Mitsubishi UFJ Financial Group, Inc. (MUFG)
NYSE: MUFG · Real-Time Price · USD
18.55
+0.03 (0.16%)
Feb 4, 2026, 4:00 PM EST - Market closed

MUFG Balance Sheet

Millions JPY. Fiscal year is Apr - Mar.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Dec '25 Mar '25 Mar '24 Mar '23 Mar '22 Mar '21
Cash & Equivalents
89,184,343106,335,181107,106,528111,122,221106,828,714100,442,423
Investment Securities
111,048,27181,551,62184,157,96279,334,61074,746,46174,498,500
Trading Asset Securities
33,875,59250,141,02642,399,07634,760,89233,811,26339,412,201
Mortgage-Backed Securities
-5,812,5286,181,6085,023,6001,135,0592,454,469
Total Investments
144,923,863137,505,175132,738,646119,119,102109,692,783116,365,170
Gross Loans
131,897,745132,670,038129,163,914121,191,853114,273,275116,930,725
Allowance for Loan Losses
-1,199,555-1,243,075-1,356,961-1,272,898-1,470,701-1,348,391
Other Adjustments to Gross Loans
--442,790-486,709-401,012-322,230-308,882
Net Loans
130,698,190130,984,173127,320,244119,517,943112,480,344115,273,452
Property, Plant & Equipment
1,380,2951,167,0751,108,1891,087,6901,077,6321,213,539
Goodwill
-558,164493,758296,772303,611370,852
Other Intangible Assets
1,940,0441,402,5151,297,7601,174,2231,148,6011,173,639
Loans Held for Sale
-887,263971,514967,082514,109353,095
Accrued Interest Receivable
-761,358737,947500,506246,271259,336
Other Receivables
-2,319,9292,888,0012,549,4661,831,7541,563,200
Restricted Cash
1,224,1115,539,5217,127,6856,437,1196,818,0115,885,752
Other Current Assets
21,214,36912,011,4869,792,16213,121,46322,206,2776,539,078
Long-Term Deferred Tax Assets
134,990123,343142,773182,38879,191122,031
Other Long-Term Assets
27,407,6586,345,0286,095,3635,659,7584,422,7204,263,058
Total Assets
418,107,863405,940,211397,820,570381,735,733367,650,018353,824,625
Accounts Payable
-1,690,2021,821,4551,920,9451,311,0351,281,436
Accrued Expenses
201,8945,247,1225,228,1585,997,2355,076,8644,667,985
Interest Bearing Deposits
250,716,454212,594,965208,331,184197,472,832188,093,891190,685,831
Non-Interest Bearing Deposits
-36,820,04138,804,81637,803,94936,496,05238,521,105
Total Deposits
250,716,454249,415,006247,136,000235,276,781224,589,943229,206,936
Short-Term Borrowings
80,872,25598,909,36274,074,19372,960,39264,973,63257,600,332
Current Portion of Long-Term Debt
-3,988,204170---
Current Portion of Leases
-89,993----
Accrued Interest Payable
-560,982567,500385,92198,183110,856
Other Current Liabilities
14,030,6538,393,5519,170,0798,823,31519,432,3158,035,732
Long-Term Debt
26,353,86417,012,74339,986,59439,052,28534,680,49535,137,514
Long-Term Leases
-272,966355,322356,861400,287496,241
Pension & Post-Retirement Benefits
107,118103,957105,85989,09289,06293,730
Long-Term Deferred Tax Liabilities
672,493754,888612,681208,610530,267827,571
Other Long-Term Liabilities
22,343,347251,497245,472198,129171,413121,738
Total Liabilities
395,298,078386,690,473379,303,483365,269,566351,353,496337,580,071
Common Stock
2,141,5132,090,2702,090,2702,090,2702,090,2702,090,270
Additional Paid-In Capital
-4,300,0214,635,8924,902,1555,327,7725,533,761
Retained Earnings
15,533,88410,060,9309,326,0618,409,2818,412,2178,829,471
Treasury Stock
-799,427-726,925-614,111-482,552-452,224-503,072
Comprehensive Income & Other
4,487,3172,561,1902,237,625844,192227,033-289,481
Total Common Equity
21,363,28718,285,48617,675,73715,763,34615,605,06815,660,949
Minority Interest
1,446,498964,252841,350702,821691,454583,605
Shareholders' Equity
22,809,78519,249,73818,517,08716,466,16716,296,52216,244,554
Total Liabilities & Equity
418,107,863405,940,211397,820,570381,735,733367,650,018353,824,625
Total Debt
107,226,119120,273,268114,416,279112,369,538100,054,41493,234,087
Net Cash (Debt)
34,167,08360,685,24258,914,08352,128,28657,585,33563,770,203
Net Cash Growth
-16.48%3.01%13.02%-9.48%-9.70%39.87%
Net Cash Per Share
2979.405206.874917.464231.594499.544958.90
Filing Date Shares Outstanding
11,33511,50711,72612,02212,61512,845
Total Common Shares Outstanding
11,33511,50711,72612,02212,61512,845
Book Value Per Share
1884.721589.141507.371311.171237.051219.24
Tangible Book Value
19,423,24316,324,80715,884,21914,292,35114,152,85614,116,458
Tangible Book Value Per Share
1713.561418.741354.591188.821121.931099.00
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Banks template. Financial Sources.
SEC Filings: 10-K · 10-Q