Mitsubishi UFJ Financial Group, Inc. (MUFG)
NYSE: MUFG · Real-Time Price · USD
19.18
+0.34 (1.80%)
May 18, 2026, 4:00 PM EDT - Market closed

MUFG Balance Sheet

Millions JPY. Fiscal year is Apr - Mar.
Fiscal Year
FY 2026FY 2025FY 2024FY 2023FY 2022
Period Ending
Mar '26 Mar '25 Mar '24 Mar '23 Mar '22
Cash & Equivalents
90,045,500109,095,000110,119,000113,630,000110,763,000
Securities and Investments
85,714,80086,125,40062,399,30086,746,90079,560,600
Short-Term Interbank Lending and Reverse Repurchase Agreements
23,431,90025,739,30025,563,20019,168,90017,698,500
Trading Assets
39,995,30026,142,90049,769,40018,013,20017,704,500
Other Earning Assets
10,968,6009,618,420-10,912,40010,100,200
Gross Loans
133,799,000121,436,000-109,146,000110,426,000
Allowance for Loan Losses
-1,229,950-1,214,870-1,356,960-1,245,730-1,222,160
Net Loans
132,570,000120,221,000126,553,000107,901,000109,204,000
Net Property, Plant & Equipment
1,417,3001,240,100872,6411,220,170-
Accrued Interest and Accounts Receivable
--435,072--
Other Intangible Assets
1,955,9901,875,5501,297,7601,358,120-
Goodwill
511,465530,386493,758252,009271,353
Other Non-Earning Assets
45,632,50033,055,10020,317,50027,849,10026,120,700
Total Assets
431,732,000413,114,000397,821,000386,799,000373,732,000
Interest-bearing deposits
257,041,000245,887,000-227,242,000226,366,000
Total Deposits
257,041,000245,887,000247,136,000227,242,000226,366,000
Short-Term Interbank Borrowing and Repurchase Agreements
45,651,90049,131,90041,801,60044,604,10031,121,600
Short-Term Borrowings
7,542,8009,786,28015,801,30014,957,60016,236,500
Trading Liabilities
32,038,70019,362,60016,579,50014,716,80012,397,700
Accounts Payable
2,715,0502,508,460435,0722,570,4102,182,400
Accrued Expenses
429,512378,776-315,030251,307
Long-Term Debt
25,150,60036,120,90040,012,80040,565,10045,020,700
Other Liabilities
37,418,10028,209,70017,537,20023,555,50022,167,300
Total Liabilities
407,987,000391,385,000379,303,000368,527,000355,744,000
Common Stock
2,141,5102,141,5102,090,2702,141,5102,141,510
Treasury Stock
-934,137-726,631-614,111-481,091-451,288
Additional Paid-in Capital
--4,635,890349,661770,277
Accumulated Other Comprehensive Income
5,999,7905,199,0702,237,6304,963,9605,130,230
Retained Earnings
16,150,40014,845,6009,326,06012,739,20011,998,200
Total Common Shareholders' Equity
17,357,80016,260,50017,675,70014,749,30014,458,700
Minority Interest
1,470,2101,207,760841,3501,041,570964,471
Shareholders' Equity
23,744,20021,728,10018,517,10018,272,90017,988,200
Total Liabilities & Equity
431,732,000413,114,000397,821,000386,799,000373,732,000
Total Debt
25,150,60036,120,90040,012,80040,565,10045,020,700
Net Cash (Debt)
-25,150,600-36,120,900-40,012,800-40,565,100-45,020,700
Net Cash Per Share
-2208.83-3099.18-3339.69-3292.89-3517.79
Book Value
17,357,80016,260,50017,675,70014,749,30014,458,700
Book Value Per Share
1524.431395.151475.311197.281129.76
Tangible Book Value
14,890,30013,854,60015,884,20013,139,20014,187,300
Tangible Book Value Per Share
1307.731188.721325.781066.581108.56
Updated May 16, 2026. Data Source: Fiscal.ai. Banks template. Financial Sources.
SEC Filings: 10-K · 10-Q