Parent Company Only Financial Information (Tables)
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12 Months Ended |
Mar. 31, 2025 |
Condensed Financial Information Disclosure [Abstract] |
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Condensed Balance Sheets |
The following table presents the parent company only financial information of MUFG: Condensed Balance Sheets | | | | | | | | | | | | | As of March 31, | | 2024 (As Adjusted) | | 2025 | | (in millions) | Assets: | | | | Cash and interest-earning deposits with banking subsidiaries | ¥ | 147,740 | | | ¥ | 351,224 | | Investments in subsidiaries and affiliated companies | 18,849,567 | | | 19,152,808 | | Banking subsidiaries | 12,819,890 | | | 12,206,015 | | Non-banking subsidiaries and affiliated companies | 6,029,677 | | | 6,946,793 | | Loans to subsidiaries | 14,198,572 | | | 12,205,955 | | Banking subsidiaries | 13,651,662 | | | 11,740,181 | | Non-banking subsidiaries | 546,910 | | | 465,774 | | Other assets | 178,222 | | | 179,703 | | Total assets | ¥ | 33,374,101 | | | ¥ | 31,889,690 | | Liabilities and Shareholders’ equity: | | | | Short-term borrowings from banking subsidiaries | ¥ | 1,285,635 | | | ¥ | 1,127,981 | | Long-term debt from non-banking subsidiaries and affiliated companies | 21,902 | | | 16,113 | | Long-term debt | 14,163,977 | | | 12,224,151 | | Other liabilities | 226,850 | | | 235,959 | | Total liabilities | 15,698,364 | | | 13,604,204 | | Total shareholders’ equity | 17,675,737 | | | 18,285,486 | | Total liabilities and shareholders’ equity | ¥ | 33,374,101 | | | ¥ | 31,889,690 | |
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Condensed Statements of Income |
Condensed Statements of Income | | | | | | | | | | | | | | | | | | | Fiscal years ended March 31, | | 2023 (As Adjusted) | | 2024 (As Adjusted) | | 2025 | | (in millions) | Income: | | | | | | Dividends from subsidiaries and affiliated companies | ¥ | 605,115 | | | ¥ | 774,211 | | | ¥ | 1,306,837 | | Banking subsidiaries | 407,630 | | | 545,886 | | | 1,035,465 | | Non-banking subsidiaries and affiliated companies | 197,485 | | | 228,325 | | | 271,372 | | Management fees from subsidiaries | 35,052 | | | 34,393 | | | 35,633 | | Interest income from subsidiaries | 273,536 | | | 371,860 | | | 374,230 | | Foreign exchange gains (losses)—net | 3,465 | | | 451 | | | (2,700) | | Trading account profits (losses)—net | 28,970 | | | (40,379) | | | (50,367) | | Gains on sales of investment in subsidiaries and affiliated companies—net | 17,748 | | | — | | | — | | Other income | 13,255 | | | 15,374 | | | 16,242 | | Total income | 977,141 | | | 1,155,910 | | | 1,679,875 | | Expense: | | | | | | Operating expenses | 44,149 | | | 47,600 | | | 47,706 | | Interest expense to subsidiaries and affiliated companies | 15,442 | | | 15,673 | | | 18,082 | | Interest expense | 256,333 | | | 355,781 | | | 351,368 | | Other expense | 6,496 | | | 6,229 | | | 1,804 | | Total expense | 322,420 | | | 425,283 | | | 418,960 | | Equity in undistributed net income (loss) of subsidiaries and affiliated companies—net | (253,967) | | | 589,812 | | | 6,408 | | Income before income tax expense | 400,754 | | | 1,320,439 | | | 1,267,323 | | Income tax expense (benefit) | 18,956 | | | (5,430) | | | 390 | | Net income | ¥ | 381,798 | | | ¥ | 1,325,869 | | | ¥ | 1,266,933 | |
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Condensed Statements of Cash Flows |
Condensed Statements of Cash Flows | | | | | | | | | | | | | | | | | | | Fiscal years ended March 31, | | 2023 | | 2024 | | 2025 | | (in millions) | Operating activities: | | | | | | Net cash provided by operating activities | 609,641 | | | 839,937 | | | 1,316,469 | | Investing activities: | | | | | | Proceeds from sales and dispositions of investments in subsidiaries and affiliated companies | 41,125 | | | 865 | | | — | | | | | | | | Net decrease (increase) in loans to subsidiaries | (2,204,831) | | | (231,891) | | | 1,916,662 | | Other—net | (7,791) | | | (8,787) | | | (13,231) | | Net cash provided by (used in) investing activities | (2,171,497) | | | (239,813) | | | 1,903,431 | | Financing activities: | | | | | | Net increase (decrease) in short-term borrowings from subsidiaries | 145,513 | | | (6,025) | | | (157,654) | | Proceeds from issuance of long-term debt | 3,833,878 | | | 1,809,416 | | | 1,609,505 | | Repayment of long-term debt | (1,630,695) | | | (1,578,887) | | | (3,526,431) | | Proceeds from sales of treasury stock | — | | | 1 | | | 1 | | Payments for acquisition of treasury stock | (450,019) | | | (400,037) | | | (400,042) | | Dividends paid | (380,447) | | | (439,755) | | | (532,977) | | Other—net | (14,160) | | | (10,700) | | | (8,818) | | Net cash provided by (used in) financing activities | 1,504,070 | | | (625,987) | | | (3,016,416) | | Net increase (decrease) in cash and cash equivalents | (57,786) | | | (25,863) | | | 203,484 | | Cash and cash equivalents at beginning of fiscal year | 231,389 | | | 173,603 | | | 147,740 | | Cash and cash equivalents at end of fiscal year | ¥ | 173,603 | | | ¥ | 147,740 | | | ¥ | 351,224 | |
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