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 funds | 1,662,843 | | | 1,759 | | | 30,748 | | | 337,619 | | | 77,334 | | | — | | | 1,215,383 | | Special purpose entities created for structured financing | 248,049 | | | — | | | 3,820 | | | — | | | — | | | 143,688 | | | 100,541 | | Repackaged instruments | 296,435 | | | 9,892 | | | — | | | 137,795 | | | 132,951 | | | 15,000 | | | 797 | | Securitization of the MUFG Group’s assets | 10,447,956 | | | — | | | 1,664 | | | — | | | — | | | 10,428,225 | | | 18,067 | | Trust arrangements | 5,352,775 | | | — | | | — | | | 803,348 | | | 1,811,498 | | | 2,737,908 | | | 21 | | Other | 85,008 | | | 470 | | | 5,366 | | | 14,059 | | | 38,219 | | | 2,481 | | | 24,413 | | Total consolidated assets before elimination | 26,279,985 | | | 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 funds | 1,147,832 | | | — | | | 1,136,495 | | | 8,772 | | | 2,565 | | Special purpose entities created for structured financing | 136,230 | | | — | | | — | | | 117,947 | | | 18,283 | | Repackaged instruments | 301,045 | | | — | | | — | | | 287,192 | | | 13,853 | | Securitization of the MUFG Group’s assets | 10,460,439 | | | — | | | — | | | 10,454,694 | | | 5,745 | | Trust arrangements | 5,352,880 | | | 3,292,449 | | | 1,131,120 | | | — | | | 929,311 | | Other | 78,350 | | | — | | | 966 | | | 54,159 | | | 23,225 | | Total consolidated liabilities before elimination | 25,638,790 | | | 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 funds | 2,255,725 | | | 8,623 | | | 48,396 | | | 420,259 | | | 90,580 | | | — | | | 1,687,867 | | Special purpose entities created for structured financing | 313,346 | | | — | | | 14,509 | | | — | | | — | | | 158,337 | | | 140,500 | | Repackaged instruments | 377,261 | | | 5,500 | | | — | | | 203,970 | | | 142,283 | | | 15,000 | | | 10,508 | | Securitization of the MUFG Group’s assets | 10,113,082 | | | — | | | 174 | | | — | | | — | | | 10,100,566 | | | 12,342 | | Trust arrangements | 3,618,564 | | | — | | | — | | | 740,514 | | | 1,661,663 | | | 1,216,343 | | | 44 | | Other | 237,291 | | | 1,897 | | | 6,050 | | | 8,024 | | | 38,657 | | | 3,997 | | | 178,666 | | Total consolidated assets before elimination | 24,730,095 | | | 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 funds | 1,581,746 | | | — | | | 1,533,915 | | | 9,148 | | | 38,683 | | Special purpose entities created for structured financing | 170,180 | | | — | | | — | | | 131,594 | | | 38,586 | | Repackaged instruments | 340,464 | | | — | | | — | | | 222,733 | | | 117,731 | | Securitization of the MUFG Group’s assets | 10,123,630 | | | — | | | — | | | 10,120,219 | | | 3,411 | | Trust arrangements | 3,618,686 | | | 1,715,116 | | | 1,054,466 | | | — | | | 849,104 | | Other | 288,690 | | | — | | | 650 | | | 244,285 | | | 43,755 | | Total consolidated liabilities before elimination | 23,879,692 | | | 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 funds | 140,717,674 | | | 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 financing | 72,102,436 | | | 7,696,582 | | | 5,334,476 | | | 93,808 | | | 61,114 | | | 5,134,236 | | | 45,318 | | | 251,944 | | | 251,944 | | Repackaged instruments | 10,205,539 | | | 5,144,654 | | | 5,004,762 | | | 1,683,889 | | | 2,592,589 | | | 497,156 | | | 231,128 | | | — | | | — | | Other | 96,343,162 | | | 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 funds | 219,612,579 | | | 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 financing | 78,811,641 | | | 8,945,829 | | | 6,134,534 | | | 111,542 | | | 78,102 | | | 5,926,307 | | | 18,583 | | | 235,770 | | | 235,770 | | Repackaged instruments | 8,162,093 | | | 4,431,963 | | | 4,282,437 | | | 2,120,466 | | | 1,439,837 | | | 559,491 | | | 162,643 | | | — | | | — | | Other | 128,487,667 | | | 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 | |
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