 141.14a |
Reserve for retirement benefits for officers | 0.09a | 0.13a |
Accrued bonuses for employees | 34.19a | 28.44a |
Reserve for stock payments | 2.02a | 1.01a |
Reserves under the special laws: | 231.87a | 278a |
Reserve for price fluctuation | 231.87a | 278a |
Deferred tax liabilities | 370.84a | 34.19a |
Acceptances and guarantees | 22.85a | 27.52a |
Total liabilities | 22,446.65a | 21,210.48a |
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