Parent Company Only Financial Information (Tables)
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12 Months Ended |
Mar. 31, 2022 |
| 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, | | | 2021 | | 2022 | | | (in millions) | | Assets: | | | | | Cash and interest-earning deposits with banking subsidiaries | ¥ | 229,380 | | | ¥ | 231,389 | | | Investments in subsidiaries and affiliated companies | 16,658,522 | | | 16,504,756 | | | Banking subsidiaries | 12,793,367 | | | 11,731,745 | | | Non-banking subsidiaries and affiliated companies | 3,865,155 | | | 4,773,011 | | | Loans to subsidiaries | 9,208,439 | | | 10,062,030 | | | Banking subsidiaries | 8,690,696 | | | 9,516,847 | | | Non-banking subsidiaries | 517,743 | | | 545,183 | | | Other assets | 197,231 | | | 266,773 | | | Total assets | ¥ | 26,293,572 | | | ¥ | 27,064,948 | | | Liabilities and Shareholders’ equity: | | | | | Short-term borrowings from banking subsidiaries | ¥ | 1,206,694 | | | ¥ | 1,146,147 | | | Long-term debt from non-banking subsidiaries and affiliated companies | 15,897 | | | 24,535 | | | Long-term debt | 9,226,046 | | | 10,055,876 | | | Other liabilities | 183,986 | | | 233,322 | | | Total liabilities | 10,632,623 | | | 11,459,880 | | | Total shareholders’ equity | 15,660,949 | | | 15,605,068 | | | Total liabilities and shareholders’ equity | ¥ | 26,293,572 | | | ¥ | 27,064,948 | |
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| Condensed Statements of Income |
Condensed Statements of Operations | | | | | | | | | | | | | | | | | | | | Fiscal years ended March 31, | | | 2020 | | 2021 | | 2022 | | | (in millions) | | Income: | | | | | | | Dividends from subsidiaries and affiliated companies | ¥ | 376,376 | | | ¥ | 404,064 | | | ¥ | 586,108 | | | Banking subsidiaries | 277,472 | | | 317,453 | | | 419,691 | | | Non-banking subsidiaries and affiliated companies | 98,904 | | | 86,611 | | | 166,417 | | | Management fees from subsidiaries | 33,543 | | | 35,095 | | | 34,957 | | | Interest income from subsidiaries | 174,500 | | | 174,816 | | | 183,679 | | | Foreign exchange gains—net | 4,834 | | | 1,089 | | | 6,851 | | | Trading account losses—net | (37,272) | | | (18,285) | | | (4,059) | | | Gains on sales of investment in subsidiaries and affiliated companies—net | 67,406 | | | 95 | | | — | | | Other income | 14,968 | | | 12,552 | | | 11,732 | | | Total income | 634,355 | | | 609,426 | | | 819,268 | | | Expense: | | | | | | | Operating expenses | 30,431 | | | 37,567 | | | 40,158 | | | Interest expense to subsidiaries and affiliated companies | 26,244 | | | 11,415 | | | 12,256 | | | Interest expense | 155,774 | | | 159,057 | | | 167,057 | | | Other expense | 15,024 | | | 8,164 | | | 7,154 | | | Total expense | 227,473 | | | 216,203 | | | 226,625 | | | Equity in undistributed net income (loss) of subsidiaries and affiliated companies—net | (108,069) | | | 727,257 | | | (667,088) | | | Income (loss) before income tax expense (benefit) | 298,813 | | | 1,120,480 | | | (74,445) | | | Income tax expense (benefit) | (7,142) | | | 3,182 | | | 8,875 | | | Net income (loss) | ¥ | 305,955 | | | ¥ | 1,117,298 | | | ¥ | (83,320) | |
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| Condensed Statements of Cash Flows |
Condensed Statements of Cash Flows | | | | | | | | | | | | | | | | | | | | Fiscal years ended March 31, | | | 2020 | | 2021 | | 2022 | | | (in millions) | | Operating activities: | | | | | | | Net income (loss) | ¥ | 305,955 | | | ¥ | 1,117,298 | | | ¥ | (83,320) | | | Adjustments and other | (1,704) | | | (568,317) | | | 653,768 | | | Net cash provided by operating activities | 304,251 | | | 548,981 | | | 570,448 | | | Investing activities: | | | | | | | Proceeds from redemption of other investment securities | 240,000 | | | — | | | — | | | Proceeds from sales of investment in subsidiaries and affiliated companies | 135,581 | | | 35,081 | | | 136 | | | Purchase of equity investment in subsidiaries and an affiliated company | — | | | — | | | (1,000) | | | Net increase in loans to subsidiaries | (1,547,178) | | | (462,208) | | | (257,619) | | | Other—net | (12,572) | | | (11,531) | | | (9,413) | | | Net cash used in investing activities | (1,184,169) | | | (438,658) | | | (267,896) | | | Financing activities: | | | | | | | Net decrease in short-term borrowings from subsidiaries | (164,272) | | | (49,058) | | | (61,415) | | | Proceeds from issuance of long-term debt | 1,844,488 | | | 831,121 | | | 1,625,173 | | | Repayment of long-term debt | (214,994) | | | (514,436) | | | (1,369,254) | | | Repayment of long-term debt to affiliated companies | (241,000) | | | (10,500) | | | — | | | Proceeds from sales of treasury stock | 2 | | | 1 | | | — | | | Payments for acquisition of treasury stock | (50,022) | | | (13) | | | (150,017) | | | Dividends paid | (304,538) | | | (321,772) | | | (334,620) | | | Other—net | (7,791) | | | (1,954) | | | (10,410) | | | Net cash provided by (used in) financing activities | 861,873 | | | (66,611) | | | (300,543) | | | Net increase (decrease) in cash and cash equivalents | (18,045) | | | 43,712 | | | 2,009 | | | Cash and cash equivalents at beginning of fiscal year | 203,713 | | | 185,668 | | | 229,380 | | | Cash and cash equivalents at end of fiscal year | ¥ | 185,668 | | | ¥ | 229,380 | | | ¥ | 231,389 | |
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