Amendments to Financial Results for the Fiscal Year Ended March 31, 2011
The above financial results have been updated to reflect the following amendments made in December 2011:
Page 33.
10. Solvency Margin Ratio
Before correction | After correction | |
|---|---|---|
Total risk (B) (as of March 31, 2011) |
673,740 |
673,739 |
Investment risk R3 (as of March 31, 2011) |
475,888 |
475,887 |
Page 34.
(Reference). Solvency Margin Ratio under the New Standards to Be Officially Applied at the end of Fiscal Year ending March 31, 2012
Before correction | After correction | |
|---|---|---|
Total risk (B) (as of March 31, 2011) |
1,112,943 |
1,112,941 |
Investment risk R3 (as of March 31, 2011) |
754,114 |
754,112 |
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