Primary contents from here.
Financial Strategy / Risk Management / Management System
Strengthen Financial Position
Uphold financial discipline resolutely, improve key financial ratios
Recover NET DER to less than two times by end of FY2010 (SFAS160 not applied)
Maintain financial discipline of keeping increases in risk assets within increases in consolidated stockholders' equity
Reorganize overseas Intra-group Loan System, move toward global capital management
Upgrade Risk Management
Continue risk dispersal (limits for assets in particular areas, country risk limits)
Move toward Enterprise Risk Management
Evolve Management Systems
Advance corporate social responsibility
Strengthen corporate governance
Realize rigorous internal control
Continue to advance operational reforms (ITOCHU DNA Project)
Challenge of ITOCHU
ITOCHU's Focus on China
General Trading Company—The Key Phrase for Understanding ITOCHU
Annual Report
CSR Report