令和5年4月1日から令和6年3月31日まで
(単位:円)
科目 | 当年度 | 前年度 | 増減 |
---|---|---|---|
T 一般正味財産増減の部 | |||
1.経常増減の部 | |||
(1)経常収益 | |||
拠出金収益 | [2,153,993,132] | [2,188,243,232] | [△34,250,100] |
拠出金収益 | 2,057,843,132 | 2,092,473,232 | △34,630,100 |
第二種掛金収益 | 96,150,000 | 95,770,000 | 380,000 |
運用財産運用収益 | [4,431,380,309] | [2,330,860,947] | [2,100,519,362] |
年金信託収益 | (4,431,348,879) | (2,330,830,537) | (2,100,518,342) |
基金運用信託収益 | 348,465,478 | △128,309,385 | 476,774,863 |
金銭の信託収益 | △323,014,975 | △181,379,561 | △141,635,414 |
年金信託指定単収益 | 4,405,898,376 | 2,640,519,483 | 1,765,378,893 |
預金利息収益 | 31,430 | 30,410 | 1,020 |
経常収益計 | 6,585,373,441 | 4,519,104,179 | 2,066,269,262 |
(2)経常費用 | |||
事業費 | [2,078,852,448] | [1,873,519,034] | [205,333,414] |
退職金給付資金 | (2,078,852,448) | (1,873,519,034) | (205,333,414) |
退職金給付資金 | 1,982,417,759 | 1,771,026,458 | 211,391,301 |
第二種退職一時金 | 50,604,728 | 57,706,878 | △7,102,150 |
信託報酬手数料 | 45,829,961 | 44,785,698 | 1,044,263 |
引当金繰入額 | [2,011,106,709] | [△278,093,477] | [2,289,200,186] |
退職給付資金引当金繰入額 | 2,011,106,709 | △278,093,477 | 2,289,200,186 |
経常費用計 | 4,089,959,157 | 1,595,425,557 | 2,494,533,600 |
評価損益等調整前当期経常増減額 | 2,495,414,284 | 2,923,678,622 | △428,264,338 |
特定資産評価損益等 | △2,465,787,442 | △2,646,987,136 | 181,199,694 |
評価損益等計 | △2,465,787,442 | △2,646,987,136 | 181,199,694 |
当期経常増減額 | 29,626,842 | 276,691,486 | △247,064,644 |
2.経常外増減の部 | |||
(1)経常外収益 | |||
経常外収益計 | 0 | 0 | 0 |
(2)経常外費用 | |||
経常外費用計 | 0 | 0 | 0 |
当期経常外増減額 | 0 | 0 | 0 |
当期一般正味財産増減額 | 29,626,842 | 276,691,486 | △247,064,644 |
一般正味財産期首残高 | 1,413,885,693 | 1,137,194,207 | 276,691,486 |
一般正味財産期末残高 | 1,443,512,535 | 1,413,885,693 | 29,626,842 |
U 指定正味財産増減の部 | |||
当期指定正味財産増減額 | 0 | 0 | 0 |
指定正味財産期首残高 | 0 | 0 | 0 |
指定正味財産期末残高 | 0 | 0 | 0 |
V 正味財産期末残高 | 1,443,512,535 | 1,413,885,693 | 29,626,842 |