JP Stock MarketDetailed Quotes

8306 Mitsubishi UFJ Financial Group

Watchlist
  • 1943.5
  • +1.5+0.08%
20min DelayNot Open Feb 14 15:30 JST
23.45TMarket Cap15.63P/E (Static)

Mitsubishi UFJ Financial Group Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Dec 31, 2024
(Q2)Sep 30, 2024
(Q1)Jun 30, 2024
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
(Q3)Dec 31, 2023
(Q2)Sep 30, 2023
(Q1)Jun 30, 2023
(FY)Mar 31, 2023
(Q4)Mar 31, 2023
Assets
Cash, cash equivalents and federal funds sold
-0.53%125.78T
1.14%127.72T
3.11%127.57T
0.46%129.51T
0.46%129.51T
5.81%126.45T
7.79%126.28T
-1.74%123.72T
3.63%128.92T
3.63%128.92T
-Cash and cash equivalents
0.35%106.78T
-0.57%108T
-0.69%107.51T
-3.30%109.88T
-3.30%109.88T
2.00%106.4T
6.10%108.63T
-1.67%108.26T
2.59%113.63T
2.59%113.63T
-Money market investments
-5.10%17.8T
14.14%18.6T
33.99%18.8T
31.19%18.37T
31.19%18.37T
35.96%18.76T
21.38%16.29T
-3.26%14.03T
13.75%14T
13.75%14T
-Restricted cash and investments
-6.61%1.2T
-17.94%1.12T
-12.49%1.25T
-1.26%1.27T
-1.26%1.27T
-7.66%1.29T
0.46%1.36T
9.65%1.43T
-3.41%1.29T
-3.41%1.29T
Securities and investments
1.92%118.52T
-3.71%110.55T
1.27%112.91T
1.81%105.06T
1.81%105.06T
3.75%116.29T
1.16%114.81T
2.91%111.5T
6.55%103.19T
6.55%103.19T
-Trading securities
2.46%24.81T
0.53%22.49T
10.65%24.28T
13.97%10.39T
13.97%10.39T
11.67%24.21T
6.95%22.37T
18.87%21.95T
-15.74%9.12T
-15.74%9.12T
-Available for sale securities
1.78%93.72T
-4.74%88.05T
-1.03%88.63T
0.63%94.67T
0.63%94.67T
1.85%92.08T
-0.15%92.44T
-0.37%89.55T
9.35%94.07T
9.35%94.07T
Security borrowed
13.39%4.62T
8.61%5.53T
5.02%4.41T
10.12%5.01T
10.12%5.01T
0.54%4.07T
12.50%5.09T
6.27%4.2T
0.70%4.55T
0.70%4.55T
Derivative assets
----
----
----
17.98%10.5T
17.98%10.5T
----
----
----
29.23%8.9T
29.23%8.9T
Customer acceptances
5.25%12.66T
0.52%11.87T
11.17%12.59T
10.55%12.17T
10.55%12.17T
3.01%12.03T
-0.68%11.81T
-0.52%11.32T
5.00%11.01T
5.00%11.01T
Net loan
8.24%123.93T
5.15%120.03T
9.24%121.97T
6.90%116.01T
6.90%116.01T
-3.85%114.5T
-4.32%114.15T
-2.07%111.66T
-1.41%108.52T
-1.41%108.52T
-Gross loan
8.18%125.39T
5.14%121.47T
9.40%123.56T
7.09%117.55T
7.09%117.55T
-3.57%115.9T
-4.10%115.53T
-1.91%112.94T
-1.38%109.76T
-1.38%109.76T
-Allowance for loans and lease losses
3.90%1.45T
3.80%1.43T
23.45%1.58T
23.24%1.54T
23.24%1.54T
26.61%1.4T
17.87%1.38T
13.77%1.28T
1.93%1.25T
1.93%1.25T
Net PPE
0.11%1.22T
0.79%1.23T
3.41%1.25T
0.72%1.23T
0.72%1.23T
-3.80%1.22T
-3.88%1.22T
-2.64%1.21T
-1.28%1.22T
-1.28%1.22T
-Gross PPE
----
----
----
0.72%1.23T
0.72%1.23T
----
----
----
-1.28%1.22T
-1.28%1.22T
Goodwill and other intangible assets
26.42%1.9T
30.26%1.96T
34.85%1.92T
23.06%1.67T
23.06%1.67T
2.91%1.5T
3.08%1.5T
1.25%1.43T
1.03%1.36T
1.03%1.36T
-Goodwill
----
----
----
60.96%405.63B
60.96%405.63B
----
----
----
-7.13%252.01B
-7.13%252.01B
-Other intangible assets
----
----
----
14.43%1.27T
14.43%1.27T
----
----
----
3.10%1.11T
3.10%1.11T
Defined pension benefit
48.02%2.05T
47.39%2.03T
48.41%2.02T
49.57%1.98T
49.57%1.98T
-5.88%1.39T
-5.32%1.38T
-3.95%1.36T
-3.58%1.33T
-3.58%1.33T
Deferred assets
-31.09%154.34B
-66.07%140.99B
-43.87%167.11B
-51.35%156.67B
-51.35%156.67B
-56.06%223.97B
16.13%415.58B
21.96%297.7B
50.53%322.02B
50.53%322.02B
Other assets
15.32%22.35T
-16.34%18T
8.14%22.44T
16.65%20.41T
16.65%20.41T
-4.40%19.38T
3.02%21.51T
9.35%20.75T
7.00%17.5T
7.00%17.5T
Total assets
4.06%413.19T
0.22%399.06T
5.11%407.26T
4.37%403.7T
4.37%403.7T
1.45%397.06T
1.63%398.18T
0.14%387.45T
3.50%386.8T
3.50%386.8T
Liabilities
Total deposits
4.95%244.7T
2.40%239.84T
5.83%244.67T
5.87%240.59T
5.87%240.59T
-0.55%233.15T
-0.70%234.22T
-0.62%231.19T
0.39%227.24T
0.39%227.24T
Federal funds purchased and securities sold under agreement to repurchase
8.24%40.85T
14.55%37.49T
5.37%33.14T
-11.26%35.48T
-11.26%35.48T
11.63%37.74T
-5.19%32.72T
-3.05%31.45T
44.76%39.98T
44.76%39.98T
Current debt and capital lease obligation
22.80%7.74T
17.96%8.39T
28.23%7.67T
45.18%8.23T
45.18%8.23T
-24.75%6.3T
7.95%7.12T
6.78%5.98T
24.94%5.67T
24.94%5.67T
-Current debt
22.80%7.74T
17.96%8.39T
28.23%7.67T
45.18%8.23T
45.18%8.23T
-24.75%6.3T
7.95%7.12T
6.78%5.98T
24.94%5.67T
24.94%5.67T
Trading liabilities
2.57%17.84T
-13.24%15.88T
10.88%17.68T
9.07%5.83T
9.07%5.83T
6.00%17.4T
13.85%18.3T
5.67%15.94T
-3.20%5.35T
-3.20%5.35T
Securities loaned
-18.31%816.85B
-36.98%627.74B
-33.39%791.43B
3.75%27T
3.75%27T
86.89%999.96B
7.76%996.14B
176.98%1.19T
-20.73%26.03T
-20.73%26.03T
Derivative product liabilities
----
----
----
16.31%10.9T
16.31%10.9T
----
----
----
36.31%9.37T
36.31%9.37T
Payables
-51.85%4.9T
-51.49%5.28T
-46.03%5.78T
-36.80%7.39T
-36.80%7.39T
0.81%10.17T
19.19%10.88T
3.60%10.71T
-8.76%11.69T
-8.76%11.69T
-Other payable
-51.85%4.9T
-51.49%5.28T
-46.03%5.78T
-36.80%7.39T
-36.80%7.39T
0.81%10.17T
19.19%10.88T
3.60%10.71T
-8.76%11.69T
-8.76%11.69T
Long term debt and capital lease obligation
-3.30%40.94T
-5.51%40.38T
2.12%43.57T
4.53%17.52T
4.53%17.52T
7.56%42.34T
6.46%42.74T
-5.28%42.67T
14.97%16.76T
14.97%16.76T
-Long term debt
-3.30%40.94T
-5.51%40.38T
2.12%43.57T
4.53%17.52T
4.53%17.52T
7.56%42.34T
6.46%42.74T
-5.28%42.67T
14.97%16.76T
14.97%16.76T
Long term provisions
-22.03%126.23B
-17.75%135B
-15.87%142.16B
-16.42%156.73B
-16.42%156.73B
-19.03%161.91B
-20.68%164.13B
-25.08%168.98B
-26.19%187.51B
-26.19%187.51B
Employee benefits
11.86%289.64B
10.32%278.08B
30.93%247.74B
21.96%362.31B
21.96%362.31B
4.15%258.94B
10.09%252.07B
-15.59%189.21B
26.85%297.07B
26.85%297.07B
Non current deferred liabilities
61.27%414.6B
101.83%516.21B
70.06%435.39B
123.29%551.93B
123.29%551.93B
6.75%257.09B
7.53%255.77B
-14.32%256.02B
-57.88%247.18B
-57.88%247.18B
Other liabilities
16.52%32.95T
-7.62%28.56T
11.34%31.77T
12.59%28.95T
12.59%28.95T
-5.68%28.28T
2.99%30.92T
5.81%28.53T
9.28%25.71T
9.28%25.71T
Total liabilities
3.85%391.57T
-0.31%377.38T
4.78%385.89T
3.92%382.96T
3.92%382.96T
0.90%377.06T
1.23%378.56T
-0.27%368.27T
3.59%368.53T
3.59%368.53T
Shareholders'equity
Share capital
0.00%2.14T
0.00%2.14T
0.00%2.14T
0.00%2.14T
0.00%2.14T
0.00%2.14T
0.00%2.14T
0.00%2.14T
0.00%2.14T
0.00%2.14T
-common stock
0.00%2.14T
0.00%2.14T
0.00%2.14T
0.00%2.14T
0.00%2.14T
0.00%2.14T
0.00%2.14T
0.00%2.14T
0.00%2.14T
0.00%2.14T
Additional paid-in capital
--0
-77.96%76.81B
-76.14%83.41B
-76.08%83.62B
-76.08%83.62B
-83.40%83.41B
-54.79%348.42B
-54.63%349.66B
-54.61%349.66B
-54.61%349.66B
Retained earnings
8.84%14.8T
9.99%14.82T
7.73%14.12T
8.26%13.79T
8.26%13.79T
13.67%13.6T
11.85%13.48T
9.85%13.11T
6.18%12.74T
6.18%12.74T
Less: treasury stock
37.71%544B
50.78%722.92B
51.50%728.32B
27.59%613.82B
27.59%613.82B
-25.34%395.05B
-30.32%479.44B
-9.11%480.74B
6.60%481.09B
6.60%481.09B
Gains losses not affecting retained earnings
15.14%3.98T
36.83%4.15T
54.22%4.56T
68.62%4.19T
68.62%4.19T
34.14%3.46T
19.08%3.04T
27.30%2.96T
-3.24%2.48T
-3.24%2.48T
Other equity interest
--9M
--6M
--3M
----
----
----
----
----
----
----
Total stockholders'equity
7.91%20.38T
10.52%20.47T
11.63%20.18T
13.68%19.59T
13.68%19.59T
13.39%18.89T
10.11%18.52T
8.64%18.07T
1.22%17.23T
1.22%17.23T
Noncontrolling interests
12.09%1.24T
10.40%1.21T
8.10%1.19T
11.28%1.16T
11.28%1.16T
6.80%1.11T
6.33%1.09T
10.92%1.1T
7.99%1.04T
7.99%1.04T
Total equity
8.14%21.62T
10.51%21.68T
11.43%21.37T
13.54%20.75T
13.54%20.75T
13.01%19.99T
9.89%19.62T
8.76%19.18T
1.58%18.27T
1.58%18.27T
Currency Unit
JPY
JPY
JPY
JPY
JPY
JPY
JPY
JPY
JPY
JPY
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion
--
(Q3)Dec 31, 2024(Q2)Sep 30, 2024(Q1)Jun 30, 2024(FY)Mar 31, 2024(Q4)Mar 31, 2024(Q3)Dec 31, 2023(Q2)Sep 30, 2023(Q1)Jun 30, 2023(FY)Mar 31, 2023(Q4)Mar 31, 2023
Assets
Cash, cash equivalents and federal funds sold -0.53%125.78T1.14%127.72T3.11%127.57T0.46%129.51T0.46%129.51T5.81%126.45T7.79%126.28T-1.74%123.72T3.63%128.92T3.63%128.92T
-Cash and cash equivalents 0.35%106.78T-0.57%108T-0.69%107.51T-3.30%109.88T-3.30%109.88T2.00%106.4T6.10%108.63T-1.67%108.26T2.59%113.63T2.59%113.63T
-Money market investments -5.10%17.8T14.14%18.6T33.99%18.8T31.19%18.37T31.19%18.37T35.96%18.76T21.38%16.29T-3.26%14.03T13.75%14T13.75%14T
-Restricted cash and investments -6.61%1.2T-17.94%1.12T-12.49%1.25T-1.26%1.27T-1.26%1.27T-7.66%1.29T0.46%1.36T9.65%1.43T-3.41%1.29T-3.41%1.29T
Securities and investments 1.92%118.52T-3.71%110.55T1.27%112.91T1.81%105.06T1.81%105.06T3.75%116.29T1.16%114.81T2.91%111.5T6.55%103.19T6.55%103.19T
-Trading securities 2.46%24.81T0.53%22.49T10.65%24.28T13.97%10.39T13.97%10.39T11.67%24.21T6.95%22.37T18.87%21.95T-15.74%9.12T-15.74%9.12T
-Available for sale securities 1.78%93.72T-4.74%88.05T-1.03%88.63T0.63%94.67T0.63%94.67T1.85%92.08T-0.15%92.44T-0.37%89.55T9.35%94.07T9.35%94.07T
Security borrowed 13.39%4.62T8.61%5.53T5.02%4.41T10.12%5.01T10.12%5.01T0.54%4.07T12.50%5.09T6.27%4.2T0.70%4.55T0.70%4.55T
Derivative assets ------------17.98%10.5T17.98%10.5T------------29.23%8.9T29.23%8.9T
Customer acceptances 5.25%12.66T0.52%11.87T11.17%12.59T10.55%12.17T10.55%12.17T3.01%12.03T-0.68%11.81T-0.52%11.32T5.00%11.01T5.00%11.01T
Net loan 8.24%123.93T5.15%120.03T9.24%121.97T6.90%116.01T6.90%116.01T-3.85%114.5T-4.32%114.15T-2.07%111.66T-1.41%108.52T-1.41%108.52T
-Gross loan 8.18%125.39T5.14%121.47T9.40%123.56T7.09%117.55T7.09%117.55T-3.57%115.9T-4.10%115.53T-1.91%112.94T-1.38%109.76T-1.38%109.76T
-Allowance for loans and lease losses 3.90%1.45T3.80%1.43T23.45%1.58T23.24%1.54T23.24%1.54T26.61%1.4T17.87%1.38T13.77%1.28T1.93%1.25T1.93%1.25T
Net PPE 0.11%1.22T0.79%1.23T3.41%1.25T0.72%1.23T0.72%1.23T-3.80%1.22T-3.88%1.22T-2.64%1.21T-1.28%1.22T-1.28%1.22T
-Gross PPE ------------0.72%1.23T0.72%1.23T-------------1.28%1.22T-1.28%1.22T
Goodwill and other intangible assets 26.42%1.9T30.26%1.96T34.85%1.92T23.06%1.67T23.06%1.67T2.91%1.5T3.08%1.5T1.25%1.43T1.03%1.36T1.03%1.36T
-Goodwill ------------60.96%405.63B60.96%405.63B-------------7.13%252.01B-7.13%252.01B
-Other intangible assets ------------14.43%1.27T14.43%1.27T------------3.10%1.11T3.10%1.11T
Defined pension benefit 48.02%2.05T47.39%2.03T48.41%2.02T49.57%1.98T49.57%1.98T-5.88%1.39T-5.32%1.38T-3.95%1.36T-3.58%1.33T-3.58%1.33T
Deferred assets -31.09%154.34B-66.07%140.99B-43.87%167.11B-51.35%156.67B-51.35%156.67B-56.06%223.97B16.13%415.58B21.96%297.7B50.53%322.02B50.53%322.02B
Other assets 15.32%22.35T-16.34%18T8.14%22.44T16.65%20.41T16.65%20.41T-4.40%19.38T3.02%21.51T9.35%20.75T7.00%17.5T7.00%17.5T
Total assets 4.06%413.19T0.22%399.06T5.11%407.26T4.37%403.7T4.37%403.7T1.45%397.06T1.63%398.18T0.14%387.45T3.50%386.8T3.50%386.8T
Liabilities
Total deposits 4.95%244.7T2.40%239.84T5.83%244.67T5.87%240.59T5.87%240.59T-0.55%233.15T-0.70%234.22T-0.62%231.19T0.39%227.24T0.39%227.24T
Federal funds purchased and securities sold under agreement to repurchase 8.24%40.85T14.55%37.49T5.37%33.14T-11.26%35.48T-11.26%35.48T11.63%37.74T-5.19%32.72T-3.05%31.45T44.76%39.98T44.76%39.98T
Current debt and capital lease obligation 22.80%7.74T17.96%8.39T28.23%7.67T45.18%8.23T45.18%8.23T-24.75%6.3T7.95%7.12T6.78%5.98T24.94%5.67T24.94%5.67T
-Current debt 22.80%7.74T17.96%8.39T28.23%7.67T45.18%8.23T45.18%8.23T-24.75%6.3T7.95%7.12T6.78%5.98T24.94%5.67T24.94%5.67T
Trading liabilities 2.57%17.84T-13.24%15.88T10.88%17.68T9.07%5.83T9.07%5.83T6.00%17.4T13.85%18.3T5.67%15.94T-3.20%5.35T-3.20%5.35T
Securities loaned -18.31%816.85B-36.98%627.74B-33.39%791.43B3.75%27T3.75%27T86.89%999.96B7.76%996.14B176.98%1.19T-20.73%26.03T-20.73%26.03T
Derivative product liabilities ------------16.31%10.9T16.31%10.9T------------36.31%9.37T36.31%9.37T
Payables -51.85%4.9T-51.49%5.28T-46.03%5.78T-36.80%7.39T-36.80%7.39T0.81%10.17T19.19%10.88T3.60%10.71T-8.76%11.69T-8.76%11.69T
-Other payable -51.85%4.9T-51.49%5.28T-46.03%5.78T-36.80%7.39T-36.80%7.39T0.81%10.17T19.19%10.88T3.60%10.71T-8.76%11.69T-8.76%11.69T
Long term debt and capital lease obligation -3.30%40.94T-5.51%40.38T2.12%43.57T4.53%17.52T4.53%17.52T7.56%42.34T6.46%42.74T-5.28%42.67T14.97%16.76T14.97%16.76T
-Long term debt -3.30%40.94T-5.51%40.38T2.12%43.57T4.53%17.52T4.53%17.52T7.56%42.34T6.46%42.74T-5.28%42.67T14.97%16.76T14.97%16.76T
Long term provisions -22.03%126.23B-17.75%135B-15.87%142.16B-16.42%156.73B-16.42%156.73B-19.03%161.91B-20.68%164.13B-25.08%168.98B-26.19%187.51B-26.19%187.51B
Employee benefits 11.86%289.64B10.32%278.08B30.93%247.74B21.96%362.31B21.96%362.31B4.15%258.94B10.09%252.07B-15.59%189.21B26.85%297.07B26.85%297.07B
Non current deferred liabilities 61.27%414.6B101.83%516.21B70.06%435.39B123.29%551.93B123.29%551.93B6.75%257.09B7.53%255.77B-14.32%256.02B-57.88%247.18B-57.88%247.18B
Other liabilities 16.52%32.95T-7.62%28.56T11.34%31.77T12.59%28.95T12.59%28.95T-5.68%28.28T2.99%30.92T5.81%28.53T9.28%25.71T9.28%25.71T
Total liabilities 3.85%391.57T-0.31%377.38T4.78%385.89T3.92%382.96T3.92%382.96T0.90%377.06T1.23%378.56T-0.27%368.27T3.59%368.53T3.59%368.53T
Shareholders'equity
Share capital 0.00%2.14T0.00%2.14T0.00%2.14T0.00%2.14T0.00%2.14T0.00%2.14T0.00%2.14T0.00%2.14T0.00%2.14T0.00%2.14T
-common stock 0.00%2.14T0.00%2.14T0.00%2.14T0.00%2.14T0.00%2.14T0.00%2.14T0.00%2.14T0.00%2.14T0.00%2.14T0.00%2.14T
Additional paid-in capital --0-77.96%76.81B-76.14%83.41B-76.08%83.62B-76.08%83.62B-83.40%83.41B-54.79%348.42B-54.63%349.66B-54.61%349.66B-54.61%349.66B
Retained earnings 8.84%14.8T9.99%14.82T7.73%14.12T8.26%13.79T8.26%13.79T13.67%13.6T11.85%13.48T9.85%13.11T6.18%12.74T6.18%12.74T
Less: treasury stock 37.71%544B50.78%722.92B51.50%728.32B27.59%613.82B27.59%613.82B-25.34%395.05B-30.32%479.44B-9.11%480.74B6.60%481.09B6.60%481.09B
Gains losses not affecting retained earnings 15.14%3.98T36.83%4.15T54.22%4.56T68.62%4.19T68.62%4.19T34.14%3.46T19.08%3.04T27.30%2.96T-3.24%2.48T-3.24%2.48T
Other equity interest --9M--6M--3M----------------------------
Total stockholders'equity 7.91%20.38T10.52%20.47T11.63%20.18T13.68%19.59T13.68%19.59T13.39%18.89T10.11%18.52T8.64%18.07T1.22%17.23T1.22%17.23T
Noncontrolling interests 12.09%1.24T10.40%1.21T8.10%1.19T11.28%1.16T11.28%1.16T6.80%1.11T6.33%1.09T10.92%1.1T7.99%1.04T7.99%1.04T
Total equity 8.14%21.62T10.51%21.68T11.43%21.37T13.54%20.75T13.54%20.75T13.01%19.99T9.89%19.62T8.76%19.18T1.58%18.27T1.58%18.27T
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion--