v3.25.2
Variable Interest Entities (Tables)
12 Months Ended
Mar. 31, 2025
Variable Interest Entities [Abstract]  
Assets and Liabilities of Variable Interest Entities
The following tables present the assets and liabilities of consolidated VIEs recorded on the accompanying consolidated balance sheets at March 31, 2024 and 2025:
Consolidated VIEs
Consolidated assets
At March 31, 2024 (As Adjusted):
Total
 
Cash and
 due from
 banks
 
Interest-earning
 deposits in
 other banks
 
Trading
 account
 assets
 
Investment
 securities
 
Loans
 
All other
 assets
 
(in millions)
Asset-backed conduits¥8,186,919 ¥66,761 ¥33,826 ¥45,689 ¥860,760 ¥7,045,964 ¥133,919 
Investment funds1,662,843 1,759 30,748 337,619 77,334 — 1,215,383 
Special purpose entities created for structured financing248,049 — 3,820 — — 143,688 100,541 
Repackaged instruments296,435 9,892 — 137,795 132,951 15,000 797 
Securitization of the MUFG Group’s assets10,447,956 — 1,664 — — 10,428,225 18,067 
Trust arrangements5,352,775 — — 803,348 1,811,498 2,737,908 21 
Other85,008 470 5,366 14,059 38,219 2,481 24,413 
Total consolidated assets before elimination26,279,985 78,882 75,424 1,338,510 2,920,762 20,373,266 1,493,141 
The amounts eliminated in consolidation(3,671,326)(68,736)(41,258)(72,217)(600,219)(2,859,135)(29,761)
Total consolidated assets¥22,608,659 ¥10,146 ¥34,166 ¥1,266,293 ¥2,320,543 ¥17,514,131 ¥1,463,380 
 
Consolidated liabilities
 
Total
 
Deposits
 
Other short-term
 borrowings
 
Long-term
 debt
 
All other
 liabilities
 
(in millions)
Asset-backed conduits¥8,162,014 ¥— ¥6,331,278 ¥1,371,157 ¥459,579 
Investment funds1,147,832 — 1,136,495 8,772 2,565 
Special purpose entities created for structured financing136,230 — — 117,947 18,283 
Repackaged instruments301,045 — — 287,192 13,853 
Securitization of the MUFG Group’s assets10,460,439 — — 10,454,694 5,745 
Trust arrangements5,352,880 3,292,449 1,131,120 — 929,311 
Other78,350 — 966 54,159 23,225 
Total consolidated liabilities before elimination25,638,790 3,292,449 8,599,859 12,293,921 1,452,561 
The amounts eliminated in consolidation(16,806,678)(432)(4,242,371)(11,888,346)(675,529)
The amount of liabilities with recourse to the general credit of the MUFG Group(8,275,821)(3,292,017)(4,311,280)(26,558)(645,966)
Liabilities of consolidated VIEs for which creditors or beneficial interest holders do not have recourse to the general credit of the MUFG Group¥556,291 ¥— ¥46,208 ¥379,017 ¥131,066 
Consolidated VIEs
Consolidated assets
At March 31, 2025:
Total
 
Cash and
 due from
 banks
 
Interest-earning
 deposits in
 other banks
 
Trading
 account
 assets
 
Investment
 securities
 
Loans
 
All other
 assets
 
(in millions)
Asset-backed conduits¥7,814,826 ¥57,908 ¥11,001 ¥87,129 ¥1,094,698 ¥6,531,210 ¥32,880 
Investment funds2,255,725 8,623 48,396 420,259 90,580 — 1,687,867 
Special purpose entities created for structured financing313,346 — 14,509 — — 158,337 140,500 
Repackaged instruments377,261 5,500 — 203,970 142,283 15,000 10,508 
Securitization of the MUFG Group’s assets10,113,082 — 174 — — 10,100,566 12,342 
Trust arrangements3,618,564 — — 740,514 1,661,663 1,216,343 44 
Other237,291 1,897 6,050 8,024 38,657 3,997 178,666 
Total consolidated assets before elimination24,730,095 73,928 80,130 1,459,896 3,027,881 18,025,453 2,062,807 
The amounts eliminated in consolidation(2,241,877)(65,287)(57,994)(80,669)(549,600)(1,316,204)(172,123)
Total consolidated assets¥22,488,218 ¥8,641 ¥22,136 ¥1,379,227 ¥2,478,281 ¥16,709,249 ¥1,890,684 
 
Consolidated liabilities
 
Total
 
Deposits
 
Other short-term
 borrowings
 
Long-term
 debt
 
All other
 liabilities
 
(in millions)
Asset-backed conduits¥7,756,296 ¥— ¥5,928,518 ¥1,453,912 ¥373,866 
Investment funds1,581,746 — 1,533,915 9,148 38,683 
Special purpose entities created for structured financing170,180 — — 131,594 38,586 
Repackaged instruments340,464 — — 222,733 117,731 
Securitization of the MUFG Group’s assets10,123,630 — — 10,120,219 3,411 
Trust arrangements3,618,686 1,715,116 1,054,466 — 849,104 
Other288,690 — 650 244,285 43,755 
Total consolidated liabilities before elimination23,879,692 1,715,116 8,517,549 12,181,891 1,465,136 
The amounts eliminated in consolidation(16,567,315)(651)(4,084,517)(11,771,730)(710,417)
The amount of liabilities with recourse to the general credit of the MUFG Group(6,723,403)(1,714,465)(4,391,003)(39,244)(578,691)
Liabilities of consolidated VIEs for which creditors or beneficial interest holders do not have recourse to the general credit of the MUFG Group¥588,974 ¥— ¥42,029 ¥370,917 ¥176,028 
The following tables present the total assets of non-consolidated VIEs, the maximum exposure to loss resulting from the MUFG Group’s involvement with non-consolidated VIEs and the assets and liabilities which relate to the MUFG’s variable interests in non-consolidated VIEs at March 31, 2024 and 2025:
Non-consolidated VIEs   On-balance sheet assets On-balance sheet
 liabilities
At March 31, 2024 (As Adjusted):Total assets Maximum
 exposure
 Total Trading
 account
 assets
 Investment
 securities
 Loans All
 other
 assets
 Total All other
 liabilities
 (in millions)
Asset-backed conduits¥39,009,182 ¥9,223,412 ¥7,284,351 ¥13,184 ¥2,147,351 ¥5,123,816 ¥— ¥3,860 ¥3,860 
Investment funds140,717,674 7,385,746 4,757,037 321,000 300,803 3,719,748 415,486 16,172 16,172 
Special purpose entities created for structured financing72,102,436 7,696,582 5,334,476 93,808 61,114 5,134,236 45,318 251,944 251,944 
Repackaged instruments10,205,539 5,144,654 5,004,762 1,683,889 2,592,589 497,156 231,128 — — 
Other96,343,162 4,594,025 3,234,286 261,745 — 2,871,454 101,087 17,651 17,651 
Total¥358,377,993 ¥34,044,419 ¥25,614,912 ¥2,373,626 ¥5,101,857 ¥17,346,410 ¥793,019 ¥289,627 ¥289,627 
 
Non-consolidated VIEs   On-balance sheet assets On-balance sheet
 liabilities
At March 31, 2025:Total assets Maximum
 exposure
 Total Trading
 account
 assets
 Investment
 securities
 Loans All
 other
 assets
 Total All other
 liabilities
 (in millions)
Asset-backed conduits¥31,849,272 ¥9,236,883 ¥7,249,130 ¥27,429 ¥2,221,035 ¥5,000,666 ¥— ¥1,118 ¥1,118 
Investment funds219,612,579 7,752,891 4,707,766 189,956 184,096 4,099,421 234,293 11,684 11,684 
Special purpose entities created for structured financing78,811,641 8,945,829 6,134,534 111,542 78,102 5,926,307 18,583 235,770 235,770 
Repackaged instruments8,162,093 4,431,963 4,282,437 2,120,466 1,439,837 559,491 162,643 — — 
Other128,487,667 4,400,339 3,094,247 302,927 59,766 2,618,862 112,692 11,609 11,609 
Total¥466,923,252 ¥34,767,905 ¥25,468,114 ¥2,752,320 ¥3,982,836 ¥18,204,747 ¥528,211 ¥260,181 ¥260,181