v3.26.1
Parent Company Only Financial Information (Tables)
12 Months Ended
Mar. 31, 2026
Condensed Financial Information Disclosure [Abstract]  
Condensed Balance Sheets
The following table presents the parent company only financial information of MUFG:
Condensed Balance Sheets
 As of March 31,
 20252026
 (in millions)
Assets:
Cash and interest-earning deposits with banking subsidiaries¥351,224 ¥367,685 
Investments in subsidiaries and affiliated companies19,152,808 20,408,001 
Banking subsidiaries12,206,015 12,654,475 
Non-banking subsidiaries and affiliated companies6,946,793 7,753,526 
Loans to subsidiaries12,205,955 13,862,833 
Banking subsidiaries11,740,181 13,577,333 
Non-banking subsidiaries465,774 285,500 
Other assets179,703 238,136 
Total assets¥31,889,690 ¥34,876,655 
Liabilities and Shareholders’ equity:
Short-term borrowings from banking subsidiaries¥1,127,981 ¥1,117,979 
Long-term debt from non-banking subsidiaries and affiliated companies16,113 55,758 
Long-term debt12,224,151 13,839,361 
Other liabilities235,959 290,424 
Total liabilities13,604,204 15,303,522 
Total shareholders’ equity18,285,486 19,573,133 
Total liabilities and shareholders’ equity¥31,889,690 ¥34,876,655 
Condensed Statements of Income
Condensed Statements of Income
 Fiscal years ended March 31,
 202420252026
 
(in millions)
Income:     
Dividends from subsidiaries and affiliated companies¥774,211 ¥1,306,837 ¥1,411,925 
Banking subsidiaries545,886 1,035,465 1,102,632 
Non-banking subsidiaries and affiliated companies228,325 271,372 309,293 
Management fees from subsidiaries34,393 35,633 41,322 
Interest income from subsidiaries371,860 374,230 395,318 
Foreign exchange gains (losses)—net
451 (2,700)(153)
Trading account losses—net(40,379)(50,367)(17,045)
Other income15,374 16,242 15,472 
Total income1,155,910 1,679,875 1,846,839 
Expense:
Operating expenses47,600 47,706 56,296 
Interest expense to subsidiaries and affiliated companies15,673 18,082 25,110 
Interest expense355,781 351,368 368,731 
Other expense6,229 1,804 3,803 
Total expense425,283 418,960 453,940 
Equity in undistributed net income of subsidiaries and affiliated companies—net589,812 6,408 348,297 
Income before income tax expense
1,320,439 1,267,323 1,741,196 
Income tax expense (benefit)
(5,430)390 11,837 
Net income
¥1,325,869 ¥1,266,933 ¥1,729,359 
Condensed Statements of Cash Flows
Condensed Statements of Cash Flows
 Fiscal years ended March 31,
 202420252026
 
(in millions)
Operating activities:   
Net cash provided by operating activities¥839,937 ¥1,316,469 ¥1,402,113 
Investing activities:
Proceeds from sales and dispositions of investments in subsidiaries and affiliated companies
865 — — 
Net decrease (increase) in loans to subsidiaries
(231,891)1,916,662 (1,064,070)
Other—net(8,787)(13,231)(14,446)
Net cash provided by (used in) investing activities
(239,813)1,903,431 (1,078,516)
Financing activities:
Net decrease in short-term borrowings from subsidiaries(6,025)(157,654)(10,002)
Proceeds from issuance of long-term debt1,809,416 1,609,505 2,358,104 
Repayment of long-term debt(1,578,887)(3,526,431)(1,294,093)
Proceeds from sales of treasury stock
Payments for acquisition of treasury stock(400,037)(400,042)(500,062)
Dividends paid(439,755)(532,977)(848,402)
Other—net(10,700)(8,818)(12,682)
Net cash provided by used in financing activities(625,987)(3,016,416)(307,136)
Net increase (decrease) in cash and cash equivalents(25,863)203,484 16,461 
Cash and cash equivalents at beginning of fiscal year173,603 147,740 351,224 
Cash and cash equivalents at end of fiscal year¥147,740 ¥351,224 ¥367,685