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Estimated Fair Value of Financial Instruments
12 Months Ended
Mar. 31, 2022
Fair Value Disclosures [Abstract]  
Estimated Fair Value of Financial Instruments
3
0
. Estimated Fair Value of Financial Instruments
The following information is provided to help readers gain an understanding of the relationship between carrying amounts of financial instruments reported in the Company’s consolidated balance sheets and the related market or fair value. The disclosures do not include net investment in leases, investment in affiliates, pension obligations and insurance contracts and reinsurance contracts except for those classified as investment contracts.
March 31, 2021
 
    
Millions of yen
 
    
Carrying

amount
    
Estimated

fair value
    
Level 1
    
Level 2
    
Level 3
 
Assets:
                                            
Cash and cash equivalents
   ¥ 951,242      ¥ 951,242      ¥ 951,242      ¥ 0      ¥ 0  
Restricted cash
     128,333        128,333        128,333        0        0  
Installment loans (net of allowance for credit losses)
     3,613,316        3,631,561        0        166,410        3,465,151  
Equity securities*1
     396,465        396,465        82,039        223,016        91,410  
Trading debt securities
     2,654        2,654        0        2,654        0  
Available-for-sale
debt securities
     2,003,917        2,003,917        6,012        1,864,448        133,457  
Held-to-maturity
debt securities
     113,790        139,132        0        115,893        23,239  
Other Assets:
                                            
Time deposits
     4,146        4,146        0        4,146        0  
Derivative assets*2
     20,752        20,752        0        0        0  
Reinsurance recoverables (Investment contracts)
     7,299        7,507        0        0        7,507  
Liabilities:
                                            
Short-term debt
   ¥ 307,269      ¥ 307,269      ¥ 0      ¥ 307,269      ¥ 0  
Deposits
     2,165,293        2,167,449        0        2,167,449        0  
Policy liabilities and Policy account balances (Investment contracts)
     196,549        196,624        0        0        196,624  
Long-term debt
     4,416,833        4,442,351        0        1,286,463        3,155,888  
Other Liabilities:
                                            
Derivative liabilities*2
     69,090        69,090        0        0        0  
 
*1
The amount of ¥13,737 million of investment funds measured at net asset value per share is not included.
*2
It represents the amount after offset under counterparty netting of derivative assets and liabilities. For the information of input level before netting, see Note 2 “Fair Value Measurements.”
 
March 31, 2022
 
    
Millions of yen
 
    
Carrying

amount
    
Estimated

fair value
    
Level 1
    
Level 2
    
Level 3
 
Assets:
                                            
Cash and cash equivalents
   ¥ 954,827      ¥ 954,827      ¥ 954,827      ¥ 0      ¥ 0  
Restricted cash
     136,985        136,985        136,985        0        0  
Installment loans (net of allowance for credit losses)
     3,814,773        3,806,552        0        261,031        3,545,521  
Equity securities*1
     385,271        385,271        112,200        160,099        112,972  
Trading debt securities
     2,503        2,503        0        2,503        0  
Available-for-sale
debt securities
     2,174,891        2,174,891        1,095        2,032,736        141,060  
Held-to-maturity
debt securities
     114,312        135,441        0        112,678        22,763  
Other Assets:
                                            
Time deposits
     4,197        4,197        0        4,197        0  
Derivative assets*2
     31,033        31,033        0        0        0  
Reinsurance recoverables (Investment contracts)
     6,216        6,049        0        0        6,049  
Liabilities:
                                            
Short-term debt
   ¥ 439,639      ¥ 439,639      ¥ 0      ¥ 439,639      ¥ 0  
Deposits
     2,106,900        2,108,169        0        2,108,169        0  
Policy liabilities and Policy account balances (Investment contracts)
     178,170        178,159        0        0        178,159  
Long-term debt
     4,427,046        4,426,629        0        1,456,822        2,969,807  
Other Liabilities:
                                            
Derivative liabilities*2
     85,372        85,372        0        0        0  
 
*1
The amount of ¥25,999 million of investment funds measured at net asset value per share is not included.
*2
It represents the amount after offset under counterparty netting of derivative assets and liabilities. For the information of input level before netting, see Note 2 “Fair Value Measurements.”
Input level of fair value measurement
If active market prices are available, fair value measurement is based on quoted active market prices and classified as Level 1. If active market prices are not available, fair value measurement is based on observable inputs other than quoted prices included within Level 1 such as quoted market prices of similar assets and classified as Level 2. If market prices are not available and there are no observable inputs, then fair value is estimated by using valuation models including discounted cash flow methodologies, commonly used option-pricing models and broker quotes and classified as Level 3, as the valuation models and broker quotes are based on inputs that are unobservable in the market.