Mitsubishi UFJ Financial Group, Inc.JP:8306

Market cap
¥18.22T
P/E ratio
24.3x
Mar 31,
2013
Mar 31,
2014
Mar 31,
2015
Mar 31,
2016
Mar 31,
2017
Mar 31,
2018
Mar 31,
2019
Mar 31,
2020
Mar 31,
2021
Mar 31,
2022
Mar 31,
2023
Mar 31,
2024
Profit (loss) before income taxes1,353,7891,543,0301,614,7571,498,7691,303,2281,409,3771,145,327829,4431,042,0361,489,8571,569,9232,050,104
Depreciation245,832255,637300,163298,527316,411321,207322,770330,371338,617345,199314,708340,137
Impairment losses10,069126,92411,48713,41510,16276,122184,69265,78641,240174,13318,16731,108
Amortization of goodwill30,38736,83017,78716,93116,73717,60317,431372,92016,83318,05119,92822,230
Share of loss (profit) of entities accounted for using equity method-52,004-112,470-159,637-230,415-244,453-242,885-284,389-277,221-321,761-441,595-425,829-531,803
Losses on pension buyout----------78,111-
Increase (decrease) in allowance for doubtful accounts-45,668-173,70546,03771,084-92,783-155,657-83,64120,148216,27096,652-32,780224,881
Increase (decrease) in provision for bonuses13,7188,86810,321955-2854,759-5,2068,0868,47715,21771,05334,279
Increase (decrease) in provision for bonuses for directors (and other officers)-281-333-172-5820221685410-181,727-1,239
Increase (decrease) in provision for share awards-------792484-383-2,4778664,027
Decrease (increase) in retirement benefit asset-35,323-62,696-88,908-92,720-123,708-89,58849,212-387,415-106,980-53,774-481,644
Increase (decrease) in retirement benefit liability--46,685-1,601-2,2551,652-2601,1324,1092,2476451237,404
Increase (decrease) in provision for retirement benefits for directors (and other officers)-96-222-1152714-40-30--185-6017-7
Increase (decrease) in provision for point card certificates1,029-1419691,313959600-12412,519-12,357-540-213-1,077
Increase (decrease) in provision for contingent loss-77,688-50,771-43,8075,572175,716-66,513-51,235-59,390-26,23447,681-64,789-32,296
Interest income-2,336,956-2,370,649-2,806,238-2,769,248-2,888,134-3,094,990-3,732,203-3,841,301-2,678,691-2,587,445-5,298,944-7,468,679
Interest expenses520,180492,122624,743655,735863,6771,188,2231,809,5801,948,484773,719543,9572,372,7355,011,105
Loss (gain) related to securities-283,087-287,463-208,271-221,235-181,811-188,581-131,439-544,698-240,645-225,395481,93079,574
Loss (gain) on money held in trust1,7742,264639-10,6898,771450837-8,47656,79621,3476,08876,366
Foreign exchange losses (gains)-2,177,409-2,177,403-1,213,2351,439,205459,763503,565-259,172847,932-1,270,550-2,788,581-2,255,057-4,994,338
Loss (gain) on disposal of non-current assets5,580-2,4964,926-9,171-8,2005,800-6,639-1,669-16,630-16,862918-4,594
Net decrease (increase) in trading account assets-3,110,8023,086,278-1,337,54249,544-1,737,6756,172,302-1,207,299-4,120,479-531,1843,575,115-42,347-2,288,718
Net increase (decrease) in trading account liabilities1,258,684-2,803,9881,181,1421,980,0931,448,201-7,200,920928,4962,384,31052,686-2,045,5922,219,8381,387,039
Adjustments for unsettled trading account transactions366,201-294,819889,029-821,034-50,814-60,914342,532-240,582555,568793,285-651,611-206,076
Net decrease (increase) in loans and bills discounted-5,798,880-6,608,052-5,909,031-4,990,6284,065,265962,022116,865-227,5301,092,978-2,101,763-4,211,367-6,763,304
Net increase (decrease) in deposits5,622,2838,543,5156,793,9007,888,70410,427,4766,551,0913,352,1586,503,30424,839,3323,015,7987,118,3149,410,399
Net increase (decrease) in negotiable certificates of deposit1,835,876633,905488,549-4,482,406-242,013-1,483,766-438,845-1,623,847327,9042,822,8612,869,2402,903,887
Net increase (decrease) in borrowed money (excluding subordinated borrowings)455,583-137,2463,247,294-1,362,5504,551,643-429,67963,5198,353,5626,621,372573,366-6,264,775920,095
Net decrease (increase) in call loans-1,156,983-1,141,168261,206-633,599-1,413,1582,362,074-6,928,266-12,772,20610,364,2631,110,169-1,804,036-4,059,830
Net decrease (increase) in cash collateral provided for securities borrowed703,586-1,546,761-370,559-1,438,094-5,203,7851,786,1186,443,287-719,97615,787-977,957153,662-281,434
Net increase (decrease) in call money2,873,4023,983,716-350,881-435,883-3,999,428631,5217,350,2867,697,173-8,133,5892,166,23112,597,828-3,720,809
Net increase (decrease) in commercial papers454,464401,456667,730119,20333,847-128,226149,537-158,147-347,748288,342179,650885,347
Net increase (decrease) in cash collateral received for securities lent-963,0021,490,2642,657,417-3,446,893850,8422,612,538-7,231,076151,607-214,910227,62683,926-125,534
Net decrease (increase) in foreign exchanges - assets-25,448-485,839-137,770380,193-302,389-844,857803,375477,953-181,308-365,896-3,533-170,240
Net increase (decrease) in foreign exchanges - liabilities-17,099234,959375,867544,080-81,64164,974235,037-48,568-115,96675,450389,405895,169
Net increase (decrease) in short-term bonds payable-60,90483,593353,597-37,01995,507-699-53,300168,29580,706273,801-269,304164,270
Increase (decrease) in straight bonds - issuance and redemption91,1491,117,138906,637649,951422,720188,5781,288,395704,633-287,095917,0072,595,987-295,231
Net increase (decrease) in borrowed money from trust account86,490441,9351,238,14410,112,737-3,402,151488,598-100,251-483,5381,409,8811,602,553-1,121,708-4,301,919
Interest received2,427,5042,542,0872,917,3192,897,3783,023,7223,181,4943,741,1103,970,4412,821,2392,657,5914,923,4777,250,761
Interest paid-538,177-499,345-636,368-654,026-847,418-1,170,125-1,762,774-1,965,180-844,633-546,500-2,098,922-4,851,903
Other, net-46,706981,842-26,303175,151-684,097-809,354-7,248395,291-50,656-555,008440,666-435,455
Subtotal54,708-3,909,958-1,658,1477,245,1557,416,54112,529,0705,922,9168,203,25935,016,42010,089,26913,909,305-9,317,949
Income taxes paid-318,483-230,581-463,446-537,036-427,841-250,661-346,496-228,784-236,321-300,616-549,466-607,135
Income taxes refund15,09451,50425,84546,30824,36432,37032,88486,365124,84751,24671,93480,225
Net cash provided by (used in) operating activities-248,680-4,089,035-2,095,7486,754,4287,013,06412,310,7785,609,3058,060,84034,904,9469,839,89913,431,773-9,844,860
Purchase of securities-168,180,615-136,943,494-138,305,190-86,422,400-56,618,395-73,029,164-65,103,588-90,417,706-116,742,577-97,893,977-103,993,341-92,819,270
Proceeds from sale of securities151,108,334108,333,935110,348,14360,274,52839,602,66533,503,85533,033,63964,642,30865,188,71260,280,48958,441,52864,100,921
Proceeds from redemption of securities19,393,20435,904,61434,682,84128,452,43426,428,25639,502,32826,809,23823,887,86842,121,24036,458,51636,986,13933,333,232
Increase in money held in trust-920,379-1,657,637-479,026-641,740-763,127-540,772-570,030-810,487-1,241,659-1,165,165-1,040,424-1,378,121
Decrease in money held in trust746,0641,483,685576,140672,854615,931401,831600,105701,517901,3301,110,0301,075,8741,333,026
Purchase of property, plant and equipment-131,203-151,365-176,368-116,931-121,733-159,814-142,393-127,176-133,671-101,275-118,147-129,650
Purchase of intangible assets-163,025-223,357-223,581-231,615-249,744-247,378-286,200-318,853-263,119-282,728-283,478-333,157
Proceeds from sale of property, plant and equipment30,92831,25112,39335,49431,81511,79033,44770,57449,22682,25646,36078,282
Proceeds from sale of intangible assets2881,404191662,8907006221,9228,2231,277180568
Proceeds from sale of businesses46,717--------33,038-5,070
Purchase of shares of subsidiaries resulting in change in scope of consolidation-67,937-443,017-1,015--21,954-20-1,106-494,920-23,239-1,165--205,797
Payments for sale of shares of subsidiaries resulting in change in scope of consolidation-----------1,784,755-
Proceeds from sale of shares of subsidiaries resulting in change in scope of consolidation4982,39967,952-2,761--58,701-2,813-4,406
Other, net-3,811-1,558-619-1,221-1,815-2,172-1,282-2,631-4,289-2,409-5,032-3,092
Net cash provided by (used in) investing activities1,885,4866,001,4006,501,6892,240,2098,907,549-565,875-5,627,546-3,368,444-10,140,343-2,202,726-10,675,0963,986,415
Increase in subordinated borrowings103,50144,00055,00038,00031,00039,50055,00031,72020,000-29,000123,000
Repayments of subordinated borrowings-145,000-116,500-74,800-92,500-50,592-245,328-173,119-67,945-21,000--28,000-68,000
Proceeds from issuance of subordinated bonds and bonds with share acquisition rights322,35948,751190,000793,218837,401863,460376,800586,670272,742226,091670,246992,021
Redemption of subordinated bonds and bonds with share acquisition rights-1,038,094-663,502-284,324-294,460-476,943-256,196-47,020-90,241-381,454-789,480-787,754-155,290
Proceeds from share issuance to non-controlling shareholders--2,9491,0811,1952,1967,4933,8234,8563,569227945
Repayments to non-controlling shareholders---17,602--854-16---23---216
Dividends paid-187,620-216,106-263,978-251,497-246,563-241,067-276,279-304,535-321,772-334,619-380,447-439,755
Dividends paid to non-controlling interests---106,964-94,825-77,008-53,896-49,431-42,331-14,826-32,622-32,050-44,946
Purchase of treasury shares-15-45-490,044-200,053-217,666-201,050-159,903-50,022-13-158,515-450,153-400,156
Proceeds from sale of treasury shares6,5006102132,2254,1412,2912,1435,3992,2372,297
Purchase of shares of subsidiaries not resulting in change in scope of consolidation---29,463-4,572-1,612-50,364-38-6,494--250-444-1,592
Net cash provided by (used in) financing activities-1,030,295-1,007,086-1,156,621-105,602-670,592-290,538-484,359-251,664-436,071-1,080,428-977,1388,307
Effect of exchange rate change on cash and cash equivalents187,775298,454252,797-115,214-45,486-80,462-4,192-311,992316,5441,228,8891,089,3282,090,467
Net increase (decrease) in cash and cash equivalents794,2851,203,7333,502,1178,773,82015,204,53411,187,748-506,7934,128,73924,645,0767,785,6342,868,867-3,759,669
Increase in cash and cash equivalents resulting from inclusion of subsidiaries in consolidation-----------4,595
Decrease in cash and cash equivalents resulting from exclusion of subsidiaries from consolidation----------3,109-1,900-