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MS&AD Insurance Group Holdings (8725)

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  • 4420.0
  • +29.0+0.66%
20min DelayNot Open May 18 15:30 JST
6.60TMarket Cap9.92P/E (Static)

MS&AD Insurance Group Holdings (8725) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Dec 31, 2025
(Q2)Sep 30, 2025
(Q1)Jun 30, 2025
(FY)Mar 31, 2025
(Q4)Mar 31, 2025
(Q3)Dec 31, 2024
(Q2)Sep 30, 2024
(Q1)Jun 30, 2024
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
Financial asset investment
7.31%19.25T
2.65%18.21T
-2.52%18.01T
-2.24%17.76T
-2.24%17.76T
4.27%17.94T
3.40%17.74T
7.83%18.48T
12.53%18.17T
12.53%18.17T
-Available-for-sale securities
7.31%19.25T
2.65%18.21T
-2.52%18.01T
-2.24%17.76T
-2.24%17.76T
4.27%17.94T
3.40%17.74T
7.83%18.48T
12.53%18.17T
12.53%18.17T
Cash, cash equivalents and short term investments
-16.24%1.88T
-24.01%1.88T
-20.46%2.05T
-26.50%2.14T
-26.50%2.14T
-25.87%2.24T
-14.27%2.47T
-2.52%2.58T
5.03%2.91T
5.03%2.91T
-Cash and cash equivalents
-16.24%1.88T
-24.01%1.88T
-20.46%2.05T
-26.50%2.14T
-26.50%2.14T
-25.87%2.24T
-14.27%2.47T
-2.52%2.58T
5.03%2.91T
5.03%2.91T
Restricted cash and cash equivalents
11.01%2.92T
13.44%2.83T
5.29%2.73T
10.05%2.66T
10.05%2.66T
14.28%2.63T
13.15%2.49T
17.72%2.59T
16.24%2.42T
16.24%2.42T
Net loan
3.21%1.04T
19.01%1.17T
-12.35%876.11B
-0.03%969.83B
-0.03%969.83B
3.49%1.01T
0.43%984.28B
1.65%999.61B
1.11%970.15B
1.11%970.15B
Insurance contract assets
103.70%50.91B
229.99%207.86B
--76.94B
--86.9B
--86.9B
--24.99B
--62.99B
----
--0
--0
Net PPE
0.40%457.52B
-2.30%451.82B
-2.77%450.19B
-1.98%456.46B
-1.98%456.46B
-2.63%455.67B
-1.85%462.44B
-1.87%463.03B
-2.32%465.66B
-2.32%465.66B
-Gross PP&E
----
----
----
-1.98%456.46B
-1.98%456.46B
----
----
----
-2.32%465.66B
-2.32%465.66B
Goodwill and other intangible assets
-4.33%449.47B
-8.80%453.46B
-6.64%460.08B
-2.54%478.03B
-2.54%478.03B
-6.23%469.8B
-2.13%497.23B
-0.13%492.82B
-1.13%490.51B
-1.13%490.51B
-Goodwill
----
----
----
-5.87%133.14B
-5.87%133.14B
----
----
----
-1.26%141.45B
-1.26%141.45B
-Other intangible assets
-4.33%449.47B
-8.80%453.46B
-6.64%460.08B
-1.20%344.89B
-1.20%344.89B
-6.23%469.8B
-2.13%497.23B
-0.13%492.82B
-1.08%349.06B
-1.08%349.06B
Defined pension benefit
-0.21%105.64B
-0.73%103.41B
-1.26%101.1B
-1.71%98.93B
-1.71%98.93B
142.70%105.86B
152.81%104.18B
163.98%102.39B
176.73%100.65B
176.73%100.65B
Deferred tax assets-Non current
-38.35%33.91B
-32.77%40.51B
-28.22%43.83B
9.04%64.76B
9.04%64.76B
18.66%55B
24.55%60.26B
30.85%61.07B
-41.84%59.39B
-41.84%59.39B
Other assets
13.63%1.8T
19.64%1.94T
9.40%1.54T
10.72%1.52T
10.72%1.52T
23.34%1.58T
18.18%1.62T
3.46%1.41T
7.38%1.38T
7.38%1.38T
Total assets
5.55%27.98T
2.97%27.28T
-3.07%26.33T
-2.67%26.24T
-2.67%26.24T
2.58%26.51T
3.25%26.5T
7.08%27.17T
10.72%26.96T
10.72%26.96T
Liabilities
Insurance contract liabilities
4.42%20.38T
3.72%20.07T
0.53%19.62T
1.85%19.55T
1.85%19.55T
3.39%19.51T
1.46%19.35T
4.61%19.51T
4.58%19.2T
4.58%19.2T
Non-current financial liabilities
33.93%790.32B
33.79%790.19B
-17.48%590.32B
-17.41%590.57B
-17.41%590.57B
-17.50%590.1B
-17.41%590.63B
0.08%715.34B
0.04%715.05B
0.04%715.05B
-Long term debt and capital lease obligation
33.93%790.32B
33.79%790.19B
-17.48%590.32B
-17.41%590.57B
-17.41%590.57B
-17.50%590.1B
-17.41%590.63B
0.08%715.34B
0.04%715.05B
0.04%715.05B
-Including:Long term debt
33.93%790.32B
33.79%790.19B
-17.48%590.32B
-17.41%590.57B
-17.41%590.57B
-17.50%590.1B
-17.41%590.63B
0.08%715.34B
0.04%715.05B
0.04%715.05B
Long term provisions
7.42%260.24B
-8.34%255.75B
-9.84%238.61B
7.98%252.56B
7.98%252.56B
-14.98%242.26B
-2.33%279.01B
-6.25%264.65B
-16.17%233.89B
-16.17%233.89B
Long-term pension and other post-retirement benefit plans
6.75%171.99B
4.76%180.97B
5.38%165.53B
5.54%181.86B
5.54%181.86B
1.24%161.11B
1.51%172.74B
2.56%157.08B
1.53%172.3B
1.53%172.3B
Non current deferred liabilities
11.85%176.83B
-41.77%79.53B
-83.51%51.86B
-89.83%37.71B
-89.83%37.71B
6.41%158.1B
55.54%136.58B
185.12%314.57B
984.64%370.84B
984.64%370.84B
Other liabilities
-3.50%1.54T
-5.73%1.52T
-5.10%1.54T
-10.48%1.57T
-10.48%1.57T
-8.83%1.59T
-5.58%1.61T
-12.42%1.62T
6.09%1.76T
6.09%1.76T
Total liabilities
4.74%23.31T
3.41%22.89T
-1.70%22.2T
-1.15%22.19T
-1.15%22.19T
1.50%22.26T
0.47%22.14T
3.77%22.59T
5.83%22.45T
5.83%22.45T
Shareholders'equity
Share capital
0.00%101.37B
0.00%101.37B
0.29%101.37B
0.29%101.37B
0.29%101.37B
0.29%101.37B
0.29%101.37B
0.27%101.08B
0.27%101.08B
0.27%101.08B
-common stock
0.00%101.37B
0.00%101.37B
0.29%101.37B
0.29%101.37B
0.29%101.37B
0.29%101.37B
0.29%101.37B
0.27%101.08B
0.27%101.08B
0.27%101.08B
Additional paid-in capital
-41.12%203.22B
-0.04%344.83B
0.03%344.81B
0.10%345.13B
0.10%345.13B
-0.06%345.13B
-0.12%344.96B
-0.12%344.7B
-0.10%344.79B
-0.10%344.79B
Less: Treasury stock
-81.33%45.51B
71.43%358.94B
663.06%284.81B
675.04%285.53B
675.04%285.53B
549.87%243.8B
662.96%209.38B
185.05%37.33B
453.00%36.84B
453.00%36.84B
Retained earnings
13.79%2.35T
24.98%2.52T
27.80%2.25T
30.64%2.14T
30.64%2.14T
33.81%2.07T
42.19%2.01T
22.12%1.76T
18.10%1.63T
18.10%1.63T
Other reserves
3.61%2T
-15.58%1.74T
-29.32%1.67T
-29.68%1.7T
-29.68%1.7T
1.18%1.93T
18.10%2.06T
40.59%2.36T
91.06%2.42T
91.06%2.42T
Other equity interest
-27.82%192M
-27.82%192M
-41.10%192M
-31.97%266M
-31.97%266M
-31.97%266M
-31.97%266M
-22.93%326M
-29.93%391M
-29.93%391M
Total stockholders'equity
9.79%4.61T
0.76%4.34T
-9.95%4.08T
-10.44%4T
-10.44%4T
8.78%4.2T
20.42%4.31T
27.47%4.53T
44.47%4.47T
44.47%4.47T
Noncontrolling interests
11.46%55.09B
0.31%48.87B
2.43%49.89B
12.59%52.22B
12.59%52.22B
-1.51%49.42B
-1.87%48.72B
-0.33%48.71B
-2.12%46.38B
-2.12%46.38B
Total equity
9.81%4.67T
0.75%4.39T
-9.82%4.13T
-10.21%4.05T
-10.21%4.05T
8.65%4.25T
20.12%4.36T
27.09%4.58T
43.77%4.51T
43.77%4.51T
Currency Unit
JPY
JPY
JPY
JPY
JPY
JPY
JPY
JPY
JPY
JPY
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q3)Dec 31, 2025(Q2)Sep 30, 2025(Q1)Jun 30, 2025(FY)Mar 31, 2025(Q4)Mar 31, 2025(Q3)Dec 31, 2024(Q2)Sep 30, 2024(Q1)Jun 30, 2024(FY)Mar 31, 2024(Q4)Mar 31, 2024
Financial asset investment 7.31%19.25T2.65%18.21T-2.52%18.01T-2.24%17.76T-2.24%17.76T4.27%17.94T3.40%17.74T7.83%18.48T12.53%18.17T12.53%18.17T
-Available-for-sale securities 7.31%19.25T2.65%18.21T-2.52%18.01T-2.24%17.76T-2.24%17.76T4.27%17.94T3.40%17.74T7.83%18.48T12.53%18.17T12.53%18.17T
Cash, cash equivalents and short term investments -16.24%1.88T-24.01%1.88T-20.46%2.05T-26.50%2.14T-26.50%2.14T-25.87%2.24T-14.27%2.47T-2.52%2.58T5.03%2.91T5.03%2.91T
-Cash and cash equivalents -16.24%1.88T-24.01%1.88T-20.46%2.05T-26.50%2.14T-26.50%2.14T-25.87%2.24T-14.27%2.47T-2.52%2.58T5.03%2.91T5.03%2.91T
Restricted cash and cash equivalents 11.01%2.92T13.44%2.83T5.29%2.73T10.05%2.66T10.05%2.66T14.28%2.63T13.15%2.49T17.72%2.59T16.24%2.42T16.24%2.42T
Net loan 3.21%1.04T19.01%1.17T-12.35%876.11B-0.03%969.83B-0.03%969.83B3.49%1.01T0.43%984.28B1.65%999.61B1.11%970.15B1.11%970.15B
Insurance contract assets 103.70%50.91B229.99%207.86B--76.94B--86.9B--86.9B--24.99B--62.99B------0--0
Net PPE 0.40%457.52B-2.30%451.82B-2.77%450.19B-1.98%456.46B-1.98%456.46B-2.63%455.67B-1.85%462.44B-1.87%463.03B-2.32%465.66B-2.32%465.66B
-Gross PP&E -------------1.98%456.46B-1.98%456.46B-------------2.32%465.66B-2.32%465.66B
Goodwill and other intangible assets -4.33%449.47B-8.80%453.46B-6.64%460.08B-2.54%478.03B-2.54%478.03B-6.23%469.8B-2.13%497.23B-0.13%492.82B-1.13%490.51B-1.13%490.51B
-Goodwill -------------5.87%133.14B-5.87%133.14B-------------1.26%141.45B-1.26%141.45B
-Other intangible assets -4.33%449.47B-8.80%453.46B-6.64%460.08B-1.20%344.89B-1.20%344.89B-6.23%469.8B-2.13%497.23B-0.13%492.82B-1.08%349.06B-1.08%349.06B
Defined pension benefit -0.21%105.64B-0.73%103.41B-1.26%101.1B-1.71%98.93B-1.71%98.93B142.70%105.86B152.81%104.18B163.98%102.39B176.73%100.65B176.73%100.65B
Deferred tax assets-Non current -38.35%33.91B-32.77%40.51B-28.22%43.83B9.04%64.76B9.04%64.76B18.66%55B24.55%60.26B30.85%61.07B-41.84%59.39B-41.84%59.39B
Other assets 13.63%1.8T19.64%1.94T9.40%1.54T10.72%1.52T10.72%1.52T23.34%1.58T18.18%1.62T3.46%1.41T7.38%1.38T7.38%1.38T
Total assets 5.55%27.98T2.97%27.28T-3.07%26.33T-2.67%26.24T-2.67%26.24T2.58%26.51T3.25%26.5T7.08%27.17T10.72%26.96T10.72%26.96T
Liabilities
Insurance contract liabilities 4.42%20.38T3.72%20.07T0.53%19.62T1.85%19.55T1.85%19.55T3.39%19.51T1.46%19.35T4.61%19.51T4.58%19.2T4.58%19.2T
Non-current financial liabilities 33.93%790.32B33.79%790.19B-17.48%590.32B-17.41%590.57B-17.41%590.57B-17.50%590.1B-17.41%590.63B0.08%715.34B0.04%715.05B0.04%715.05B
-Long term debt and capital lease obligation 33.93%790.32B33.79%790.19B-17.48%590.32B-17.41%590.57B-17.41%590.57B-17.50%590.1B-17.41%590.63B0.08%715.34B0.04%715.05B0.04%715.05B
-Including:Long term debt 33.93%790.32B33.79%790.19B-17.48%590.32B-17.41%590.57B-17.41%590.57B-17.50%590.1B-17.41%590.63B0.08%715.34B0.04%715.05B0.04%715.05B
Long term provisions 7.42%260.24B-8.34%255.75B-9.84%238.61B7.98%252.56B7.98%252.56B-14.98%242.26B-2.33%279.01B-6.25%264.65B-16.17%233.89B-16.17%233.89B
Long-term pension and other post-retirement benefit plans 6.75%171.99B4.76%180.97B5.38%165.53B5.54%181.86B5.54%181.86B1.24%161.11B1.51%172.74B2.56%157.08B1.53%172.3B1.53%172.3B
Non current deferred liabilities 11.85%176.83B-41.77%79.53B-83.51%51.86B-89.83%37.71B-89.83%37.71B6.41%158.1B55.54%136.58B185.12%314.57B984.64%370.84B984.64%370.84B
Other liabilities -3.50%1.54T-5.73%1.52T-5.10%1.54T-10.48%1.57T-10.48%1.57T-8.83%1.59T-5.58%1.61T-12.42%1.62T6.09%1.76T6.09%1.76T
Total liabilities 4.74%23.31T3.41%22.89T-1.70%22.2T-1.15%22.19T-1.15%22.19T1.50%22.26T0.47%22.14T3.77%22.59T5.83%22.45T5.83%22.45T
Shareholders'equity
Share capital 0.00%101.37B0.00%101.37B0.29%101.37B0.29%101.37B0.29%101.37B0.29%101.37B0.29%101.37B0.27%101.08B0.27%101.08B0.27%101.08B
-common stock 0.00%101.37B0.00%101.37B0.29%101.37B0.29%101.37B0.29%101.37B0.29%101.37B0.29%101.37B0.27%101.08B0.27%101.08B0.27%101.08B
Additional paid-in capital -41.12%203.22B-0.04%344.83B0.03%344.81B0.10%345.13B0.10%345.13B-0.06%345.13B-0.12%344.96B-0.12%344.7B-0.10%344.79B-0.10%344.79B
Less: Treasury stock -81.33%45.51B71.43%358.94B663.06%284.81B675.04%285.53B675.04%285.53B549.87%243.8B662.96%209.38B185.05%37.33B453.00%36.84B453.00%36.84B
Retained earnings 13.79%2.35T24.98%2.52T27.80%2.25T30.64%2.14T30.64%2.14T33.81%2.07T42.19%2.01T22.12%1.76T18.10%1.63T18.10%1.63T
Other reserves 3.61%2T-15.58%1.74T-29.32%1.67T-29.68%1.7T-29.68%1.7T1.18%1.93T18.10%2.06T40.59%2.36T91.06%2.42T91.06%2.42T
Other equity interest -27.82%192M-27.82%192M-41.10%192M-31.97%266M-31.97%266M-31.97%266M-31.97%266M-22.93%326M-29.93%391M-29.93%391M
Total stockholders'equity 9.79%4.61T0.76%4.34T-9.95%4.08T-10.44%4T-10.44%4T8.78%4.2T20.42%4.31T27.47%4.53T44.47%4.47T44.47%4.47T
Noncontrolling interests 11.46%55.09B0.31%48.87B2.43%49.89B12.59%52.22B12.59%52.22B-1.51%49.42B-1.87%48.72B-0.33%48.71B-2.12%46.38B-2.12%46.38B
Total equity 9.81%4.67T0.75%4.39T-9.82%4.13T-10.21%4.05T-10.21%4.05T8.65%4.25T20.12%4.36T27.09%4.58T43.77%4.51T43.77%4.51T
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP
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