中間連結財務諸表及び主な注記
1.中間連結貸借対照表
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(単位:百万円)
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前連結会計年度
(2025年3月31日)
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当中間連結会計期間
(2025年9月30日)
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資産の部
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現金預け金
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25,173,611
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26,884,527
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コールローン及び買入手形
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21,000
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315,858
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買現先勘定
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803,722
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22,719
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債券貸借取引支払保証金
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95,400
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99,494
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買入金銭債権
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926,244
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852,952
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特定取引資産
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2,291,521
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2,457,611
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金銭の信託
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35,677
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42,896
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有価証券
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11,496,181
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14,766,200
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貸出金
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32,206,993
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32,019,293
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外国為替
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53,453
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43,695
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リース債権及びリース投資資産
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718,241
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709,135
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その他資産
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3,197,997
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3,172,241
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有形固定資産
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218,432
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218,253
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無形固定資産
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174,746
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186,728
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退職給付に係る資産
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319,161
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325,380
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繰延税金資産
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8,197
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8,886
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支払承諾見返
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640,415
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612,425
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貸倒引当金
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△129,958
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△119,519
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投資損失引当金
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△3,938
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△3,938
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資産の部合計
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78,247,102
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82,614,844
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負債の部
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預金
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37,722,986
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39,363,926
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譲渡性預金
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9,643,098
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10,462,124
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コールマネー及び売渡手形
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318,617
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211,909
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売現先勘定
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2,391,583
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5,032,272
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特定取引負債
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2,092,440
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2,107,269
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借用金
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9,084,957
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8,383,870
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外国為替
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1,440
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1,080
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短期社債
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2,987,093
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2,738,998
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社債
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3,543,483
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3,665,851
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信託勘定借
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3,492,270
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3,716,568
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その他負債
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3,000,874
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2,785,805
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賞与引当金
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21,308
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16,135
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役員賞与引当金
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512
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180
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株式給付引当金
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1,626
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1,231
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退職給付に係る負債
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12,576
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12,649
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ポイント引当金
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22,686
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22,954
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睡眠預金払戻損失引当金
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2,390
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2,329
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偶発損失引当金
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1,473
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1,409
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繰延税金負債
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135,496
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179,182
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再評価に係る繰延税金負債
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2,451
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2,451
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支払承諾
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640,415
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612,425
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負債の部合計
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75,119,785
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79,320,627
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(単位:百万円)
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前連結会計年度
(2025年3月31日)
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当中間連結会計期間
(2025年9月30日)
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純資産の部
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資本金
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261,608
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261,608
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資本剰余金
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506,616
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447,112
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利益剰余金
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1,968,136
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2,080,648
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自己株式
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△36,444
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△5,662
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株主資本合計
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2,699,917
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2,783,707
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その他有価証券評価差額金
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351,583
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395,365
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繰延ヘッジ損益
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△10,146
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29,174
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土地再評価差額金
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△7,163
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△7,163
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為替換算調整勘定
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46,363
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41,891
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退職給付に係る調整累計額
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15,612
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17,907
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その他の包括利益累計額合計
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396,250
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477,175
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新株予約権
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760
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758
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非支配株主持分
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30,388
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32,575
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純資産の部合計
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3,127,317
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3,294,216
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負債及び純資産の部合計
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78,247,102
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82,614,844
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E03611
83090
三井住友トラストグループ株式会社
Sumitomo Mitsui Trust Group, Inc.
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