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MUFGMitsubishi UFJ Financial Group, Inc.
$21.29$240.3B
Overview & Verdict
OverviewShould I Buy?
Valuation & Forecasts
Valuation ModelsEstimatesDCF Model
Price & Analyst Data
Analyst TargetsPrice HistoryTechnical Analysis
Financial Statements
Income StatementBalance SheetCash FlowRatios & Margins
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HomeStocksMUFGQuarterly Balance Sheet

Mitsubishi UFJ Financial Group, Inc. (MUFG) Quarterly Balance Sheet

120+ quarters historyFree accessUpdated daily

Mitsubishi UFJ Financial Group, Inc. (MUFG) quarterly balance sheet — complete assets, liabilities & equity history

MUFG Balance Sheet

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ4'26Q3'26Q2'26Q1'26Q4'25Q3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q3'23Q2'23Q1'23Q4'22Q3'22Q2'22Q1'22
Cash & Short Term Investments91.6T123.06T94.09T105.2T154.1T106.78T108T107.51T109.88T149.37T147.29T144.24T136.75T139.79T136.72T110.1T133.89T110.39T104.59T108.26T
Cash & Due from Banks91.6T89.18T94.09T105.2T109.1T106.78T108T107.51T109.88T106.4T108.63T108.26T113.63T104.31T102.38T110.1T110.76T110.39T104.59T108.26T
Short Term Investments033.88T0045T000042.96T38.67T35.98T23.12T35.47T34.34T023.13T000
Total Investments292.79T257.29T216.32T209.6T260.36T217.65T208.09T210.6T221.17T250.94T246.64T238.47T235.85T246.07T247.4T108.35T227.34T105.57T108.4T105.96T
Investments Growth %12.45%18.21%3.96%-0.48%17.72%-13.27%-15.63%-11.69%-6.22%1.98%-0.31%120.1%3.74%133.09%128.22%2.26%60.01%--14.34%10.81%
Long-Term Investments292.79T223.41T216.32T209.6T215.36T217.65T208.09T210.6T221.17T207.98T207.97T202.49T212.73T210.59T213.05T108.35T204.21T105.57T108.4T105.96T
Accounts Receivables00000000000000000000
Goodwill & Intangibles1.96T1.94T1.93T1.87T1.88T1.9T1.96T1.92T1.67T1.5T1.5T1.43T1.36T1.46T1.46T1.41T1.34T1.42T1.45T1.46T
Goodwill513.68B1.94T00530.39B000405.63B000252.01B004.87B271.35B000
Intangible Assets1.45T01.93T1.87T1.35T1.9T1.96T1.92T1.27T1.5T1.5T1.43T1.11T1.46T1.46T1.4T1.07T1.42T1.45T1.46T
PP&E (Net)1.42T1.38T1.34T1.22T1.24T1.22T1.23T1.25T1.23T1.22T1.22T1.21T1.22T1.27T1.27T1.24T1.24T1.26T1.27T1.29T
Other Assets45.68T62.23T90.48T83T40.39T85.49T79.64T85.8T69.6T36.76T39.78T37.79T34.42T37.77T38.94T-244.09B32.84T1.42T1.45T1.46T
Total Current Assets91.6T129.01T94.09T105.2T154.1T106.78T108T107.51T109.88T149.37T147.29T144.24T136.75T139.79T136.72T110.1T133.89T110.39T104.59T108.26T
Total Non-Current Assets342T289.1T310.23T295.84T259.02T306.42T291.06T299.75T293.83T247.69T250.88T243.21T250.05T251.6T255.08T111T239.84T110.32T113.02T110.67T
Total Assets433.6T418.11T404.32T401.04T413.11T413.19T399.06T407.26T403.7T397.06T398.18T387.45T386.8T391.39T391.8T386.91T373.73T365.78T360.44T362.06T
Asset Growth %4.96%1.19%1.32%-1.53%2.33%4.06%0.22%5.11%4.37%1.45%1.63%0.14%3.5%7%8.7%6.86%3.97%10637.44%3.45%5.9%
Return on Assets (ROA)0.15%0.13%0.19%0.13%0.03%0.12%0.17%0.14%0.05%0.09%0.09%0.14%0.2%0.03%0.03%0.03%0.02%0.08%0.11%0.11%
Accounts Payable00000000000000000000
Total Debt78.69T75.71T77.54T82.98T89.4T89.53T86.26T84.38T61.23T86.38T82.57T80.1T62.41T81.55T81.25T50.65T46.73T50.3T48.14T48.37T
Net Debt-12.92T-13.48T-16.55T-22.22T-19.69T-17.25T-21.74T-23.13T-48.65T-20.02T-26.05T-28.16T-51.22T-22.77T-21.13T-59.45T-64.03T-60.08T-56.45T-59.89T
Long-Term Debt28.18T27.48T28.21T37.37T37.49T40.94T40.38T43.57T17.52T42.34T42.74T42.67T16.76T39.36T40.14T45.05T14.57T45.88T44.07T44.75T
Short-Term Debt50.51T48.23T49.32T45.61T51.91T48.59T45.88T40.81T43.71T44.05T39.84T37.43T45.65T42.19T41.11T5.6T32.16T4.43T4.07T3.63T
Other Liabilities330.52T38.1T36.41T35.19T36.11T39.08T34.88T38.73T74.75T39.87T43.21T40.79T73.28T41.06T40.51T-45.05T76.53T-46.96T-45.29T-45.92T
Total Current Liabilities50.51T329.05T316.77T306.61T317.16T311.14T301.6T303.15T290.14T294.6T292.36T284.56T278.24T293.04T293.06T5.6T264.05T4.43T4.07T3.63T
Total Non-Current Liabilities359.25T66.25T65.31T73.17T74.23T80.43T75.78T82.74T92.82T82.46T86.2T83.71T90.28T80.66T80.89T45.35T91.69T57.59T55.97T56.66T
Total Liabilities409.76T395.3T382.08T379.78T391.39T391.57T377.38T385.89T382.96T377.06T378.56T368.27T368.53T373.69T373.95T369.28T355.74T347.15T341.7T343.76T
Total Equity23.85T22.81T22.24T21.26T21.73T21.62T21.68T21.37T20.75T19.99T19.62T19.18T18.27T17.69T17.85T17.63T17.99T18.62T18.75T18.3T
Equity Growth %9.75%5.49%2.58%-0.53%4.73%8.14%10.51%11.43%13.54%13.01%9.89%8.76%1.58%-4.99%-4.79%-3.66%1.54%10909.8%8.23%8.32%
Equity / Assets (Capital Ratio)5.5%5.46%5.5%5.3%5.26%5.23%5.43%5.25%5.14%5.04%4.93%4.95%4.72%4.52%4.56%4.56%4.81%5.09%5.2%5.06%
Return on Equity (ROE)2.68%2.31%3.43%2.54%0.53%2.27%3.26%2.64%0.95%1.87%1.9%2.98%4.3%0.63%0.66%0.64%0.33%1.55%2.15%2.13%
Book Value per Share2132.011995.491946.871847.101880.431843.711848.491822.231732.471667.531627.211595.011510.841450.751418.081386.621400.911450.371460.121425.45
Tangible BV per Share1956.381825.771778.051684.961718.111681.501681.641658.311592.901542.031502.601476.451398.551330.851302.311275.891296.221339.791347.461311.46
Common Stock2.15T2.14T2.14T2.14T2.14T2.14T2.14T2.14T2.14T2.14T2.14T2.14T2.14T2.14T2.14T2.14T2.14T2.14T2.14T2.14T
Additional Paid-in Capital0013.96B11.05B0076.81B83.41B83.62B83.41B348.42B349.66B349.66B502.61B770.72B770.72B770.28B770.37B974.73B977.29B
Retained Earnings16.22T15.53T15.69T14.94T14.85T14.8T14.82T14.12T13.79T13.6T13.48T13.11T12.74T11.96T12.05T11.93T12T11.94T11.82T11.42T
Accumulated OCI4.82T4.49T4.01T3.82T4.26T3.98T4.15T4.56T4.19T3.46T3.04T2.96T2.48T2.58T2.55T2.32T2.57T3.21T3.37T3.34T
Treasury Stock-938.19B-799.43B-975.06B-896.46B-726.63B-544B-722.92B-728.32B-613.82B-395.05B-479.44B-480.74B-481.09B-529.14B-688.06B-528.91B-451.29B-375.17B-505.74B-509.73B
Preferred Stock00000000000000000000