Taiyo Life Unaudited Non-Consolidated Balance Sheet

(Millions of yen)

As of March 31, 2016

As of September 30, 2016

Increase (decrease)

Assets:

Cash and deposits Cash

Deposit

Monetary claims purchased Securities

Government bonds Municipal bonds Corporate bonds Domestic stocks Foreign securities Other securities

Loans

Policy loans Commercial loans

Tangible fixed assets Land

Buildings Lease assets

Construction in progress Other tangible fixed assets

Intangible fixed assets Software

Lease assets

Other intangible fixed assets Due from reinsurers

Other assets

Accounts receivable Prepaid expenses Accrued income Deposit for rent

Initial margins of futures markets Derivatives

Suspense payable Other assets

Reserve for possible loan losses

454,236

372

453,864

82,551

4,920,486

1,305,837

199,759

911,602

431,002

1,940,464

131,819

1,313,219

54,027

1,259,192

197,544

113,014

68,412

687

15,089

339

13,488

12,750

290

447

180

104,470

8,330

1,952

30,580

4,738

3,335

52,925

2,056

551

(1,377)

331,562

362

331,199

73,683

5,040,627

1,592,409

195,542

883,618

416,984

1,860,110

91,960

1,278,285

52,220

1,226,065

194,990

112,243

66,054

1,170

15,174

347

13,562

12,330

786

445

16

154,248

2,374

4,339

27,317

4,581

906

113,541

631

555

(1,436)

(122,674)

(9)

(122,665)

(8,867)

120,141

286,571

(4,216)

(27,984)

(14,017)

(80,353)

(39,859)

(34,933)

(1,806)

(33,127)

(2,554)

(770)

(2,358)

482

84

8

74

(419)

495

(1)

(164)

49,777

(5,956)

2,386

(3,262)

(156)

(2,428)

60,615

(1,424)

3

(59)

Total assets

7,084,800

7,085,540

739

(Millions of yen)

As of March 31, 2016

As of September 30, 2016

Increase (decrease)

Liabilities:

Policy reserves

Reserve for outstanding claims Policy reserve

Reserve for policyholder dividends Due to reinsurers

Bonds

Other liabilities Borrowings

Income taxes payable Accounts payable Accrued expenses Unearned income Deposit received Guarantee deposits Derivatives

Cash collateral received for financial

instruments Lease obligations Suspense receipt Other liabilities

Reserve for bonuses to directors and

audit & supervisory board members Reserve for employees' retirement benefits Reserve for price fluctuations

Deferred tax liabilities

Deferred tax liabilities on land revaluation

6,318,824

6,341,086

22,262

18,385

17,845

(540)

6,258,038

6,281,713

23,674

42,400

41,528

(872)

67

76

8

20,000

20,000

-

102,320

152,731

50,411

30,000

30,000

-

1,630

894

(736)

12,869

5,871

(6,997)

9,630

9,334

(295)

2,247

1,899

(347)

686

653

(32)

5,414

5,413

(1)

8,883

6,570

(2,312)

29,223

88,925

59,702

1,063

2,140

1,076

669

1,025

356

3

3

-

81

37

(44)

30,341

30,296

(45)

95,199

104,130

8,930

30,811

6,168

(24,642)

5,434

5,434

-

Total liabilities

6,603,082

6,659,962

56,880

Net assets: Capital stock Capital surplus

Capital reserve Retained earnings

Other retained earnings

Provision for advanced depreciation on real estate

General reserve

Unappropriated retained earnings Total stockholders' equity

Net unrealized gains (losses) on

available-for-sale securities

Deferred gains (losses) on hedging instruments

Land revaluation

Total valuation and translation adjustments

62,500

62,500

-

62,500

62,500

-

62,500

62,500

-

154,336

146,974

(7,362)

154,336

146,974

(7,362)

541

533

(8)

40,000

40,000

-

113,794

106,440

(7,354)

279,336

271,974

(7,362)

254,272

196,557

(57,714)

(8,601)

(7,281)

1,320

(43,288)

(35,672)

7,615

202,382

153,603

(48,779)

Total net assets

481,718

425,577

(56,141)

Total liabilities and net assets

7,084,800

7,085,540

739

Taiyo Life Unaudited Non-Consolidated Statement of Operation

(Millions of yen)

Six months ended September 30, 2015

Six months ended September 30, 2016

Increase (Decrease)

Ordinary revenues

455,652

421,072

(34,579)

Income from insurance premiums

Insurance premiums

Ceded reinsurance recoveries

Investment income

Interest, dividends and income from real estate for rent

Interest income from deposits

Interest income and dividends from securities Interest income from loans

Interest from real estate for rent

Other income from interest and dividends Gains on sales of securities

Foreign exchange gains, net Other investment income

Other ordinary income

Income related to withheld insurance claims and other payments for future annuity payments Income due to withheld insurance payments Reversal of reserve for outstanding claims Reversal of policy reserve

Reversal of reserve for employee's retirement benefits

Other ordinary income

332,192

309,011

(23,180)

332,106

308,960

(23,146)

85

51

(34)

102,843

108,231

5,388

74,472

67,355

(7,116)

0

0

(0)

60,083

54,188

(5,895)

9,344

8,153

(1,191)

3,445

3,680

235

1,598

1,332

(265)

28,204

40,775

12,570

117

-

(117)

48

100

52

20,616

3,829

(16,786)

210

139

(71)

2,410

1,845

(564)

745

540

(204)

15,885

-

(15,885)

-

45

45

1,365

1,259

(105)

Ordinary expenses

412,431

381,325

(31,106)

Insurance claims and other payments

Insurance claims Annuity payments Insurance benefits Surrender payments Other payments Reinsurance premiums

Provision for policy and other reserves

Provision for policy reserve

Interest portion of reserve for policyholder dividends

Investment expenses

Interest expenses

Losses on sales of securities Devaluation losses on securities Losses from derivatives, net Foreign exchange losses, net

Provision for reserve for possible loan losses Depreciation of real estate for rent

Other investment expenses Losses on separate accounts, net

Operating expenses Other ordinary expenses

Payments related to withheld insurance claims Taxes

Depreciation

Reserve for employees' retirement benefits Other ordinary losses

341,308

273,449

(67,859)

117,753

91,115

(26,637)

97,102

96,724

(378)

36,959

35,897

(1,061)

60,498

32,503

(27,994)

28,748

16,922

(11,826)

246

286

39

7

23,679

23,671

-

23,674

23,674

7

4

(3)

18,787

29,329

10,541

596

270

(325)

3,219

15,873

12,653

0

-

(0)

12,745

10,165

(2,579)

-

121

121

16

59

43

1,126

1,221

94

1,073

1,608

534

8

8

(0)

36,525

37,973

1,447

15,802

16,893

1,091

8,659

9,490

831

3,163

3,335

172

2,812

3,124

311

136

-

(136)

1,030

942

(87)

Ordinary profit

43,220

39,747

(3,473)

(Millions of yen)

Six months ended September 30, 2015

Six months ended September 30, 2016

Increase (Decrease)

Extraordinary gains

3

239

235

Gains on disposal of fixed assets

3

239

235

Extraordinary losses

9,709

9,191

(518)

Losses on disposal of fixed assets

431

32

(398)

Impairment loss

146

10

(135)

Provision for reserve for price fluctuations

8,909

8,930

20

Head office transfer cost

222

-

(222)

Other extraordinary losses

-

217

217

Provision for reserve for policyholder dividends

9,409

8,991

(417)

Income before income taxes

24,105

21,804

(2,301)

Current income taxes

9,007

6,264

(2,742)

Deferred income taxes

(2,010)

(2,828)

(818)

Total income taxes

6,996

3,435

(3,560)

Net income (loss)

17,108

18,368

1,259

T&D Holdings Inc. published this content on 11 November 2016 and is solely responsible for the information contained herein.
Distributed by Public, unedited and unaltered, on 11 November 2016 06:19:08 UTC.

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