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Item 11 — Quantitative and Qualitative Disclosures About Market Risk
Sony Group Corporation · 20-F · FY 2026 · Period ended Mar 31, 2026
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Sony’s business is continuously exposed to market fluctuation, such as fluctuations in currency exchange rates, interest rates or stock prices. For risk management policies and exposures for each risk, refer to Note 6 of the consolidated financial statements. For derivative instruments and hedging activities utilized by Sony to reduce such risk, refer to Note 15 of the consolidated financial statements.