Fukuoka Financial Group, Inc.TSE: 8354

Capital Structure Information for the Third Quarter of the Year Ending March 31, 2026

· Issued by Fukuoka Financial Group, Inc.

To whom it may concern:



Feb. 10, 2026

Company Name

Fukuoka Financial Group, Inc.

Representative

Hisashi Goto, Director & President

Head Office 8-3,Otemon 1 chome,Chuo-ku,Fukuoka

(Code No.8354 TSE Prime Market,FSE)

Contact

Toshiyuki Asano, General Manager,

Corporate Planning Division

Capital Structure Information for the Third Quarter of the Year Ending March 31, 2026

Pursuant to the Financial Services Agency Notification No. 7 of 2014, we hereby announce our Capital Structure Information

for the Third Quarter of the Year Ending March 31, 2026 as attached.

Items

Dec. 31, 2025

Sep. 30, 2025

Core Capital: instruments and reserves

Directly issued qualifying common stock or preferred stock mandatorily convertible into common stock capitalplus related capital surplus and retained earnings

984,585

957,817

of which: capital and capital surplus

268,777

268,777

of which: retained earnings

721,908

711,226

of which: treasury stock (-)

6,099

6,095

of which: earnings to be distributed (-)

-

16,091

of which: other than the above

-

-

Accumulated other comprehensive income included in Core Capital

6,166

4,718

of which: foreign currency translation adjustments

-

-

of which: remeasurements of defined benefit plans

6,166

4,718

Pre-emptive rights and subscription rights to acquire common stock or preferred stock

mandatorily convertible into common stock

-

-

Adjusted non-controlling interests (amount allowed to be included in Core Capital)

-

-

Reserves included in Core Capital: instruments and reserves

47,527

46,638

of which: general reserve for possible loan losses

3,982

3,977

of which: eligible provisions

43,545

42,660

Eligible Non-cumulative perpetual preferred stock subject to transitional arrangement

included in Core Capital: instruments and reserves

-

-

Capital instrument issued through the measures for strengthening capital by public

institutions included in Core Capital: instruments and reserves

-

-

Non-controlling interests included in Core Capital subject to transitional

arrangements

-

-

Core Capital: instruments and reserves (A)

1,038,280

1,009,173

Core Capital: regulatory adjustments

Total intangible fixed assets (net of related tax liability, excluding those relating to mortgage servicing rights)

23,160

20,782

of which: goodwill (including those equivalent)

-

-

of which: other intangible fixed assets other than goodwill and mortgage servicing

rights

23,160

20,782

Deferred tax assets that rely on future profitability excluding those arising from

temporary differences (net of related tax liability)

522

673

Shortfall of eligible provisions to expected losses

-

-

Gain on sale related to securitisation transactions

-

-

Gains and losses due to changes in own credit risk on fair valued liabilities

-

-

Net defined benefit asset

22,481

19,883

Investments in own shares (excluding those reported in the Net Assets)

164

134

Reciprocal cross-holdings in relevant capital instruments issued by Other Financial

Institutions

-

-

Items

Dec. 31, 2025

Sep. 30, 2025

Investments in the capital of banking, financial and insurance entities that are outside

the scope of regulatory consolidation ('Other Financial Institutions'), net of eligible short positions, where the bank does not own more than 10% of the issued share capital (amount above the 10% threshold)

-

-

Amount exceeding the 10% threshold on specified items

-

-

of which: significant investments in the common stock of Other Financial Institutions, net of eligible short positions

-

-

of which: mortgage servicing rights

-

-

of which: deferred tax assets arising from temporary differences (net of related tax

liability)

-

-

Amount exceeding the 15% threshold on specified items

-

-

of which: significant investments in the common stock of Other Financial Institutions, net of eligible short positions

-

-

of which: mortgage servicing rights

-

-

of which: deferred tax assets arising from temporary differences (net of related tax

liability)

-

-

Core Capital: regulatory adjustments (B)

46,328

41,474

Total capital

Total capital ((A)-(B)) (C)

991,951

967,698

Risk weighted assets

Credit risk weighted assets

7,732,815

7,577,514

of which: the amount of risk-weighted assets calculated using the transitional measures for exposures to eligible capital instruments of other financial institutions, etc., less the amount of risk-weighted assets calculated without using the

transitional measures

(754)

(750)

Amount equivalent to market risk × 12.5

-

-

Capital charge for switch between trading book and banking book

-

-

Amount equivalent to operational risk × 12.5

341,567

341,567

Output floor

-

-

Total amount of risk weighted assets (D)

8,074,383

7,919,082

Capital adequacy ratio (consolidated)

Capital adequacy ratio (consolidated) ((C)/(D))

12.28

%

12.21

%

* Credit risk: Advanced internal ratings-based approach

Items

Dec. 31, 2025

Sep. 30, 2025

Core Capital: instruments and reserves

Directly issued qualifying common stock or preferred stock mandatorily convertible into common stock capitalplus related capital surplus and retained earnings

711,781

685,288

of which: capital and capital surplus

142,917

142,917

of which: retained earnings

568,864

565,236

of which: treasury stock (-)

-

-

of which: earnings to be distributed (-)

-

22,864

of which: other than the above

-

-

Accumulated other comprehensive income included in Core Capital

4,159

2,587

of which: foreign currency translation adjustments

-

-

of which: remeasurements of defined benefit plans

4,159

2,587

Pre-emptive rights and subscription rights to acquire common stock or preferred stock

mandatorily convertible into common stock

-

-

Adjusted non-controlling interests (amount allowed to be included in Core Capital)

-

-

Reserves included in Core Capital: instruments and reserves

32,872

32,050

of which: general reserve for possible loan losses

137

136

of which: eligible provisions

32,734

31,913

Eligible Non-cumulative perpetual preferred stock subject to transitional arrangement

included in Core Capital: instruments and reserves

-

-

Capital instrument issued through the measures for strengthening capital by public

institutions included in Core Capital: instruments and reserves

-

-

Non-controlling interests included in Core Capital subject to transitional

arrangements

-

-

Core Capital: instruments and reserves (A)

748,813

719,926

Core Capital: regulatory adjustments

Total intangible fixed assets (net of related tax liability, excluding those relating to mortgage servicing rights)

13,964

12,552

of which: goodwill (including those equivalent)

-

-

of which: other intangible fixed assets other than goodwill and mortgage servicing

rights

13,964

12,552

Deferred tax assets that rely on future profitability excluding those arising from

temporary differences (net of related tax liability)

0

4

Shortfall of eligible provisions to expected losses

-

-

Gain on sale related to securitisation transactions

-

-

Gains and losses due to changes in own credit risk on fair valued liabilities

-

-

Net defined benefit asset

11,808

9,759

Investments in own shares (excluding those reported in the Net Assets)

-

-

Reciprocal cross-holdings in relevant capital instruments issued by Other Financial

Institutions

-

-

Items

Dec. 31, 2025

Sep. 30, 2025

Investments in the capital of banking, financial and insurance entities that are outside

the scope of regulatory consolidation ('Other Financial Institutions'), net of eligible short positions, where the bank does not own more than 10% of the issued share capital (amount above the 10% threshold)

-

-

Amount exceeding the 10% threshold on specified items

11,467

18,496

of which: significant investments in the common stock of Other Financial Institutions, net of eligible short positions

11,467

18,496

of which: mortgage servicing rights

-

-

of which: deferred tax assets arising from temporary differences (net of related tax

liability)

-

-

Amount exceeding the 15% threshold on specified items

7,844

10,072

of which: significant investments in the common stock of Other Financial Institutions, net of eligible short positions

5,001

6,363

of which: mortgage servicing rights

-

-

of which: deferred tax assets arising from temporary differences (net of related tax

liability)

2,842

3,709

Core Capital: regulatory adjustments (B)

45,085

50,885

Total capital

Total capital ((A)-(B)) (C)

703,728

669,041

Risk weighted assets

Credit risk weighted assets

5,629,807

5,493,143

of which: the amount of risk-weighted assets calculated using the transitional measures for exposures to eligible capital instruments of other financial institutions, etc., less the amount of risk-weighted assets calculated without using the

transitional measures

-

-

Amount equivalent to market risk × 12.5

-

-

Capital charge for switch between trading book and banking book

-

-

Amount equivalent to operational risk × 12.5

209,108

209,108

Output floor

383,014

361,684

Total amount of risk weighted assets (D)

6,221,930

6,063,936

Capital adequacy ratio (consolidated)

Capital adequacy ratio (consolidated) ((C)/(D))

11.31

%

11.03

%

* Credit risk: Advanced internal ratings-based approach

Items

Dec. 31, 2025

Sep. 30, 2025

Core Capital: instruments and reserves

Directly issued qualifying common stock or preferred stock mandatorily convertible into common stock capitalplus related capital surplus and retained earnings

664,886

639,708

of which: capital and capital surplus

142,810

142,810

of which: retained earnings

522,075

519,762

of which: treasury stock (-)

-

-

of which: earnings to be distributed (-)

-

22,864

of which: other than the above

-

-

Pre-emptive rights and subscription rights to acquire common stock or preferred stock

mandatorily convertible into common stock

-

-

Reserves included in Core Capital: instruments and reserves

28,263

27,421

of which: general reserve for possible loan losses

5

9

of which: eligible provisions

28,257

27,412

Eligible Non-cumulative perpetual preferred stock subject to transitional arrangement

included in Core Capital: instruments and reserves

-

-

Capital instrument issued through the measures for strengthening capital by public

institutions included in Core Capital: instruments and reserves

-

-

Core Capital: instruments and reserves (A)

693,149

667,130

Core Capital: regulatory adjustments

Total intangible fixed assets (net of related tax liability, excluding those relating to mortgage servicing rights)

13,608

12,218

of which: goodwill (including those equivalent)

-

-

of which: other intangible fixed assets other than goodwill and mortgage servicing

rights

13,608

12,218

Deferred tax assets that rely on future profitability excluding those arising from

temporary differences (net of related tax liability)

-

-

Shortfall of eligible provisions to expected losses

-

-

Gain on sale related to securitisation transactions

-

-

Gains and losses due to changes in own credit risk on fair valued liabilities

-

-

Prepaid pension cost

7,648

7,171

Investments in own shares (excluding those reported in the Net Assets)

-

-

Reciprocal cross-holdings in relevant capital instruments issued by Other Financial

Institutions

-

-

Items

Dec. 31, 2025

Sep. 30, 2025

Investments in the capital of banking, financial and insurance entities that are outside

the scope of regulatory consolidation ('Other Financial Institutions'), net of eligible short positions, where the bank does not own more than 10% of the issued share capital (amount above the 10% threshold)

-

-

Amount exceeding the 10% threshold on specified items

16,610

23,526

of which: significant investments in the common stock of Other Financial Institutions, net of eligible short positions

16,610

23,526

of which: mortgage servicing rights

-

-

of which: deferred tax assets arising from temporary differences (net of related tax

liability)

-

-

Amount exceeding the 15% threshold on specified items

168

2,156

of which: significant investments in the common stock of Other Financial Institutions, net of eligible short positions

114

1,462

of which: mortgage servicing rights

-

-

of which: deferred tax assets arising from temporary differences (net of related tax

liability)

53

693

Core Capital: regulatory adjustments (B)

38,037

45,072

Total capital

Total capital ((A)-(B)) (C)

655,112

622,057

Risk weighted assets

Credit risk weighted assets

5,348,137

5,214,615

of which: the amount of risk-weighted assets calculated using the transitional measures for exposures to eligible capital instruments of other financial institutions, etc., less the amount of risk-weighted assets calculated without using the

transitional measures

-

-

Amount equivalent to market risk × 12.5

-

-

Capital charge for switch between trading book and banking book

-

-

Amount equivalent to operational risk × 12.5

197,913

197,913

Output floor

318,882

302,043

Total amount of risk weighted assets (D)

5,864,933

5,714,572

Capital adequacy ratio (Non-consolidated)

Capital adequacy ratio (Non-consolidated) ((C)/(D))

11.16

%

10.88

%

* Credit risk: Advanced internal ratings-based approach

Items

Dec. 31, 2025

Sep. 30, 2025

Core Capital: instruments and reserves

Directly issued qualifying common stock or preferred stock mandatorily convertible into common stock capitalplus related capital surplus and retained earnings

89,010

87,183

of which: capital and capital surplus

67,694

67,694

of which: retained earnings

21,316

23,289

of which: treasury stock (-)

-

-

of which: earnings to be distributed (-)

-

3,801

of which: other than the above

-

-

Pre-emptive rights and subscription rights to acquire common stock or preferred stock

mandatorily convertible into common stock

-

-

Reserves included in Core Capital: instruments and reserves

3,985

3,906

of which: general reserve for possible loan losses

-

-

of which: eligible provisions

3,985

3,906

Eligible Non-cumulative perpetual preferred stock subject to transitional arrangement

included in Core Capital: instruments and reserves

-

-

Capital instrument issued through the measures for strengthening capital by public

institutions included in Core Capital: instruments and reserves

-

-

Core Capital: instruments and reserves (A)

92,996

91,089

Core Capital: regulatory adjustments

Total intangible fixed assets (net of related tax liability, excluding those relating to mortgage servicing rights)

1,476

1,179

of which: goodwill (including those equivalent)

-

-

of which: other intangible fixed assets other than goodwill and mortgage servicing

rights

1,476

1,179

Deferred tax assets that rely on future profitability excluding those arising from

temporary differences (net of related tax liability)

-

-

Shortfall of eligible provisions to expected losses

-

-

Gain on sale related to securitisation transactions

-

-

Gains and losses due to changes in own credit risk on fair valued liabilities

-

-

Prepaid pension cost

2,927

2,787

Investments in own shares (excluding those reported in the Net Assets)

-

-

Reciprocal cross-holdings in relevant capital instruments issued by Other Financial

Institutions

-

-

Items

Dec. 31, 2025

Sep. 30, 2025

Investments in the capital of banking, financial and insurance entities that are outside

the scope of regulatory consolidation ('Other Financial Institutions'), net of eligible short positions, where the bank does not own more than 10% of the issued share capital (amount above the 10% threshold)

-

-

Amount exceeding the 10% threshold on specified items

318

274

of which: significant investments in the common stock of Other Financial Institutions, net of eligible short positions

-

-

of which: mortgage servicing rights

-

-

of which: deferred tax assets arising from temporary differences (net of related tax

liability)

318

274

Amount exceeding the 15% threshold on specified items

-

-

of which: significant investments in the common stock of Other Financial Institutions, net of eligible short positions

-

-

of which: mortgage servicing rights

-

-

of which: deferred tax assets arising from temporary differences (net of related tax

liability)

-

-

Core Capital: regulatory adjustments (B)

4,722

4,241

Total capital

Total capital ((A)-(B)) (C)

88,273

86,848

Risk weighted assets

Credit risk weighted assets

667,385

654,438

of which: the amount of risk-weighted assets calculated using the transitional measures for exposures to eligible capital instruments of other financial institutions, etc., less the amount of risk-weighted assets calculated without using the

transitional measures

-

-

Amount equivalent to market risk × 12.5

-

-

Capital charge for switch between trading book and banking book

-

-

Amount equivalent to operational risk × 12.5

25,003

25,003

Output floor

102,172

95,683

Total amount of risk weighted assets (D)

794,561

775,125

Capital adequacy ratio (Non-consolidated)

Capital adequacy ratio (Non-consolidated) ((C)/(D))

11.10

%

11.20

%

* Credit risk: Foundation internal ratings-based approach

Items

Dec. 31, 2025

Sep. 30, 2025

Core Capital: instruments and reserves

Directly issued qualifying common stock or preferred stock mandatorily convertible into common stock capitalplus related capital surplus and retained earnings

223,953

218,608

of which: capital and capital surplus

118,075

118,075

of which: retained earnings

105,878

114,278

of which: treasury stock (-)

-

-

of which: earnings to be distributed (-)

-

13,745

of which: other than the above

-

-

Pre-emptive rights and subscription rights to acquire common stock or preferred stock

mandatorily convertible into common stock

-

-

Reserves included in Core Capital: instruments and reserves

6,686

6,345

of which: general reserve for possible loan losses

-

-

of which: eligible provisions

6,686

6,345

Eligible Non-cumulative perpetual preferred stock subject to transitional arrangement

included in Core Capital: instruments and reserves

-

-

Capital instrument issued through the measures for strengthening capital by public

institutions included in Core Capital: instruments and reserves

-

-

Core Capital: instruments and reserves (A)

230,640

224,953

Core Capital: regulatory adjustments

Total intangible fixed assets (net of related tax liability, excluding those relating to mortgage servicing rights)

2,946

2,358

of which: goodwill (including those equivalent)

-

-

of which: other intangible fixed assets other than goodwill and mortgage servicing

rights

2,946

2,358

Deferred tax assets that rely on future profitability excluding those arising from

temporary differences (net of related tax liability)

582

753

Shortfall of eligible provisions to expected losses

-

-

Gain on sale related to securitisation transactions

-

-

Gains and losses due to changes in own credit risk on fair valued liabilities

-

-

Prepaid pension cost

3,739

3,307

Investments in own shares (excluding those reported in the Net Assets)

-

-

Reciprocal cross-holdings in relevant capital instruments issued by Other Financial

Institutions

-

-

Items

Dec. 31, 2025

Sep. 30, 2025

Investments in the capital of banking, financial and insurance entities that are outside

the scope of regulatory consolidation ('Other Financial Institutions'), net of eligible short positions, where the bank does not own more than 10% of the issued share capital (amount above the 10% threshold)

-

-

Amount exceeding the 10% threshold on specified items

-

-

of which: significant investments in the common stock of Other Financial Institutions, net of eligible short positions

-

-

of which: mortgage servicing rights

-

-

of which: deferred tax assets arising from temporary differences (net of related tax

liability)

-

-

Amount exceeding the 15% threshold on specified items

-

-

of which: significant investments in the common stock of Other Financial Institutions, net of eligible short positions

-

-

of which: mortgage servicing rights

-

-

of which: deferred tax assets arising from temporary differences (net of related tax

liability)

-

-

Core Capital: regulatory adjustments (B)

7,268

6,419

Total capital

Total capital ((A)-(B)) (C)

223,371

218,534

Risk weighted assets

Credit risk weighted assets

1,856,616

1,815,421

of which: the amount of risk-weighted assets calculated using the transitional measures for exposures to eligible capital instruments of other financial institutions, etc., less the amount of risk-weighted assets calculated without using the

transitional measures

-

-

Amount equivalent to market risk × 12.5

-

-

Capital charge for switch between trading book and banking book

-

-

Amount equivalent to operational risk × 12.5

60,484

60,484

Output floor

73,172

55,168

Total amount of risk weighted assets (D)

1,990,273

1,931,074

Capital adequacy ratio (Non-consolidated)

Capital adequacy ratio (Non-consolidated) ((C)/(D))

11.22

%

11.31

%

* Credit risk: Foundation internal ratings-based approach

Items

Dec. 31, 2025

Sep. 30, 2025

Core Capital: instruments and reserves

Directly issued qualifying common stock or preferred stock mandatorily convertible into common stock capitalplus related capital surplus and retained earnings

33,978

23,413

of which: capital and capital surplus

16,703

6,703

of which: retained earnings

17,274

16,994

of which: treasury stock (-)

-

-

of which: earnings to be distributed (-)

-

284

of which: other than the above

-

-

Pre-emptive rights and subscription rights to acquire common stock or preferred stock

mandatorily convertible into common stock

-

-

Reserves included in Core Capital: instruments and reserves

3,463

3,257

of which: general reserve for possible loan losses

3,463

3,257

of which: eligible provisions

-

-

Eligible Non-cumulative perpetual preferred stock subject to transitional arrangement

included in Core Capital: instruments and reserves

-

-

Capital instrument issued through the measures for strengthening capital by public

institutions included in Core Capital: instruments and reserves

-

-

Core Capital: instruments and reserves (A)

37,442

26,670

Core Capital: regulatory adjustments

Total intangible fixed assets (net of related tax liability, excluding those relating to mortgage servicing rights)

147

160

of which: goodwill (including those equivalent)

-

-

of which: other intangible fixed assets other than goodwill and mortgage servicing

rights

147

160

Deferred tax assets that rely on future profitability excluding those arising from

temporary differences (net of related tax liability)

67

80

Shortfall of eligible provisions to expected losses

-

-

Gain on sale related to securitisation transactions

-

-

Gains and losses due to changes in own credit risk on fair valued liabilities

-

-

Prepaid pension cost

1,939

1,910

Investments in own shares (excluding those reported in the Net Assets)

-

-

Reciprocal cross-holdings in relevant capital instruments issued by Other Financial

Institutions

-

-

Items

Dec. 31, 2025

Sep. 30, 2025

Investments in the capital of banking, financial and insurance entities that are outside

the scope of regulatory consolidation ('Other Financial Institutions'), net of eligible short positions, where the bank does not own more than 10% of the issued share capital (amount above the 10% threshold)

-

-

Amount exceeding the 10% threshold on specified items

-

-

of which: significant investments in the common stock of Other Financial Institutions, net of eligible short positions

-

-

of which: mortgage servicing rights

-

-

of which: deferred tax assets arising from temporary differences (net of related tax

liability)

-

-

Amount exceeding the 15% threshold on specified items

-

-

of which: significant investments in the common stock of Other Financial Institutions, net of eligible short positions

-

-

of which: mortgage servicing rights

-

-

of which: deferred tax assets arising from temporary differences (net of related tax

liability)

-

-

Core Capital: regulatory adjustments (B)

2,154

2,151

Total capital

Total capital ((A)-(B)) (C)

35,288

24,519

Risk weighted assets

Credit risk weighted assets

277,115

260,619

of which: the amount of risk-weighted assets calculated using the transitional measures for exposures to eligible capital instruments of other financial institutions, etc., less the amount of risk-weighted assets calculated without using the

transitional measures

(754)

(750)

Amount equivalent to market risk × 12.5

-

-

Capital charge for switch between trading book and banking book

-

-

Amount equivalent to operational risk × 12.5

13,222

13,222

Output floor

-

-

Total amount of risk weighted assets (D)

290,337

273,842

Capital adequacy ratio (Non-consolidated)

Capital adequacy ratio (Non-consolidated) ((C)/(D))

12.15

%

8.95

%

* Credit risk: Standardised approach

Items

Dec. 31, 2025

Sep. 30, 2025

Core Capital: instruments and reserves

Directly issued qualifying common stock or preferred stock mandatorily convertible into common stock capitalplus related capital surplus and retained earnings

8,698

9,677

of which: capital and capital surplus

17,389

17,389

of which: retained earnings

(8,691)

(7,711)

of which: treasury stock (-)

-

-

of which: earnings to be distributed (-)

-

-

of which: other than the above

-

-

Pre-emptive rights and subscription rights to acquire common stock or preferred stock

mandatorily convertible into common stock

-

-

Reserves included in Core Capital: instruments and reserves

330

298

of which: general reserve for possible loan losses

330

298

of which: eligible provisions

-

-

Eligible Non-cumulative perpetual preferred stock subject to transitional arrangement

included in Core Capital: instruments and reserves

-

-

Capital instrument issued through the measures for strengthening capital by public

institutions included in Core Capital: instruments and reserves

-

-

Core Capital: instruments and reserves (A)

9,028

9,976

Core Capital: regulatory adjustments

Total intangible fixed assets (net of related tax liability, excluding those relating to mortgage servicing rights)

-

-

of which: goodwill (including those equivalent)

-

-

of which: other intangible fixed assets other than goodwill and mortgage servicing

rights

-

-

Deferred tax assets that rely on future profitability excluding those arising from

temporary differences (net of related tax liability)

-

-

Shortfall of eligible provisions to expected losses

-

-

Gain on sale related to securitisation transactions

-

-

Gains and losses due to changes in own credit risk on fair valued liabilities

-

-

Prepaid pension cost

-

-

Investments in own shares (excluding those reported in the Net Assets)

-

-

Reciprocal cross-holdings in relevant capital instruments issued by Other Financial

Institutions

-

-

Items

Dec. 31, 2025

Sep. 30, 2025

Investments in the capital of banking, financial and insurance entities that are outside

the scope of regulatory consolidation ('Other Financial Institutions'), net of eligible short positions, where the bank does not own more than 10% of the issued share capital (amount above the 10% threshold)

-

-

Amount exceeding the 10% threshold on specified items

-

-

of which: significant investments in the common stock of Other Financial Institutions, net of eligible short positions

-

-

of which: mortgage servicing rights

-

-

of which: deferred tax assets arising from temporary differences (net of related tax

liability)

-

-

Amount exceeding the 15% threshold on specified items

-

-

of which: significant investments in the common stock of Other Financial Institutions, net of eligible short positions

-

-

of which: mortgage servicing rights

-

-

of which: deferred tax assets arising from temporary differences (net of related tax

liability)

-

-

Core Capital: regulatory adjustments (B)

-

-

Total capital

Total capital ((A)-(B)) (C)

9,028

9,976

Risk weighted assets

Credit risk weighted assets

26,420

23,862

of which: the amount of risk-weighted assets calculated using the transitional measures for exposures to eligible capital instruments of other financial institutions, etc., less the amount of risk-weighted assets calculated without using the

transitional measures

-

-

Amount equivalent to market risk × 12.5

-

-

Capital charge for switch between trading book and banking book

-

-

Amount equivalent to operational risk × 12.5

3,491

3,491

Output floor

-

-

Total amount of risk weighted assets (D)

29,912

27,354

Capital adequacy ratio (Non-consolidated)

Capital adequacy ratio (Non-consolidated) ((C)/(D))

30.18

%

36.47

%

* Credit risk: Standardised approach

Company analysis

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