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Mitsubishi UFJ Financial Group, Inc
(NYSE:MUFG) 

MUFG stock logo

Mitsubishi UFJ Financial Group, Inc., a bank holding company, provides financial services in Japan, the United States, and Asia/Oceania. The company's Retail & Commercial Banking Business Group segment offers commercial banking, trust banking, and securities products and services to retail, and smal...

Founded: 2005
Full Time Employees: 133,200
Sector: Financial Services
Industry: Banks-Diversified

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    Unit: USD2025-11-14 2025-08-07 2025-08-04 2025-05-15 2025-03-31 2025-02-12 2025-02-04 2024-11-14 2024-09-30 2024-08-01 2024-05-15 2024-03-31 2024-02-05 2023-11-14 2023-09-30 2023-08-01 2023-05-15 2023-03-31 2023-02-02 2022-11-14 2022-09-30 2022-08-02 2022-05-16 2022-02-02 2021-11-15 2021-09-30 2021-08-02 2021-05-17 2021-02-04 2020-11-13 2020-09-30 2020-08-04 2020-05-15 2020-02-04 2019-11-13 2019-07-31 2019-05-15 2019-02-04 2018-11-13 2018-08-02 2018-07-13 2018-05-15 2018-02-02 2017-11-14 2017-08-01 2017-07-18 2017-05-15 2017-02-03 2017-01-30 2016-11-14 2016-08-01 2016-07-15 2016-05-16 2016-02-01 2016-01-29 2015-11-13 2015-07-31 2015-07-27 2015-05-15 2015-02-03 2014-07-18 2013-07-22 2012-07-23 2012-01-23 2011-07-28 2011-01-20 2010-08-16 2010-03-31 2010-02-03 2009-03-31 2009-02-17 2008-09-19 2008-03-31 2008-02-28 2007-05-23 2007-03-31 2007-03-29 2006-02-28 2005-05-25 2005-03-04 
                                                                                    
      ordinary income
    6,893,775,000,000 3,253,932,000,000 3,253,932,000,000  2,126,919,000,000 10,277,584,000,000 10,277,584,000,000 6,860,277,000,000  3,525,017,000,000  1,698,441,750,000 8,507,676,000,000 5,665,663,000,000  2,774,099,000,000  1,090,729,500,000 6,793,767,000,000 4,314,217,000,000  2,163,890,000,000  4,362,918,000,000 2,958,419,000,000  1,503,727,000,000  4,495,026,000,000 3,139,256,000,000  1,697,631,000,000  5,303,596,000,000 3,585,298,000,000 1,803,433,000,000 6,697,402,000,000 5,023,125,000,000 3,375,731,000,000 1,641,660,000,000   4,577,331,000,000 3,068,191,000,000 1,507,440,000,000   4,319,070,000,000  2,779,372,000,000 1,389,349,000,000  5,714,419,000,000 4,290,963,000,000  2,991,884,000,000   5,638,402,000,000 4,260,328,000,000                     
      interest income
    4,183,706,000,000 2,022,572,000,000 2,022,572,000,000  1,336,006,250,000 6,483,557,000,000 6,483,557,000,000 4,357,421,000,000  2,353,006,000,000  944,350,750,000 5,344,025,000,000 3,532,387,000,000  1,671,075,000,000  471,807,000,000 3,777,403,000,000 2,363,604,000,000  1,205,351,000,000  1,887,228,000,000 1,260,434,000,000  632,043,000,000  2,010,750,000,000 1,438,090,000,000  764,995,000,000  2,914,182,000,000 1,961,292,000,000 976,834,000,000 3,732,203,000,000 2,754,145,000,000 1,805,570,000,000 871,720,000,000   2,307,859,000,000 1,533,164,000,000 729,642,000,000   2,085,669,000,000  1,352,690,000,000 696,237,000,000  2,769,248,000,000 2,071,759,000,000  1,394,968,000,000   2,806,238,000,000 2,047,164,000,000                     
      interest on loans and bills discounted
    1,995,915,000,000 968,208,000,000 968,208,000,000  716,995,500,000 3,282,823,000,000 3,282,823,000,000 2,158,474,000,000  1,186,309,000,000  490,738,250,000 2,867,982,000,000 1,899,955,000,000  901,940,000,000  302,012,000,000 1,962,953,000,000 1,154,963,000,000  492,571,000,000  1,208,048,000,000 803,807,000,000  406,219,000,000  1,367,636,000,000 961,639,000,000  508,898,000,000  1,811,000,000,000 1,209,195,000,000 597,670,000,000 2,353,452,000,000 1,754,192,000,000 1,154,602,000,000 558,127,000,000   1,526,438,000,000 998,388,000,000 490,814,000,000   1,344,856,000,000  866,315,000,000 447,669,000,000  1,812,133,000,000 1,361,475,000,000  918,153,000,000   1,835,445,000,000 1,342,778,000,000                     
      interest and dividends on securities
    879,962,000,000 412,039,000,000 412,039,000,000  244,585,250,000 1,225,699,000,000 1,225,699,000,000 819,014,000,000  444,660,000,000  288,063,250,000 978,341,000,000 684,598,000,000  314,009,000,000  99,355,000,000 1,152,253,000,000 874,150,000,000  593,771,000,000  397,420,000,000 271,233,000,000  135,153,000,000  324,350,000,000 237,729,000,000  113,704,000,000  502,292,000,000 348,956,000,000 159,904,000,000 685,681,000,000 497,715,000,000 339,225,000,000 164,431,000,000   430,039,000,000 319,026,000,000 133,483,000,000   499,007,000,000  323,017,000,000 162,377,000,000  628,882,000,000 473,210,000,000  311,129,000,000   627,946,000,000 458,696,000,000                     
      trust fees
    77,536,000,000 37,894,000,000 37,894,000,000  25,541,750,000 107,504,000,000 107,504,000,000 70,771,000,000  35,189,000,000  26,847,500,000 102,167,000,000 67,414,000,000  33,215,000,000  26,981,250,000 107,390,000,000 71,411,000,000  35,524,000,000  107,925,000,000 71,607,000,000  35,508,000,000  105,146,000,000 71,386,000,000  36,796,000,000  98,139,000,000 65,013,000,000 31,378,000,000 125,385,000,000 94,525,000,000 63,045,000,000 30,839,000,000   90,029,000,000 58,792,000,000 28,131,000,000   91,592,000,000  63,201,000,000 32,059,000,000  117,046,000,000 84,658,000,000  58,581,000,000 27,100,000,000  111,916,000,000 80,331,000,000                     
      fees and commissions
    1,212,712,000,000 566,731,000,000 566,731,000,000  363,478,250,000 1,725,244,000,000 1,725,244,000,000 1,117,642,000,000  557,301,000,000  346,033,750,000 1,453,913,000,000 961,227,000,000  457,534,000,000  311,437,250,000 1,384,135,000,000 859,244,000,000  412,122,000,000  1,245,749,000,000 822,700,000,000  406,998,000,000  1,109,868,000,000 726,752,000,000  348,711,000,000  1,127,348,000,000 731,230,000,000 361,812,000,000 1,523,527,000,000 1,128,234,000,000 743,426,000,000 368,218,000,000   1,132,120,000,000 744,736,000,000 352,881,000,000   1,067,262,000,000  718,809,000,000 348,788,000,000  1,536,719,000,000 1,114,399,000,000  756,548,000,000   1,508,698,000,000 1,080,952,000,000    548,822,000,000 1,128,358,000,000 557,613,000,000 1,139,543,000,000  566,403,000,000  612,757,000,000 1,317,047,000,000  1,407,193,000,000   659,689,000,000 595,159,000,000  312,471,000,000 
      trading income
    155,895,000,000 80,557,000,000 80,557,000,000  80,280,500,000 288,130,000,000 288,130,000,000 227,068,000,000  108,099,000,000  102,880,500,000 321,122,000,000 186,222,000,000  109,429,000,000  44,210,500,000 411,522,000,000 88,193,000,000  29,574,000,000  176,842,000,000 120,262,000,000  93,724,000,000  278,365,000,000 195,183,000,000  115,423,000,000  210,004,000,000 123,294,000,000 61,458,000,000 218,212,000,000 176,475,000,000 120,617,000,000 53,712,000,000   228,406,000,000 157,699,000,000 65,792,000,000   182,047,000,000  152,009,000,000 64,783,000,000  306,354,000,000 257,422,000,000  189,350,000,000   352,950,000,000 252,093,000,000                     
      other operating income
    490,073,000,000 239,531,000,000 239,531,000,000  130,211,250,000 470,870,000,000 470,870,000,000 287,483,000,000  178,316,000,000  94,159,250,000 520,845,000,000 374,268,000,000  205,728,000,000  67,115,000,000 376,637,000,000 442,190,000,000  228,979,000,000  268,460,000,000 198,752,000,000  90,667,000,000  552,411,000,000 432,637,000,000  330,146,000,000  479,459,000,000 367,862,000,000 146,554,000,000 382,491,000,000 282,567,000,000 174,085,000,000 101,352,000,000   322,276,000,000 244,724,000,000 181,490,000,000   437,861,000,000  224,510,000,000 137,901,000,000                              
      other ordinary income
    773,850,000,000 306,645,000,000 306,645,000,000  191,400,250,000 1,202,276,000,000 1,202,276,000,000 799,889,000,000  293,104,000,000  184,169,500,000 765,601,000,000 544,143,000,000  297,114,000,000  169,177,750,000 736,678,000,000 489,573,000,000  252,339,000,000  676,711,000,000 484,661,000,000  244,785,000,000  438,483,000,000 275,205,000,000  101,558,000,000  474,461,000,000 336,604,000,000 225,395,000,000 715,583,000,000 587,177,000,000 468,984,000,000 215,817,000,000   496,639,000,000 329,074,000,000 149,501,000,000   454,636,000,000  268,151,000,000 109,578,000,000  515,784,000,000 395,265,000,000  313,201,000,000   450,930,000,000 445,770,000,000                     
      ordinary expenses
    5,147,099,000,000 2,545,396,000,000 2,545,396,000,000  1,676,452,250,000 7,855,646,000,000 7,855,646,000,000 5,103,351,000,000  2,791,657,000,000  1,486,208,750,000 6,705,809,000,000 4,385,755,000,000  2,048,513,000,000  742,326,500,000 5,944,835,000,000 3,723,123,000,000  1,900,929,000,000  2,969,306,000,000 1,972,413,000,000  1,043,403,000,000  3,654,407,000,000 2,549,001,000,000  1,419,877,000,000  4,221,090,000,000 2,790,028,000,000 1,349,933,000,000 5,349,359,000,000 3,838,249,000,000 2,489,812,000,000 1,221,845,000,000   3,371,299,000,000 2,204,170,000,000 1,109,963,000,000   3,106,869,000,000  1,984,499,000,000 1,048,537,000,000  4,174,932,000,000 2,950,161,000,000  2,021,975,000,000   3,925,400,000,000 2,775,965,000,000                     
      interest expenses
    2,743,761,000,000 1,331,819,000,000 1,331,819,000,000  886,067,750,000 4,309,559,000,000 4,309,559,000,000 2,848,886,000,000  1,529,894,000,000  361,273,000,000 3,544,271,000,000 2,302,876,000,000  1,086,946,000,000  98,997,250,000 1,445,092,000,000 690,489,000,000    395,989,000,000 268,052,000,000  135,143,000,000  619,710,000,000 471,680,000,000  295,994,000,000  1,532,063,000,000 1,027,255,000,000 532,575,000,000 1,809,580,000,000 1,304,252,000,000 835,371,000,000 391,225,000,000   874,180,000,000 559,557,000,000 267,099,000,000   615,425,000,000  377,622,000,000 194,149,000,000  655,735,000,000 475,793,000,000  318,627,000,000   624,743,000,000 458,565,000,000                     
      interest on deposits
    1,006,646,000,000 494,993,000,000 494,993,000,000  341,493,750,000 1,679,732,000,000 1,679,732,000,000 1,091,459,000,000  601,433,000,000  132,893,750,000 1,365,975,000,000 900,318,000,000  417,834,000,000  33,907,500,000 531,575,000,000 266,670,000,000  84,304,000,000  135,630,000,000 94,620,000,000  49,095,000,000  220,015,000,000 163,963,000,000  93,811,000,000  545,767,000,000 362,252,000,000 175,927,000,000 183,081,000,000 414,885,000,000 268,539,000,000 127,564,000,000   307,245,000,000 195,251,000,000 91,794,000,000   207,517,000,000  129,594,000,000 68,024,000,000  79,087,000,000 218,818,000,000  151,490,000,000   63,470,000,000 214,760,000,000               228,000,000      
      trading expenses
    85,102,000,000 37,769,000,000 37,769,000,000         4,769,250,000    326,000,000  742,500,000 19,077,000,000 937,000,000  1,129,000,000  2,970,000,000 2,516,000,000  39,386,000,000          2,046,000,000 1,200,000,000 827,000,000 268,000,000   549,000,000 638,000,000 293,000,000   3,033,000,000  1,017,000,000 1,066,000,000                              
      other operating expenses
    143,086,000,000 114,189,000,000 114,189,000,000  76,979,750,000 331,999,000,000 331,999,000,000 90,050,000,000  57,076,000,000  327,709,250,000 307,919,000,000 151,498,000,000  59,144,000,000  28,348,250,000 1,310,837,000,000 998,359,000,000  705,372,000,000  113,393,000,000 72,815,000,000  50,126,000,000  276,191,000,000 191,782,000,000  166,480,000,000  177,335,000,000 136,600,000,000 29,185,000,000 225,052,000,000 137,485,000,000 78,351,000,000 35,779,000,000   116,587,000,000 63,224,000,000 32,847,000,000   167,057,000,000  63,867,000,000 34,040,000,000                              
      general and administrative expenses
    1,609,869,000,000 796,719,000,000 796,719,000,000  530,893,000,000 2,361,816,000,000 2,361,816,000,000 1,576,576,000,000  844,873,000,000  551,548,250,000 2,123,572,000,000 1,425,035,000,000  705,048,000,000  501,624,000,000 2,206,193,000,000 1,429,403,000,000  700,110,000,000  2,006,496,000,000 1,333,552,000,000  671,518,000,000  2,053,007,000,000 1,374,768,000,000  688,686,000,000  2,051,862,000,000 1,338,911,000,000 667,701,000,000 2,688,047,000,000 2,018,267,000,000 1,335,443,000,000 670,019,000,000   2,022,285,000,000 1,340,012,000,000 672,808,000,000   1,920,298,000,000  1,277,017,000,000 658,003,000,000  2,602,450,000,000 1,941,117,000,000  1,297,774,000,000 653,100,000,000  2,619,867,000,000 1,917,061,000,000               9,080,000,000      
      other ordinary expenses
    353,013,000,000 159,770,000,000 159,770,000,000  114,766,250,000 539,842,000,000 539,842,000,000 378,200,000,000  250,456,000,000  180,020,750,000 459,065,000,000 326,444,000,000  107,720,000,000  56,846,750,000 720,083,000,000 445,477,000,000  196,992,000,000  227,387,000,000 145,944,000,000  70,025,000,000  540,887,000,000 403,082,000,000  212,958,000,000  284,270,000,000 175,682,000,000 62,553,000,000 405,058,000,000 213,184,000,000 130,143,000,000 68,894,000,000   196,774,000,000 133,166,000,000 83,557,000,000   250,097,000,000  165,653,000,000 108,401,000,000  516,997,000,000 209,895,000,000  154,674,000,000   347,420,000,000 157,329,000,000                     
      ordinary profits
    1,746,675,000,000 708,535,000,000 708,535,000,000  450,466,750,000 2,421,937,000,000 2,421,937,000,000 1,756,926,000,000  733,359,000,000  212,233,000,000 1,801,867,000,000 1,279,907,000,000  725,585,000,000  348,402,750,000 848,932,000,000 591,094,000,000  262,961,000,000  1,393,611,000,000 986,006,000,000  460,323,000,000  840,619,000,000 590,254,000,000  277,753,000,000  1,082,505,000,000 795,270,000,000 453,499,000,000 1,348,043,000,000 1,184,876,000,000 885,919,000,000 419,814,000,000   1,206,031,000,000 864,020,000,000 397,476,000,000   1,212,200,000,000  794,873,000,000 340,812,000,000  1,539,486,000,000 1,340,801,000,000  969,908,000,000 485,000,000,000  1,713,001,000,000 1,484,363,000,000                     
      extraordinary gains
    44,449,000,000 22,870,000,000 22,870,000,000  4,293,000,000 11,692,000,000 11,692,000,000 9,549,000,000  7,612,000,000  2,524,250,000 17,172,000,000 9,725,000,000  6,997,000,000  31,701,250,000 10,097,000,000 7,783,000,000  5,222,000,000  126,805,000,000 115,676,000,000  65,997,000,000  22,883,000,000 20,897,000,000  8,927,000,000  39,756,000,000 37,372,000,000 34,278,000,000 17,797,000,000 12,524,000,000 11,564,000,000 7,625,000,000   53,590,000,000 51,400,000,000 1,344,000,000   9,311,000,000  8,410,000,000 5,513,000,000  21,316,000,000 2,477,000,000  1,237,000,000   14,655,000,000 12,514,000,000                     
      gains on disposition of fixed assets
    6,132,000,000 5,315,000,000 5,315,000,000  4,263,750,000 11,692,000,000 11,692,000,000 9,549,000,000  7,612,000,000  2,524,250,000 17,055,000,000 9,725,000,000  6,997,000,000  5,425,250,000 10,097,000,000 7,783,000,000  5,222,000,000  21,701,000,000 17,439,000,000  9,473,000,000  15,539,000,000 13,553,000,000  8,927,000,000  7,052,000,000 4,928,000,000 1,921,000,000 16,096,000,000 10,827,000,000 9,865,000,000 7,571,000,000   4,835,000,000 2,645,000,000 1,285,000,000   9,117,000,000  8,215,000,000 5,319,000,000  21,316,000,000 2,477,000,000  1,237,000,000   5,011,000,000 2,871,000,000                     
      gains on step acquisitions
    20,755,000,000                                 2,105,000,000 2,105,000,000 2,105,000,000                                             
      gains on liquidation of subsidiaries
    17,555,000,000 17,555,000,000 17,555,000,000                                  1,645,000,000 1,645,000,000 1,645,000,000                                    47,000,000      
      gains on change in equity
    5,000,000    29,250,000        117,000,000     16,150,250,000      64,601,000,000 64,944,000,000  56,524,000,000                                9,643,000,000 9,643,000,000                     
      extraordinary losses
    20,607,000,000 2,791,000,000 2,791,000,000  14,581,500,000 27,535,000,000 27,535,000,000 24,625,000,000  4,909,000,000  18,666,000,000 58,326,000,000 52,539,000,000  29,521,000,000  16,052,250,000 74,664,000,000 65,132,000,000  27,140,000,000  64,209,000,000 45,742,000,000  29,550,000,000  43,574,000,000 38,533,000,000  22,845,000,000  285,079,000,000 46,537,000,000 26,694,000,000 220,513,000,000 46,380,000,000 28,721,000,000 21,711,000,000   48,792,000,000 47,043,000,000 22,335,000,000   68,859,000,000  64,842,000,000 60,492,000,000  62,033,000,000 45,992,000,000  44,386,000,000   112,899,000,000 86,095,000,000                     
      losses on disposition of fixed assets
    8,080,000,000 2,723,000,000 2,723,000,000  2,431,750,000 7,296,000,000 7,296,000,000 4,447,000,000  2,079,000,000  2,459,250,000 9,727,000,000 6,343,000,000  3,690,000,000  1,947,750,000 9,837,000,000 5,172,000,000  2,672,000,000  7,791,000,000 4,598,000,000  2,410,000,000  7,432,000,000 4,365,000,000  1,643,000,000  6,880,000,000 5,284,000,000 1,567,000,000 9,456,000,000 5,138,000,000 3,486,000,000 1,508,000,000   6,382,000,000 4,876,000,000 2,386,000,000   6,627,000,000  5,087,000,000 2,459,000,000  12,144,000,000 7,100,000,000  6,240,000,000   9,938,000,000 5,496,000,000                     
      losses on impairment of fixed assets
    12,198,000,000 9,000,000 9,000,000  6,509,250,000 16,949,000,000 16,949,000,000 16,868,000,000  2,626,000,000  2,927,250,000 26,037,000,000 23,778,000,000  3,596,000,000  9,189,000,000 11,709,000,000 6,838,000,000  732,000,000  36,756,000,000 21,484,000,000  7,482,000,000  19,425,000,000 17,489,000,000  4,512,000,000  43,388,000,000 16,609,000,000 2,536,000,000 184,692,000,000 23,102,000,000 8,507,000,000 4,362,000,000   22,839,000,000 22,597,000,000 379,000,000   6,551,000,000  4,069,000,000 2,480,000,000  13,415,000,000 2,528,000,000  1,804,000,000   11,487,000,000 5,997,000,000               1,000,000      
      benefit from reserve for contingent liabilities from financial instruments transactions
    328,000,000 59,000,000 59,000,000  125,750,000 266,000,000 266,000,000 286,000,000  203,000,000  750,000 503,000,000 359,000,000  176,000,000  1,000,000 3,000,000 8,000,000  24,000,000  4,000,000 1,000,000    136,000,000 97,000,000                       460,000,000 349,000,000  328,000,000   918,000,000 669,000,000                     
      benefit from reserve for contingent liabilities arising from commodities transactions
                                                                                    
      losses on sales of shares of subsidiaries
         3,023,000,000 3,023,000,000 3,023,000,000                                                                         
      profits before income taxes
    1,770,518,000,000 728,615,000,000 728,615,000,000  440,178,000,000 2,406,094,000,000 2,406,094,000,000 1,741,849,000,000  736,062,000,000  196,091,250,000 1,760,712,000,000 1,237,093,000,000  703,061,000,000  364,051,750,000 784,365,000,000 533,744,000,000  241,043,000,000  1,456,207,000,000 1,055,941,000,000  496,770,000,000  819,927,000,000 572,619,000,000  263,836,000,000  837,183,000,000 786,104,000,000 461,083,000,000 1,145,327,000,000 1,151,020,000,000 868,761,000,000 405,728,000,000   1,210,829,000,000 868,377,000,000 376,485,000,000   1,152,653,000,000  738,440,000,000 285,832,000,000                              
      income taxes-current
    364,274,000,000 144,834,000,000 144,834,000,000  87,816,000,000 432,990,000,000 432,990,000,000 259,670,000,000  135,758,000,000  81,023,250,000 351,264,000,000 197,629,000,000  104,058,000,000  67,644,750,000 373,662,000,000 202,010,000,000  102,529,000,000  256,408,000,000 153,153,000,000  62,948,000,000  193,897,000,000 171,042,000,000  95,641,000,000  141,995,000,000 106,322,000,000 56,635,000,000 189,195,000,000  73,606,000,000 52,521,000,000   250,249,000,000 161,188,000,000 78,658,000,000     145,032,000,000   424,814,000,000   187,742,000,000 107,600,000,000  421,941,000,000                3,000,000      
      income taxes-deferred
    42,588,000,000 2,360,000,000 2,360,000,000  13,986,500,000 147,449,000,000 147,449,000,000 169,539,000,000  18,027,000,000  14,357,500,000 55,946,000,000 77,293,000,000  23,442,000,000  17,479,750,000 57,430,000,000 58,800,000,000  4,589,000,000  69,919,000,000 72,592,000,000  30,830,000,000  -42,728,000,000 -38,663,000,000  -32,760,000,000  38,553,000,000 20,428,000,000 -11,140,000,000 6,373,000,000  91,722,000,000 12,850,000,000   17,683,000,000 29,380,000,000 -16,268,000,000     33,440,000,000   35,389,000,000   71,204,000,000 28,000,000,000  45,845,000,000                1,900,000,000      
      total taxes
    406,863,000,000 147,194,000,000 147,194,000,000  101,802,500,000 580,440,000,000 580,440,000,000 429,210,000,000  153,786,000,000  95,381,000,000 407,210,000,000 274,923,000,000  127,500,000,000  81,581,750,000 381,524,000,000 260,810,000,000  107,119,000,000  326,327,000,000 225,745,000,000  93,779,000,000  151,168,000,000 132,378,000,000  62,881,000,000  180,548,000,000 126,750,000,000 45,494,000,000 195,568,000,000 203,997,000,000 165,328,000,000 65,372,000,000   267,933,000,000 190,568,000,000 62,390,000,000   279,664,000,000  178,473,000,000 60,785,000,000  460,204,000,000 354,840,000,000  258,946,000,000 135,700,000,000  467,786,000,000 383,225,000,000                     
      profits
    1,363,654,000,000 581,420,000,000 581,420,000,000  338,375,250,000 1,825,654,000,000 1,825,654,000,000 1,312,639,000,000  582,276,000,000  100,710,250,000 1,353,501,000,000 962,170,000,000  575,560,000,000  282,469,750,000 402,841,000,000 272,934,000,000  133,924,000,000  1,129,879,000,000 830,195,000,000  402,991,000,000  668,759,000,000 440,240,000,000  200,954,000,000  656,634,000,000 659,354,000,000 415,588,000,000 949,758,000,000 947,023,000,000 703,432,000,000 340,355,000,000   942,896,000,000 677,809,000,000 314,095,000,000   872,988,000,000  559,967,000,000 225,046,000,000  1,038,565,000,000 942,446,000,000  667,812,000,000 312,300,000,000                        
      profits attributable to non-controlling interests
    70,699,000,000 35,352,000,000 35,352,000,000  13,896,250,000 76,714,000,000 76,714,000,000 54,444,000,000  26,382,000,000  14,916,250,000 55,585,000,000 34,888,000,000  17,171,000,000  14,870,250,000 59,665,000,000 41,842,000,000  20,238,000,000  59,481,000,000 48,761,000,000  19,909,000,000  61,721,000,000 39,413,000,000  17,462,000,000  72,355,000,000 49,395,000,000 24,521,000,000 77,069,000,000 74,791,000,000 52,636,000,000 25,355,000,000   79,469,000,000 50,869,000,000 25,070,000,000   86,050,000,000  69,436,000,000 36,122,000,000  87,162,000,000 90,167,000,000  68,491,000,000 34,600,000,000                        
      profits attributable to owners of parent
    1,292,955,000,000 546,068,000,000 546,068,000,000  324,479,000,000 1,748,939,000,000 1,748,939,000,000 1,258,195,000,000  555,894,000,000  85,793,750,000 1,297,916,000,000 927,281,000,000  558,389,000,000  267,599,500,000 343,175,000,000 231,091,000,000  113,685,000,000  1,070,398,000,000 781,433,000,000  383,082,000,000 777,018,000,000 607,037,000,000 400,826,000,000  183,492,000,000 528,151,000,000 584,278,000,000 609,958,000,000 391,067,000,000 872,689,000,000 872,232,000,000 650,796,000,000 315,000,000,000   863,427,000,000 626,940,000,000 289,025,000,000   786,938,000,000  490,530,000,000 188,924,000,000  951,402,000,000 852,279,000,000  599,321,000,000 277,700,000,000                        
      other comprehensive income
                                                                                    
      net unrealized gains on available-for-sale securities
     84,962,000,000 84,962,000,000       -193,254,000,000      45,712,000,000      -730,211,000,000     -18,698,000,000                  146,720,000,000      -22,539,000,000                              
      net deferred gains on hedging instruments
     -94,270,000,000 -94,270,000,000       -111,529,000,000      -45,231,000,000      -155,595,000,000     37,094,000,000                  -37,513,000,000      111,459,000,000   114,314,000,000  43,897,000,000    112,099,000,000                     
      land revaluation excess
     7,000,000 7,000,000                                                -15,000,000   297,000,000  326,000,000                         
      foreign currency translation adjustments
     -279,302,000,000 -279,302,000,000       471,663,000,000      233,712,000,000      558,197,000,000     251,347,000,000                  -85,580,000,000 -143,210,000,000     -258,356,000,000   -190,477,000,000  -6,450,000,000    163,705,000,000           -40,586      -5,985   3,526 
      remeasurements of defined benefit plans
     -15,955,000,000 -15,955,000,000       -11,344,000,000      -8,359,000,000      -9,635,000,000     -8,812,000,000                  13,080,000,000      14,679,000,000   4,820,000,000  3,771,000,000    7,480,000,000                     
      net unrealized gains on loans of foreign subsidiaries
     1,770,000,000 1,770,000,000                                                                              
      share of other comprehensive income of associates accounted for using equity method
     -143,046,000,000 -143,046,000,000       254,942,000,000      265,101,000,000      122,913,000,000     106,439,000,000                  -55,606,000,000      -77,330,000,000   -20,000,000,000  23,020,000,000    -8,093,000,000                     
      total other comprehensive income
     -445,834,000,000 -445,834,000,000       410,601,000,000      490,935,000,000      -214,331,000,000     367,369,000,000                  -18,900,000,000      -232,103,000,000   -509,315,000,000  -615,150,000,000    1,338,062,000,000                     
      comprehensive income
     135,586,000,000 135,586,000,000       992,877,000,000      1,066,496,000,000      -80,407,000,000     770,361,000,000                  295,194,000,000 129,616,000,000     -7,056,000,000   433,130,000,000  52,662,000,000    2,365,619,000,000                     
      comprehensive income attributable to owners of parent
     108,064,000,000 108,064,000,000       940,670,000,000      1,035,593,000,000      -125,568,000,000     740,089,000,000                  269,201,000,000      -33,518,000,000   366,944,000,000  -10,354,000,000                         
      comprehensive income attributable to non-controlling interests
     27,522,000,000 27,522,000,000       52,207,000,000      30,902,000,000      45,160,000,000     30,271,000,000                  25,993,000,000      26,462,000,000   66,185,000,000  63,017,000,000                         
      total equity
       21,728,132,000,000       20,746,978,000,000      18,272,857,000,000      17,988,245,000,000     17,716,257     16,855,738         17,295,037,000,000     16,658,394,000,000                                  
      deductions from total equity:
       1,207,758,000,000       1,159,004,000,000      1,041,565,000,000      964,471,000,000     913,684     864,904         1,270,398,000,000     1,378,126,000,000                                  
      subscription rights to shares
       11,000,000                             166,000,000         274,000,000     407,000,000                                  
      non-controlling interests
       1,207,746,000,000       1,159,003,000,000      1,041,565,000,000      964,471,000,000     913,684     864,844         1,270,123,000,000     1,377,719,000,000                                  
      total equity attributable to common shares
       20,520,374,000,000       19,587,974,000,000      17,231,291,000,000      17,023,773,000,000     16,802,572     15,990,834         16,024,639,000,000     15,280,268,000,000                                  
      number of common shares at period end used for the calculation of total equity per common share
       11,506,517,000,000       11,726,188,000,000      12,023,645,000,000      12,614,699,000,000     12,844,802     12,840,631         13,162,889,000,000     13,429,943,000,000                                  
      1.  financial results
       1,000,000       1,000,000                                                                      
      2.  average interest rate spread
       7,000,000       7,000,000                                                                      
      3.  notional principal by the remaining life of the interest rate swaps for hedge-accounting
       8,000,000       8,000,000                                                                      
      4.  securities
       9,000,000       9,000,000                                                                      
      5.  roe
       12,000,000       12,000,000                                                                      
      6.  risk-adjusted capital ratio
       13,000,000       13,000,000                                                                      
      7.  loans to be disclosed under the banking act and the financial reconstruction act
       14,000,000       14,000,000                                                                      
      8.  progress in disposition of problem assets
       20,000,000       20,000,000                                                                      
      9.  loans classified by type of industry
       22,000,000       22,000,000                                                                      
      10   domestic consumer loans, domestic loans to small/medium-sized companies and proprietors
       26,000,000       26,000,000                                                                      
      11.  overseas loans
       27,000,000       27,000,000                                                                      
      12.  loans and deposits
       28,000,000       28,000,000                                                                      
      13.  domestic deposits
       29,000,000       29,000,000                                                                      
      14.  status of deferred tax assets
       30,000,000       30,000,000                                                                      
      15.  retirement benefits
       32,000,000       32,000,000                                                                      
      (reference) 1.  financial statements
       35,000,000       35,000,000                                                                      
      gross profits
                                                            1,070,000,000,000                        
      gross profits before credit costs for trust accounts
                                                            1,070,000,000,000                        
      net interest income
            1,490,149,000,000      1,244,871,000,000      1,166,734,000,000     979,452,000,000     1,030,417,000,000          2,230,261,000,000     2,221,128,000,000   1,105,413,000,000   2,261,374,000,000   1,130,599,000,000  545,300,000,000 2,231,461,000,000   1,961,311,000,000 1,871,103,000,000 1,955,817,000,000 1,034,023,000,000 1,880,274,000,000 949,336,000,000 1,984,104,000,000  1,042,343,000,000  1,119,381,000,000 2,279,717,000,000  2,329,766,000,000   1,186,117,000,000 961,978,000,000  479,926,000,000 
      credit costs for trust accounts
                                                                                    
      net fees and commissions
                                                            305,900,000,000                        
      net trading profits
                                                            83,500,000,000                        
      net other operating profits
                                                                                    
      net gains on debt securities
                                                            79,300,000,000                        
      amortization of goodwill
                                     207,425,000,000                       4,400,000,000                        
      net operating profits before credit costs for trust accounts, provision for general allowance for credit losses and amortization of goodwill
                                                                                    
      net operating profits before credit costs for trust accounts and provision for general allowance for credit losses
                                                                                    
      provision for general allowance for credit losses
                                                                                    
      net operating profits*
                                                                                    
      net non-recurring gains
                                                            68,100,000,000                        
      credit costs
                                                            -75,000,000,000                        
      losses on loan write-offs
                                                            -36,600,000,000                        
      provision for specific allowance for credit losses
                                                                                    
      other credit costs
                                                            -38,400,000,000                        
      reversal of allowance for credit losses
                                        15,053,000,000                    21,600,000,000                        
      reversal of reserve for contingent losses included in credit costs
                                                                                    
      gains on loans written-off
                                        67,063,000,000                60,645,000,000    13,700,000,000  64,735,000,000                      
      net gains on equity securities
                                                            31,600,000,000                        
      gains on sales of equity securities
                                                            41,700,000,000                        
      losses on sales of equity securities
                                                            -3,800,000,000                        
      losses on write-down of equity securities
                                                            -6,200,000,000                        
      equity in earnings of equity method investees
                                                                        -84,126,000,000  6,123,000,000      -37,540,000,000    
      other non-recurring gains
                                                            -9,400,000,000                        
      net extraordinary gains
                                                            -36,900,000,000                        
      net gains on disposition of fixed assets
                                                                                    
      gains on sales of shares of affiliates
                     6,967,500,000      27,870,000,000 29,053,000,000    7,344,000,000 7,344,000,000                                                   
      losses on step acquisitions
                                                                                    
      net gains on change in equity
                                                            -36,000,000,000                        
      note:
                                                                                    
      *  net operating profits = banking subsidiaries’ net operating profits + other consolidated entities’ gross profits - other consolidated entities’ general and administrative expenses - other consolidated entities’ provision for general allowance for credit losses - amortization of goodwill - inter-company transactions
                                                                                    
      total credit costs +++++
                                                                                    
      number of consolidated subsidiaries
                                                                                    
      number of affiliated companies accounted for under the equity method
                                                                                    
      losses on change in equity
        5,514,500,000       5,927,750,000 22,058,000,000 22,058,000,000  22,058,000,000  4,914,250,000 23,711,000,000 23,711,000,000  23,711,000,000  19,657,000,000 19,657,000,000  19,657,000,000  16,580,000,000 16,580,000,000  16,580,000,000  21,311,000,000 21,311,000,000 21,311,000,000 15,223,000,000 15,223,000,000 15,223,000,000 15,223,000,000   19,569,000,000 19,569,000,000 19,569,000,000   45,654,000,000  45,654,000,000 45,654,000,000  36,013,000,000 36,013,000,000  36,013,000,000   33,291,000,000 33,291,000,000                     
      interest income:
                                                                                    
      loans, including fees
                                            2,271,219,000,000     2,023,649,000,000      2,054,338,000,000      1,981,274,000,000   1,663,742,000,000 1,577,770,000,000 1,595,097,000,000 801,477,000,000 1,664,821,000,000 855,653,000,000 1,914,705,000,000     2,790,505,000,000  2,647,503,000,000    968,811,000,000   
      deposits in other banks
            372,370,000,000      355,192,000,000      103,477,000,000     27,048,000,000     30,422,000,000          126,608,000,000     78,735,000,000   36,982,000,000   82,654,000,000   37,886,000,000   64,270,000,000   47,056,000,000 27,304,000,000 39,963,000,000 21,205,000,000 29,188,000,000 13,321,000,000 26,697,000,000  14,771,000,000  83,221,000,000 258,544,000,000  251,034,000,000   123,188,000,000 20,735,000,000  25,311,000,000 
      investment securities
            404,110,000,000      355,121,000,000      237,410,000,000     162,407,000,000     160,273,000,000                  187,835,000,000      201,240,000,000         345,662,000,000  248,745,000,000   234,699,000,000  213,360,000,000   754,801,000,000   346,239,000,000 213,446,000,000  176,931,000,000 
      trading account assets
            500,730,000,000      360,921,000,000      250,571,000,000     194,044,000,000     196,858,000,000          432,595,000,000     455,860,000,000   212,587,000,000   422,080,000,000   196,241,000,000   400,020,000,000   407,415,000,000 394,788,000,000 315,742,000,000 139,986,000,000 305,214,000,000 148,057,000,000 307,958,000,000  159,225,000,000  253,900,000,000 110,348,000,000  99,918,000,000   67,026,000,000 18,809,000,000  23,181,000,000 
      call loans, funds sold, and receivables under resale agreements and securities borrowing transactions
            477,197,000,000      193,947,000,000      30,721,000,000     16,694,000,000     64,603,000,000                  31,224,000,000      28,759,000,000         49,840,000,000  25,579,000,000   21,974,000,000  132,072,000,000   162,473,000,000   58,931,000,000 23,330,000,000  19,437,000,000 
      total
            4,102,477,000,000      3,276,544,000,000      1,823,406,000,000     1,251,708,000,000     1,486,883,000,000          3,259,016,000,000     2,990,767,000,000   1,465,658,000,000   3,005,738,000,000   1,484,282,000,000   2,894,645,000,000   2,522,283,000,000 2,427,521,000,000 2,595,956,000,000 1,358,170,000,000 2,550,947,000,000 1,291,355,000,000 2,758,504,000,000  1,456,575,000,000  2,006,009,000,000 4,366,811,000,000  3,915,729,000,000   1,896,566,000,000 1,245,131,000,000 191,640,000,000 695,542,000,000 
      interest expense:
                                                                                    
      deposits
            1,462,814,000,000      1,142,035,000,000      334,538,000,000     111,927,000,000     197,457,000,000          514,868,000,000     347,430,000,000   165,897,000,000   350,335,000,000   170,578,000,000   300,692,000,000   226,655,000,000 212,067,000,000 228,858,000,000 113,399,000,000 256,190,000,000 137,690,000,000 353,869,000,000  196,132,000,000  448,642,000,000 1,093,956,000,000  835,899,000,000   369,982,000,000 83,506,000,000  94,088,000,000 
      call money, funds purchased, and payables under repurchase agreements and securities lending transactions
            674,879,000,000      461,932,000,000      106,351,000,000     15,870,000,000     75,468,000,000                  31,379,000,000      20,632,000,000         49,431,000,000  32,163,000,000   38,424,000,000  186,407,000,000   284,152,000,000   104,498,000,000 32,741,000,000  30,452,000,000 
      due to trust account, other short-term borrowings and trading account liabilities
            219,395,000,000      174,949,000,000      59,154,000,000     20,879,000,000     44,649,000,000                                                  
      long-term debt
            255,240,000,000      252,757,000,000      156,629,000,000     123,580,000,000     138,892,000,000          249,483,000,000     278,476,000,000   135,631,000,000   284,949,000,000   136,630,000,000   252,955,000,000   230,127,000,000 227,521,000,000 253,873,000,000 130,900,000,000 278,188,000,000 143,972,000,000 289,427,000,000  140,478,000,000  157,931,000,000 331,504,000,000  284,804,000,000   133,029,000,000 142,877,000,000  55,745,000,000 
      provision for credit losses
            128,584,000,000                      209,806,000,000               253,688,000,000      231,862,000,000          144,542,000,000 223,809,000,000 89,342,000,000 292,035,000,000 186,314,000,000 647,793,000,000  381,196,000,000  457,275,000,000 385,740,000,000  358,603,000,000    91,866,000,000   
      net interest income after provision for credit losses
            1,361,565,000,000                 990,290,000,000     820,611,000,000               1,967,440,000,000      2,029,512,000,000          1,726,561,000,000 1,732,008,000,000 944,681,000,000 1,588,239,000,000 763,022,000,000 1,336,311,000,000  661,147,000,000  662,106,000,000 1,893,977,000,000  1,971,163,000,000    870,112,000,000   
      non-interest income:
                                                                                    
      fees and commissions income
            1,013,028,000,000      881,258,000,000      787,642,000,000     798,065,000,000     699,772,000,000          1,462,792,000,000     1,414,893,000,000   687,853,000,000   1,475,872,000,000   729,900,000,000   1,400,980,000,000   1,294,116,000,000 1,160,874,000,000 1,099,963,000,000                  
      foreign exchange gains —net
            202,840,000,000            -126,755,000,000     5,382,000,000                                                       
      trading account profits (losses) —net
            537,284,000,000            -1,367,090,000,000                                                            
      investment securities gains —net
            -485,145,000,000      743,395,000,000      -493,309,000,000                                                            
      equity in earnings of equity method investees—net
            316,339,000,000      214,835,000,000      186,906,000,000     216,085,000,000     140,420,000,000          227,984,000,000     197,821,000,000   128,468,000,000   176,857,000,000   114,252,000,000   172,946,000,000   110,520,000,000 60,210,000,000                   
      other non-interest income
            109,559,000,000      86,876,000,000      38,856,000,000     93,305,000,000     19,658,000,000          63,978,000,000     63,617,000,000   44,292,000,000   41,669,000,000   35,274,000,000   65,850,000,000   75,676,000,000 144,774,000,000 103,424,000,000 77,521,000,000 140,766,000,000 72,389,000,000 195,966,000,000  75,719,000,000  88,473,000,000 162,506,000,000  116,537,000,000   62,515,000,000 241,401,000,000  70,128,000,000 
      non-interest expense:
                                                                                    
      salaries and employee benefits
            714,830,000,000      623,877,000,000      659,606,000,000     638,930,000,000     607,166,000,000          1,099,493,000,000     1,096,797,000,000   555,671,000,000   1,158,896,000,000   574,221,000,000   1,097,452,000,000   1,029,580,000,000 932,399,000,000 900,144,000,000 443,726,000,000 863,996,000,000 437,698,000,000 908,213,000,000  460,162,000,000  446,595,000,000 909,771,000,000  862,401,000,000   424,982,000,000 317,497,000,000  238,935,000,000 
      occupancy expenses—net
            78,751,000,000      76,784,000,000      78,602,000,000     84,227,000,000     89,628,000,000          179,100,000,000     176,819,000,000   90,369,000,000   182,782,000,000   87,773,000,000   168,780,000,000   158,393,000,000 151,138,000,000 150,808,000,000 79,441,000,000 162,498,000,000 80,659,000,000 171,098,000,000  82,483,000,000  85,322,000,000 173,183,000,000  179,342,000,000   88,545,000,000 116,283,000,000  60,424,000,000 
      fees and commissions expenses
            203,719,000,000      189,657,000,000      161,797,000,000     157,911,000,000     148,250,000,000                  133,243,000,000                                
      outsourcing expenses, including data processing
            154,441,000,000      162,312,000,000      178,132,000,000     152,125,000,000     146,721,000,000          276,236,000,000     258,345,000,000   123,961,000,000   244,734,000,000   120,996,000,000   241,650,000,000   216,737,000,000 198,134,000,000 191,089,000,000 94,868,000,000 194,842,000,000 97,454,000,000 215,397,000,000  106,134,000,000  138,356,000,000 248,265,000,000  267,921,000,000       
      depreciation of premises and equipment
            41,685,000,000      35,813,000,000      34,819,000,000     40,505,000,000     43,807,000,000          96,180,000,000     99,774,000,000   47,861,000,000   99,680,000,000   46,237,000,000   108,659,000,000   103,714,000,000 94,035,000,000 94,777,000,000 45,756,000,000 99,661,000,000 48,471,000,000 120,268,000,000  55,349,000,000  64,595,000,000 179,567,000,000  118,940,000,000   51,999,000,000    
      amortization of intangible assets
            145,379,000,000      141,668,000,000      133,124,000,000     129,528,000,000     123,181,000,000          234,376,000,000     227,942,000,000   112,576,000,000   237,342,000,000   116,244,000,000   222,353,000,000   198,147,000,000 207,568,000,000 212,229,000,000 105,321,000,000 219,980,000,000 109,881,000,000 225,000,000,000  110,755,000,000  135,118,000,000 252,890,000,000  264,930,000,000   132,688,000,000 111,498,000,000  33,740,000,000 
      insurance premiums, including deposit insurance
            48,618,000,000      44,684,000,000      36,745,000,000     47,416,000,000     42,825,000,000          91,847,000,000     91,881,000,000   45,936,000,000   91,854,000,000   45,774,000,000   115,451,000,000   101,135,000,000 98,711,000,000 115,376,000,000 57,996,000,000 113,892,000,000 56,513,000,000 112,539,000,000  56,969,000,000  56,499,000,000 112,444,000,000  112,773,000,000   55,674,000,000 51,565,000,000  26,276,000,000 
      communications
            31,406,000,000      29,391,000,000      29,273,000,000     28,819,000,000     30,182,000,000          58,067,000,000     55,274,000,000   27,843,000,000   58,314,000,000   28,955,000,000   54,712,000,000   50,868,000,000 47,095,000,000 49,276,000,000 24,693,000,000 53,048,000,000 27,253,000,000 57,064,000,000  28,956,000,000  32,123,000,000 65,286,000,000  62,209,000,000   31,143,000,000 31,160,000,000  14,195,000,000 
      taxes and public charges
            58,868,000,000      52,467,000,000      51,095,000,000     51,178,000,000     52,599,000,000          90,210,000,000     94,047,000,000   45,031,000,000   93,734,000,000   43,804,000,000   96,627,000,000   69,457,000,000 66,862,000,000 65,641,000,000 31,694,000,000 65,882,000,000 33,450,000,000 69,073,000,000  35,533,000,000  46,895,000,000 83,439,000,000  79,683,000,000       
      reversal of off-balance sheet credit instruments
            -1,342,000,000      -3,646,000,000      -12,112,000,000     -6,381,000,000     -36,551,000,000                                                  
      other non-interest expenses
            235,038,000,000      202,385,000,000      156,407,000,000     122,844,000,000     177,457,000,000          395,178,000,000     398,052,000,000   226,629,000,000   370,364,000,000   179,967,000,000   372,388,000,000   317,939,000,000 369,520,000,000 307,545,000,000 147,172,000,000 361,912,000,000 163,218,000,000 375,224,000,000  213,091,000,000  210,759,000,000 402,177,000,000  396,315,000,000   291,607,000,000 453,093,000,000  107,016,000,000 
      income before income tax expense
            1,344,077,000,000      284,322,000,000      -1,291,685,000,000     1,050,529,000,000     1,146,114,000,000          1,661,819,000,000     272,543,000,000   1,005,788,000,000   1,162,670,000,000   510,193,000,000   2,262,656,000,000   1,420,443,000,000 1,415,871,000,000 849,942,000,000 394,016,000,000 837,238,000,000 964,859,000,000 1,282,116,000,000  756,336,000,000            
      income tax expense
            348,694,000,000      15,864,000,000      -340,290,000,000     293,696,000,000     366,109,000,000          407,823,000,000     94,453,000,000   252,472,000,000   369,432,000,000   97,073,000,000   666,020,000,000   337,917,000,000 296,020,000,000 429,191,000,000 198,806,000,000 439,900,000,000 375,936,000,000 407,040,000,000  327,836,000,000  -238,346,000,000 553,045,000,000         
      net income before attribution of noncontrolling interests
            995,383,000,000      268,458,000,000      -951,395,000,000     756,833,000,000     780,005,000,000          1,253,996,000,000     178,090,000,000   753,316,000,000   793,238,000,000   413,120,000,000   1,596,636,000,000   1,082,526,000,000 1,119,851,000,000 420,751,000,000 195,210,000,000 397,338,000,000 588,923,000,000 875,076,000,000  428,500,000,000            
      net income attributable to noncontrolling interests
            -63,838,000,000      37,677,000,000      62,734,000,000     19,222,000,000     3,105,000,000          25,836,000,000        2,433,000,000   -9,094,000,000   31,813,000,000   65,509,000,000   67,133,000,000 50,727,000,000 4,520,000,000 4,246,000,000 -64,458,000,000 -2,608,000,000 15,257,000,000  8,180,000,000            
      net income attributable to mitsubishi ufj financial group
                                                       802,332,000,000      1,531,127,000,000   1,015,393,000,000 1,069,124,000,000 416,231,000,000 190,964,000,000 461,796,000,000 591,531,000,000 859,819,000,000              
      income used for the computation of basic eps and diluted eps
                                                                                    
      effect of dilutive instruments:
                                                                                    
      restricted stock units and performance stock units—morgan stanley
            -2,550,000,000                                                                        
      earnings applicable to common shareholders of mitsubishi ufj financial group and assumed conversions
                                                                                    
      shares used for the computation of basic eps and diluted eps
                                                                                    
      weighted-average common shares outstanding
        11,654,000,000    11,697,335,000,000   11,979,000,000   12,037,251,000,000   12,318,000,000   12,500,816,000,000     12,852,177,000,000     12,856,192,000,000                  13,652,000,000      13,948,000,000                          
      stock acquisition rights under the stock option plan and the common shares of mufg under the board incentive plan and the employee stock ownership plan
            274,000,000                                                                        
      weighted-average common shares for diluted computation
            11,697,609,000,000      12,037,251,000,000      12,500,816,000,000     12,852,177,000,000     12,856,192,000,000                                                  
      earnings per common share applicable to common shareholders of mitsubishi ufj financial group
                                                                                    
      basic earnings per common share—earnings applicable to common shareholders of mitsubishi ufj financial group
                                            92,400,000     14,930,000      57,780,000      107,810,000   70,210,000                    
      diluted earnings per common share—earnings applicable to common shareholders of mitsubishi ufj financial group
            90,330,000      19,050,000      -81,270,000     57,190,000     60,280,000          92,100,000     14,680,000   54,840,000   57,510,000   27,190,000   107,500,000   69,980,000                    
      net unrealized gains on loans of foreign subsidiaries and affiliates
             123,000,000                                                                       
      net operating profits*1
                                                                                    
      losses on loan write-offs*2
                                                                                    
      other non-recurring gains*2
                                                                                    
      net gains sales of shares of subsidiaries*3
                                                                                    
      net gains on sales of shares of affiliates
                                                                                    
      losses on pension buyout
                                                                                    
      *1.  net operating profits = banking subsidiaries’ net operating profits + other consolidated entities’ gross profits - other consolidated entities’ general and administrative expenses - other consolidated entities’ provision for general allowance for credit losses - amortization of goodwill - inter-company transactions
                                                                                    
      *2.  in connection with the planned sale of the shares in mufg union bank, n.a. (“mub”), an aggregate of ¥952,590 million of losses were recognized for the fiscal year ended march 31, 2023, primarily in accordance with accounting standards codification (“asc”) topic 326, “financial instruments—credit losses,” and asc topic 310, “receivables.” these losses consist mainly of ¥555,421 million of valuation losses related to securities held for sale, which are included in other non-recurring gains, and ¥400,511 million of valuation losses related to loans held for sale, which are included in losses on loan write-offs.
                                                                                    
      *3.  “net gains sales of shares of subsidiaries” for the fiscal year ended march 31, 2023, includes ¥699,509 million of gains on sales of shares of subsidiaries resulting from the sale of the shares in mub.
                                                                                    
      losses on sales of shares of affiliates
               7,350,250,000       29,401,000,000 29,401,000,000              6,072,000,000 3,332,000,000 1,279,000,000 11,140,000,000 2,916,000,000 1,504,000,000 616,000,000                                         
      provision for (reversal of) credit losses
                  61,772,000,000                          -240,847,000,000                                        
      net interest income after provision for (reversal of) credit losses
                  1,183,099,000,000                          2,471,108,000,000                                        
      foreign exchange losses —net
                  -329,089,000,000                                              -61,755,000,000                    
      trading account losses —net
                  -940,660,000,000                                                                  
      reversal of impairment of assets held for sale
                        -134,141,000,000                                                            
      loss on valuation adjustment for loans held for sale held by mufg union bank
                                                                                    
      restricted stock units and performance stock units
                  -1,452,000,000      -1,793,000,000     -2,559,000,000     -1,891,000,000                                                  
      stock acquisition rights and the common shares of mufg under the board incentive plan
                                                                                    
      cash dividend per common share
                  16,000,000      14,500,000     12,500,000     12,500,000                  9,000,000      9,000,000                          
      9.  loans classified by type of industry, domestic consumer loans, domestic loans to small/medium-sized companies and proprietors
                                                                                    
      10.  overseas loans
                                                                                    
      11.  loans and deposits
                                                                                    
      12.  domestic deposits
                                                                                    
      13.  status of deferred tax assets
                                                                                    
      14.  retirement benefits
                                                                                    
      1.  financial statements
                                                                                    
      gains on sales of shares of subsidiaries*3
                                                                                    
      gains on transfer of businesses
                     2,097,750,000      8,391,000,000                                                         
      refund of income taxes
                     -3,542,500,000 -49,569,000,000                                                              
      *2.  in connection with the planned sale of the shares in mufg union bank, n.a. (“mub”), an aggregate of ¥952,590 million of losses were recognized primarily in accordance with accounting standards codification (“asc”) topic 326, “financial instruments - credit losses,” and asc topic 310, “receivables.” these losses consist mainly of ¥555,421 million of valuation losses related to securities held for sale, which are included in other non-recurring gains, and ¥400,511 million of valuation losses related to loans held for sale, which are included in losses on loan write-offs.
                                                                                    
      *3.  “gains on sales of shares of subsidiaries” includes ¥699,509 million of gains on sales of shares of subsidiaries resulting from the sale of the shares in mub.
                                                                                    
      gains on sales of shares of subsidiaries
                     1,060,000,000      4,240,000,000 4,240,000,000          30,336,000,000 30,249,000,000                                             
      reversal of credit losses
                        -97,785,000,000                                                            
      net interest income after reversal of credit losses
                        1,264,519,000,000                                                            
      loss on valuation adjustment for loans held for sale
                        209,107,000,000                                                            
      stock acquisition rights
                                                                                    
      interest expense
                         218,827,000,000                                                           
      *2.  from the beginning of the fiscal year ended march 31, 2022, expenses related to credit cards, which were previously recorded as general and administrative expenses, are recorded as fees and commissions expenses. accordingly, the financial information for the fiscal year ended march 31, 2021 have been retroactively restated.
                                                                                    
      provision for (reversal of ) credit losses
                             -10,838,000,000                                                       
      trading account profits—net
                             59,171,000,000     244,303,000,000                     276,654,000,000          570,276,000,000 667,285,000,000 449,243,000,000 133,905,000,000 486,017,000,000      398,396,000,000  404,813,000,000   273,340,000,000   12,323,000,000 
      investment securities gains—net
                             335,333,000,000     683,661,000,000          286,903,000,000     281,158,000,000   127,028,000,000   232,259,000,000   119,808,000,000   154,687,000,000   303,520,000,000 155,957,000,000 19,384,000,000 -19,226,000,000  105,841,000,000   86,617,000,000     238,277,000,000   54,561,000,000 291,392,000,000  196,686,000,000 
      impairment of goodwill
                                  106,479,000,000               6,638,000,000      333,719,000,000               461,000,000  460,000,000   893,721,000,000         
      benefit from reserve for contingent liabilities from financial intruments transactions
                                   108,000,000                                                 
      basic earnings per common share
                                                                                    
      profits not attributable to common shareholders
                                                                                    
      profits attributable to common shareholders of parent
                               777,018,000,000     528,151,000,000                                                
      average number of common shares during the period
                               12,843,564,000,000     12,897,317,000,000                                                
      diluted earnings per common share
                                                                                    
      adjustment to profits attributable to owners of parent
                               -3,175,000,000     -3,155,000,000                                                
      adjustment related to dilutive shares of consolidated subsidiaries and others
                               -3,175,000,000     -3,155,000,000                                                
      increase in common shares
                                    166,000,000                                                
      description of antidilutive securities which were not included in the calculation of diluted earnings per share
                                                                                    
      2.  the bases for the calculation of total equity per common share for the period indicated were as follows:
                                                                                    
      7.  risk-monitored loans
                                                                                    
      8.  non performing loans based on the financial reconstruction law
                                                                                    
      9.  progress in disposition of problem assets
                                                                                    
      10.  loans classified by type of industry, domestic consumer loans, domestic loans to small/medium-sized companies and proprietors
                                                                                    
      * net operating profits = banking subsidiaries’ net operating profits + other consolidated entities’ gross profits - other consolidated entities’ general and administrative expenses - other consolidated entities’ provision for general allowance for credit losses - amortization of goodwill - inter-company transactions
                                                                                    
      reversal of reserve for contingent liabilities from financial instruments transactions
                                     1,000,000 1,000,000 1,000,000 56,000,000 52,000,000 53,000,000 53,000,000   59,000,000 59,000,000 59,000,000   194,000,000  194,000,000 194,000,000                              
      gains on sales of shares of subsisidiaries
                                     30,596,000,000                                               
      foreign exchange gains—net
                                  69,433,000,000               -134,885,000,000   -20,704,000,000   192,086,000,000   41,615,000,000        34,302,000,000 67,836,000,000 260,683,000,000 175,107,000,000 216,720,000,000  235,210,000,000  -101,589,000,000 1,295,933,000,000      89,294,000,000  -164,247,000,000 
      gain on remeasurement of previously held equity method investment
                                                                                    
      interest on call loans and bills bought
                                        10,050,000,000                9,887,000,000      11,813,000,000                      
      interest on receivables under resale agreements
                                        122,455,000,000                41,818,000,000      53,712,000,000                      
      interest on receivables under securities borrowing transactions
                                        20,833,000,000                6,520,000,000      9,237,000,000                      
      other interest income
                                        356,647,000,000                190,919,000,000      204,612,000,000                      
      others
                                        633,467,000,000                455,138,000,000      386,194,000,000                      
      interest on negotiable certificates of deposit
                                        139,687,000,000                48,093,000,000      44,009,000,000                      
      interest on call money and bills sold
                                        3,885,000,000                8,204,000,000      7,226,000,000                      
      interest on payables under repurchase agreements
                                        312,065,000,000                48,263,000,000      39,075,000,000                      
      interest on payables under securities lending transactions
                                        3,497,000,000                7,449,000,000      8,424,000,000                      
      interest on commercial papers
                                        54,655,000,000                6,347,000,000      3,445,000,000                      
      interest on borrowed money
                                        60,485,000,000                46,856,000,000      47,826,000,000                      
      interest on short-term bonds payable
                                                        749,000,000      661,000,000                      
      interest on bonds payable
                                        250,560,000,000                142,728,000,000      132,499,000,000                      
      other interest expenses
                                        406,363,000,000                54,133,000,000      44,686,000,000                      
      gains on exchange of shares of affiliates
                                              48,695,000,000 48,695,000,000                                     
      income taxes current
                                         140,027,000,000                                           
      income taxes deferred
                                         63,969,000,000                                           
      investment securities:
                                                                                    
      interest
                                            198,715,000,000     235,638,000,000      254,214,000,000      252,149,000,000   229,732,000,000 266,640,000,000 307,812,000,000  320,067,000,000  305,080,000,000     771,763,000,000         
      dividends
                                            145,186,000,000     135,506,000,000      133,828,000,000      131,593,000,000   112,605,000,000 104,187,000,000 104,634,000,000  170,470,000,000  168,500,000,000     127,076,000,000         
      call loans and funds sold
                                            10,808,000,000     11,023,000,000      10,450,000,000      11,181,000,000   10,074,000,000 7,046,000,000 6,918,000,000  5,613,000,000  4,110,000,000     24,969,000,000         
      receivables under resale agreements and securities borrowing transactions
                                            73,885,000,000     50,356,000,000      48,174,000,000      54,158,000,000   51,659,000,000 49,786,000,000 86,470,000,000  55,574,000,000  31,454,000,000     283,606,000,000         
      call money and funds purchased
                                            5,248,000,000     1,791,000,000      8,802,000,000      7,287,000,000   6,841,000,000 6,961,000,000 8,157,000,000  5,931,000,000  5,683,000,000     45,180,000,000         
      payables under repurchase agreements and securities lending transactions
                                            165,512,000,000     80,598,000,000      45,201,000,000      41,294,000,000   39,329,000,000 56,862,000,000 86,947,000,000  66,728,000,000  53,548,000,000     402,077,000,000         
      due to trust account
                                            109,000,000     207,000,000      505,000,000      504,000,000   519,000,000 665,000,000 647,000,000  807,000,000  6,119,000,000     8,014,000,000         
      other short-term borrowings and trading account liabilities
                                            93,535,000,000     61,137,000,000      54,572,000,000      60,452,000,000   57,501,000,000 52,342,000,000 61,657,000,000  62,829,000,000  65,754,000,000     206,363,000,000         
      foreign exchange losses—net
                                            -49,561,000,000                 -113,073,000,000                   -102,609,000,000    
      trading account losses—net
                                            -73,114,000,000                                        
      gains on sales of loans
                                            16,109,000,000     13,286,000,000      12,293,000,000      15,027,000,000   17,680,000,000 14,773,000,000 15,645,000,000  14,558,000,000  21,232,000,000     11,789,000,000         
      fees and commission expenses
                                            297,847,000,000     273,675,000,000      285,387,000,000   139,501,000,000   248,136,000,000   222,038,000,000 209,782,000,000 204,734,000,000 101,751,000,000 212,460,000,000 102,947,000,000 196,515,000,000  97,530,000,000  101,646,000,000 218,088,000,000  237,979,000,000   122,195,000,000 80,227,000,000  42,079,000,000 
      impairment of intangible assets
                                            21,900,000,000     5,803,000,000   968,000,000   117,726,000,000   213,000,000   677,000,000   312,000,000 3,378,000,000 30,986,000,000 27,040,000,000 26,566,000,000 16,363,000,000 12,400,000,000  9,239,000,000  49,060,000,000 78,679,000,000  184,760,000,000   151,511,000,000    
      provision for (reversal of) off-balance sheet credit instruments
                                            -96,054,000,000                                        
      earnings applicable to common shareholders of mitsubishi ufj financial group
                                            1,228,160,000,000     202,680,000,000      802,332,000,000      1,522,157,000,000   994,152,000,000                    
      earnings per common share applicable to common shareholders of mitsubishi ufj financial group:
                                                                                    
      1. financial results
                                                                                    
      2. average interest rate spread
                                                                                    
      3. notional principal by the remaining life of the interest rate swaps for hedge-accounting
                                                                                    
      4. securities
                                                                                    
      5. roe
                                                                                    
      6. risk-adjusted capital ratio
                                                                                    
      7. risk-monitored loans
                                                                                    
      8. non performing loans based on the financial reconstruction law
                                                                                    
      9. progress in disposition of problem assets
                                                                                    
      10. loans classified by type of industry, domestic consumer loans, domestic loans to small/medium-sized companies and proprietors
                                                                                    
      11. overseas loans
                                                                                    
      12. loans and deposits
                                                                                    
      13. domestic deposits
                                                                                    
      14. status of deferred tax assets
                                                                                    
      15. retirement benefits
                                                                                    
      1. financial statements
                                                                                    
      profits (losses) from investments in affiliates
                                                            85,700,000,000                        
      losses on liquidation of equity securities of subsidiaries
                                                   5,260,000,000  5,266,000,000 5,359,000,000                              
      losses on exchange of shares of affiliates
                                                   4,538,000,000  4,538,000,000 4,538,000,000                              
      losses on sales of equity securities of subsidiaries
                                                   226,000,000  226,000,000         20,167,000,000 3,542,000,000                     
      trading account profits (losses)—net
                                                 -639,184,000,000   284,845,000,000      -284,774,000,000   1,148,661,000,000   -33,886,000,000        472,027,000,000  -360,207,000,000          
      provision (credit) for off-balance sheet credit instruments
                                                 106,556,000,000                                   
      net loss attributable to noncontrolling interests
                                                 -24,590,000,000                                   
      other comprehensive income, net of tax:
                                                                                    
      net unrealized gains on investment securities
                                                 12,961,000,000                                   
      net debt valuation adjustments
                                                 -8,552,000,000                                   
      net unrealized gains on derivatives qualifying for cash flow hedges
                                                 -13,245,000,000                         2,320      -2,335   -2,979 
      defined benefit plans
                                                 103,572,000,000                                   
      other comprehensive income attributable to noncontrolling interests
                                                 -24,765,000,000                                   
      comprehensive income attributable to mitsubishi ufj financial group
                                                 178,971,000,000                                   
      loans
                                                                                 491,891   
      impaired loans
                                                 1,715,850,000,000                                   
      other than impaired loans
                                                 116,499,122,000,000                                   
      allowance for credit losses
                                                                                    
      related to impaired loans
                                                 882,208,000,000                                   
      related to other than impaired loans
                                                 299,980,000,000                                   
      2. financial statements
                                                                                    
      net losses on change in equity
                                                                                    
      * net operating profits = banking subsidiaries’ net operating profits + other consolidated entities’ gross profits - other consolidated entities’ general and administrative expenses - other consolidated entities’ provision for general allowance for credit losses - amortization of goodwill - inter-company transactions
                                                                                    
      income taxes—current
                                                   219,514,000,000   74,956,000,000   270,583,000,000      306,759,000,000                     
      income taxes—deferred
                                                   60,150,000,000   -14,170,000,000   84,256,000,000      76,465,000,000                     
      due to trust account, other short-term borrowings, and trading account liabilities
                                                    27,338,000,000      25,843,000,000         30,417,000,000  28,194,000,000   39,198,000,000  93,648,000,000   181,108,000,000   102,940,000,000 24,029,000,000  34,983,000,000 
      credit for credit losses
                                                    58,681,000,000      7,204,000,000                          
      net interest income after credit for credit losses
                                                    1,164,094,000,000      1,137,803,000,000                          
      weighted-average diluted common shares outstanding
        11,655,000,000       11,981,000,000      12,319,000,000                               13,667,000,000      13,965,000,000                          
      income allocated to preferred shareholders:
                                                                                    
      cash dividends paid
                                                             8,970,000,000   17,940,000,000 17,940,000,000 17,940,000,000 8,970,000,000 20,940,000,000 11,970,000,000 21,678,000,000     6,669,000,000  13,629,000,000       
      other business income
                                                        469,265,000,000 367,458,000,000  279,233,000,000   407,668,000,000 354,015,000,000                     
      other business expenses
                                                        183,583,000,000 163,831,000,000  135,905,000,000   133,275,000,000 96,253,000,000                     
      benefit from allowance for credit losses
                                                        132,691,000,000      62,012,000,000                      
      settlement package
                                                              37,097,000,000 37,097,000,000                     
      income before income taxes and others
                                                        1,498,769,000,000 1,297,286,000,000  926,759,000,000 448,000,000,000  1,614,757,000,000 1,410,782,000,000                     
      net unrealized gains on other securities
                                                         -418,271,000,000  -679,716,000,000    1,062,871,000,000                     
      benefit from reserve for contingent losses
                                                                                    
      net other business profits
                                                            108,000,000,000                        
      net business profits before credit costs for trust accounts, benefit from general allowance for credit losses and amortization of goodwill
                                                            421,300,000,000                        
      net business profits before credit costs for trust accounts and benefit from general allowance for credit losses
                                                            416,800,000,000                        
      benefit from general allowance for credit losses
                                                                                    
      net business profits*
                                                            416,800,000,000                        
      benefit from specific allowance for credit losses
                                                                                    
      provision (credit) for credit losses
                                                             86,998,000,000   -106,371,000,000                189,523,000,000   167,059,000,000 
      net interest income after provision (credit) for credit losses
                                                             2,144,463,000,000   2,067,682,000,000                996,594,000,000   312,867,000,000 
      government grant for transfer of substitutional portion of employees’ pension fund plans
                                                                115,210,000,000                    
      changes in a foreign affiliated company’s interests in its subsidiary
                                                                3,301,000,000                    
      gains on transfer of benefit obligation relating to employees’ pension fund
                                                                                    
      income before minority interests
                                                              1,146,970,000,000 1,027,556,000,000                     
      minority interests
                                                              113,211,000,000 100,585,000,000                     
      net income
                                                              1,033,759,000,000 926,971,000,000           -410,532   581,288,000,000 473,893,000,000  279,907 718,766,000,000  131,388 
      yoy
                                                                          -100.00%   -19.13%       
      qoq
                                                              11.52%               22.66%   -100.00%    
      net income margin %
    NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% Infinity% Infinity% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% -Infinity% NaN% NaN% Infinity% Infinity% NaN% Infinity% Infinity% NaN% Infinity% 
      pension liability adjustments of subsidiaries preparing financial statements under us gaap
                                                                                    
      comprehensive income attributable to owners of the parent
                                                               2,255,609,000,000                     
      comprehensive income attributable to minority interests
                                                               110,010,000,000                     
      income allocable to preferred shareholders:
                                                                                    
      gain on conversion rate adjustment of convertible preferred stock
                                                                  139,320,000,000                  
      foreign exchange gains (loss) —net
                                                                 -38,955,000,000                   
      provision (reversal) for repayment of excess interest
                                                                 -23,000,000                   
      net income available to common shareholders of mitsubishi ufj financial group
                                                                 1,051,184,000,000 398,291,000,000 181,994,000,000 440,856,000,000 579,561,000,000 838,141,000,000              
      basic earnings per common share—net income available to common shareholders of mitsubishi ufj financial group
                                                                 74,300,000 28,170,000 12.87 31.2 41.01 68.01  35.29            
      diluted earnings per common share—net income available to common shareholders of mitsubishi ufj financial group
                                                                 74,160,000 28,090,000 12.82 31.08 40.92 67.87  35.22            
      equity in losses of equity method investees—net
                                                                  -499,427,000,000                  
      provision for repayment of excess interest
                                                                  37,000,000  85,709,000,000  44,808,000,000     2,826,000,000         
      equity in losses of equity method investees
                                                                   -515,403,000,000 -90,628,000,000 -21,223,000,000               
      earnings per share applicable to common shareholders of mitsubishi ufj financial group:
                                                                                    
      investment securities losses—net
                                                                    121,803,000,000  223,030,000,000    -187,322,000,000          
      trading account profits(losses)—net
                                                                      761,472,000,000              
      beneficial conversion feature
                                                                          7,137,000,000 7,909,000,000  267,432,000,000   230,336,000,000    
      income allocable to preferred shareholders of mitsubishi ufj nicos co., ltd. :
                                                                                    
      effect of induced conversion of mitsubishi ufj nicos co.,ltd. class 1 stock
                                                                                    
      income allocable to preferred shareholders of mitsubishi ufj nicos co., ltd.:
                                                                                    
      effect of induced conversion of mitsubishi ufj nicos co., ltd. class 1 stock
                                                                          7,676,000,000          
      earnings per share applicable to common shareholders of mitsubishi ufj financial group
                                                                                    
      minority interest in income of consolidated subsidiaries
                                                                          2,251,000,000 39,400,000,000  16,915,000,000   -817,000,000 21,398,000,000  15,752,000,000 
      income from continuing operations before income tax expense
                                                                          -648,878,000,000 12,355,000,000         
      income from continuing operations
                                                                          -410,532,000,000   582,105,000,000   280,520,000,000    
      loss from discontinued operations—net
                                                                                    
      net income available to common shareholders
                                                                             300,227,000,000    678,367,000,000   
      earnings per share
                                                                                    
      basic earnings per common share—income from continuing operations available to common shareholders
                                                                             29.94       
      basic earnings per common share—net income available to common shareholders
                                                                          -41.07   29.86   3,982.16 132,747.83  19,700.46 
      diluted earnings per common share—income from continuing operations available to common shareholders
                                                                          -41.07   29.76   4,012.52    
      diluted earnings per common share—net income available to common shareholders
                                                                          -41.07   29.68   3,951.09 99,598.72  19,593.1 
      other changes in equity from nonowner sources:
                                                                                    
      net unrealized holding losses on investment securities available for sale
                                                                          -473,965          
      reclassification adjustment for losses included in net income
                                                                          100,389      730   227 
      pension liability adjustments
                                                                          -15,438          
      reclassification adjustment for gains included in net income
                                                                          -913      -41,938   -126,810 
      total changes in equity from nonowner sources
                                                                                    
      preferred stock:
                                                                                    
      balance at beginning of period
                                                                                    
      balance at end of period
                                                                                    
      common stock:
                                                                                    
      capital surplus:
                                                                                    
      losses on exchange of shares of treasury stock for shares of mitsubishi ufj securities co., ltd.
                                                                                    
      gains on induced conversion of shares of mitsubishi ufj nicos co., ltd. class 1 stock
                                                                          71,103          
      losses on exchange of shares of treasury stock for shares of mitsubishi ufj nicos co., ltd. (note 5).
                                                                          -6,908          
      beneficial conversion feature of preferred stock
                                                                          7,137      230,336    
      stock-based compensation expense
                                                                          2,496          
      losses on sales of shares of treasury stock, net of taxes
                                                                          -592          
      other—net
                                                                          78      -985    
      retained earnings appropriated for legal reserve:
                                                                                    
      unappropriated retained earnings:
                                                                                    
      cash dividends:
                                                                                    
      common stock—¥6.00 in 2007 and ¥7.00 in 2008 per share
                                                                          -72,519          
      preferred stock (class 3)—¥30.00 in 2007 and ¥30.00 in 2008 per share
                                                                          -3,000          
      preferred stock (class 8)—¥7.95 in 2007 and ¥7.95 in 2008 per share
                                                                          -141          
      preferred stock (class 12)—¥5.75 in 2007 and ¥5.75 in 2008 per share
                                                                          -194          
      fin no. 48 adjustment
                                                                                    
      fsp sfas no. 13-2 adjustment
                                                                                    
      losses on exchange of shares of treasury stock for shares of mitsubishi ufj nicos co., ltd.
                                                                          -47,507          
      losses on sales of shares of treasury stock for shares of mitsubishi ufj nicos co., ltd.
                                                                          -35,966          
      sfas no. 158 adjustment
                                                                          -132          
      sfas no. 157 adjustment
                                                                          27,317          
      sfas no. 159 adjustment
                                                                          32,979          
      accumulated other changes in equity from nonowner sources, net of taxes:
                                                                                    
      net change during the period
                                                                          -429,627      -111,257   -107,361 
      treasury stock:
                                                                                    
      purchases of shares of treasury stock
                                                                          -279      -290,611   -417 
      sales of shares of treasury stock
                                                                          102,851      65,125   790 
      net increase resulting from changes in voting interests in consolidated subsidiaries and affiliated companies
                                                                          -2      -31    
      exchange of shares of treasury stock for shares of mitsubishi ufj securities co., ltd.
                                                                                    
      exchange of shares of treasury stock for shares of mitsubishi ufj nicos co., ltd.
                                                                          184,879          
      total shareholders’ equity
                                                                                    
      earnings per share:
                                                                                    
      —income from continuing operations available to common shareholders
                                                                                    
      income from continuing operations before income taxes
                                                                             1,134,931,000,000   557,023,000,000    
      income taxes
                                                                             552,826,000,000   276,503,000,000 142,950,000,000  69,446,000,000 
      loss from discontinued operations–net
                                                                                    
      operating income:
                                                                                    
      dividends on investments in subsidiaries and affiliates
                                                                              499,060,000,000      
      management fees from subsidiaries and affiliates
                                                                              11,749,000,000      
      total operating income
                                                                              510,809,000,000      
      operating expenses:
                                                                                    
      total operating expenses
                                                                              9,080,000,000      
      operating profit
                                                                              501,728,000,000      
      yoy
                                                                                    
      qoq
                                                                                    
      operating margin %
    NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% Infinity% NaN% NaN% NaN% NaN% NaN% 
      non-operating income:
                                                                                    
      interest on tax refunds
                                                                              114,000,000      
      commissions on odd lot shares negotiated
                                                                              53,000,000      
      reversal of reserve for employee retirement benefits
                                                                                    
      fees for software leases
                                                                              35,000,000      
      other non-operating income
                                                                              57,000,000      
      total non-operating income
                                                                              489,000,000      
      non-operating expenses:
                                                                                    
      interest on borrowings
                                                                              15,797,000,000      
      interest on bonds and notes
                                                                              4,493,000,000      
      amortization of organization costs
                                                                                    
      amortization on bond issuance costs
                                                                              1,000,000      
      amortization on stock issuance costs
                                                                              87,000,000      
      expenses on sales of treasury stock
                                                                              1,105,000,000      
      expenses on issuance of preferred equity
                                                                              2,613,000,000      
      other non-operating expenses
                                                                              84,000,000      
      total non-operating expenses
                                                                              24,183,000,000      
      ordinary profit
                                                                              478,035,000,000      
      extraordinary gains:
                                                                                    
      gains on sales of investment securities
                                                                                    
      reversal of allowance for losses on investment securities
                                                                                    
      reversal of allowance for doubtful accounts
                                                                              248,000,000      
      other extraordinary gains
                                                                                    
      total extraordinary gains
                                                                              295,000,000      
      extraordinary losses:
                                                                                    
      losses on retirement of fixed assets
                                                                              31,000,000      
      payment for settlement of the litigation
                                                                              2,500,000,000      
      expenses on head office relocation
                                                                                    
      other extraordinary losses
                                                                                    
      total extraordinary losses
                                                                              2,532,000,000      
      income before income taxes
                                                                              475,798,000,000      
      total income taxes
                                                                              1,904,000,000      
      unappropriated retained earnings brought forward
                                                                                    
      unappropriated retained earnings acquired through merger
                                                                                    
      interim cash dividends
                                                                                    
      unappropriated retained earnings at the end of the fiscal year
                                                                                    
      balances as of march 31, 2006
                                                                              1,383,052,000,000      
      changes during the period
                                                                                    
      dividends from retained earnings approved at the annual general meeting of shareholders in june 2006
                                                                                    
      dividends from retained earnings
                                                                                    
      transfer from capital reserve to other capital surplus
                                                                                    
      net income for the period
                                                                                    
      acquisition of treasury stock
                                                                                    
      disposition of treasury stock
                                                                                    
      net changes in items other than shareholders’ equity
                                                                                    
      total changes during the period
                                                                                    
      balances as of march 31, 2007
                                                                              1,383,052,000,000      
      appropriations of retained earnings
                                                                                    
      appropriations:
                                                                                    
      cash dividends on preferred stock-first series of class 3
                                                                                    
      cash dividends on preferred stock-class 8
                                                                                    
      cash dividends on preferred stock-class 9
                                                                                    
      cash dividends on preferred stock-class 10
                                                                                    
      cash dividends on preferred stock-class 11
                                                                                    
      cash dividends on preferred stock-class 12
                                                                                    
      cash dividends on common stock
                                                                                  39,254,000,000  
      unappropriated retained earnings to be carried forward
                                                                                  49,718,000,000  
      appropriations of other capital surplus
                                                                                    
      other capital surplus at the end of the fiscal year
                                                                                    
      other capital surplus to be carried forward
                                                                                  477,875,000,000  
      income from discontinued operations—net
                                                                                -613,000,000    
      amounts per share
                                                                                    
      net unrealized holding gains on investment securities available for sale
                                                                                -60,433   13,548 
      minimum pension liability adjustments
                                                                                520   6,412 
      redemption of class 1 preferred stock
                                                                                    
      gains on sales of shares of treasury stock, net of taxes
                                                                                -1,005    
      stock-based compensation expense of unionbancal corporation
                                                                                1,832    
      impact of sfas no. 123r implementation of unionbancal corporation
                                                                                -1,448    
      common stock—¥6,000.00 in 2005 and ¥4,000.00 in 2006 per share
                                                                                -38,975    
      preferred stock (class 1)—¥41,250.00 in 2005 per share
                                                                                    
      preferred stock (class 3)—¥7,069.00 in 2005 and ¥30,000.00 in 2006 per share
                                                                                -3,000    
      preferred stock (class 8)—¥15,900.00 in 2006 per share
                                                                                -429    
      preferred stock (class 9)—¥18,600.00 in 2006 per share
                                                                                -1,482    
      preferred stock (class 10)—¥ 19,400.00 in 2006 per share
                                                                                -2,910    
      preferred stock (class 12)—¥11,500.00 in 2006 per share
                                                                                -2,016    
      income before income taxes and cumulative effect of a change in accounting principle
                                                                                 858,774,000,000   
      income before cumulative effect of a change in accounting principle
                                                                                 715,824,000,000   
      cumulative effect of a change in accounting principle, net of tax
                                                                                 2,942,000,000  -977,000,000 
      income allocable to preferred shareholders
                                                                                 40,399,000,000   
      amounts per share:
                                                                                    
      basic earnings per common share—income available to common shareholders before cumulative effect of a change in accounting principle
                                                                                 132,172.03   
      diluted earnings per common share—income available to common shareholders before cumulative effect of a change in accounting principle
                                                                                 99,190.88   
      nonaccrual loans
                                                                                    
      restructured loans
                                                                                    
      accruing loans contractually past due 90 days or more
                                                                                    
      total revenue
                                                                                    
      yoy
                                                                                    
      qoq
                                                                                    
      change from the previous year
                                                                                    
      diluted earnings per common share —income from continuing operations available to common shareholders
                                                                                    
      unappropriated retained earnings at fiscal year end
                                                                                  241,359,000,000  
      cash dividends on preferred stock-class 1
                                                                                  1,678,000,000  
      cash dividends on preferred stock-class 2
                                                                                    
      cash dividends on preferred stock-class 3
                                                                                  706,000,000  
      voluntary reserve
                                                                                    
      general reserve
                                                                                  150,000,000,000  
      other capital surplus at fiscal year end
                                                                                  477,875,000,000  
      1 consolidated financial highlights under japanese gaap for the fiscal year ended march 31, 2005
                                                                                    
      1.financial results
                                                                                    
      2. valuation differences on securities
                                                                                    
      3. risk-adjusted capital ratio based on the standards of the bis
                                                                                    
      4. return on equity
                                                                                    
      2 loan portfolio and other
                                                                                    
      1. risk-monitored loans
                                                                                    
      2. classification of risk-monitored loans
                                                                                    
      3. allowance for loan losses
                                                                                    
      4. coverage ratio against risk-monitored loans
                                                                                    
      5. disclosed claims under the financial reconstruction law
                                                                                    
      6. status of secured coverage on disclosed claims under the frl
                                                                                    
      7. progress in the disposal of problem assets
                                                                                    
      8. classification of loans by type of industry
                                                                                    
      9. foreign loans
                                                                                    
      10. loans and deposits
                                                                                    
      11. domestic deposits
                                                                                    
      12. number of employees
                                                                                    
      13. number of offices
                                                                                    
      15. employees’ retirement benefits
                                                                                    
      16. earning projections for the fiscal year ending march 31, 2006
                                                                                    
      net other business income
                                                                                    
      net business profits before credit costs for trust accounts and provision for formula allowance for loan losses
                                                                                    
      provision for formula allowance for loan losses
                                                                                    
      net non-recurring losses
                                                                                    
      credit related costs
                                                                                    
      losses on loan charge-offs
                                                                                    
      provision for specific allowance for loan losses
                                                                                    
      losses on sales of loans to the resolution and collection corporation
                                                                                    
      provision for allowance for loans to specific foreign borrowers
                                                                                    
      other credit related costs
                                                                                    
      net losses on equity securities
                                                                                    
      losses on write down of equity securities
                                                                                    
      equity in profit of affiliates
                                                                                    
      other
                                                                                    
      net special gains
                                                                                    
      reversal of allowance for loan losses
                                                                                    
      gain on loans charged-off
                                                                                    
      refund of enterprise taxes by the tokyo metropolitan government
                                                                                    
      gains on transfer of the substitutional portion of future pension obligations
                                                                                    
      minority interest
                                                                                    
      * net business profits = the 2 banks’ non-consolidated net business profits + other consolidated entities’ gross profits - other consolidated entities’ general and administrative expenses - other consolidated entities’ provision for formula allowance for loan losses - inter-company transactions
                                                                                    
      total credit costs +++
                                                                                    
      total credit costs ++++
                                                                                    
      number of affiliated companies accounted for by the equity method
                                                                                    
      debentures
                                                                                   348,000,000 
      income from continuing operations before income taxes and cumulative effect of a change in accounting principle
                                                                                   201,811,000,000 
      income from continuing operations before cumulative effect of a change in accounting principle
                                                                                   132,365,000,000 
      basic earnings per common share—income from continuing operations available to common shareholders before cumulative effect of a change in accounting principle
                                                                                    
      diluted earnings per common share—income from continuing operations available to common shareholders before cumulative effect of a change in accounting principle
                                                                                   19,743.3 
      preferred stock
                                                                                   -3,358 
      conversion of class 2 preferred stock to common stock
                                                                                   -15,000 
      issuance of new shares of common stock by conversion of class 2 preferred stock
                                                                                   15,000 
      losses on sale of shares of treasury stock, net of taxes
                                                                                   -276 
      transfer from unappropriated retained earnings
                                                                                    
      deduction:
                                                                                    
      common stock
                                                                                   -38,840 
      transfer to retained earnings appropriated for legal reserve
                                                                                    
      net increase resulting from changes in consolidated subsidiaries and affiliated companies
                                                                                   -435 
    Balance Sheets:
    Quarterly
    Annual
      Unit: USD2025-11-14 2025-08-07 2025-08-04 2025-05-15 2025-03-31 2025-02-12 2025-02-04 2024-11-29 2024-11-14 2024-09-30 2024-08-01 2024-05-15 2024-03-31 2024-02-05 2023-11-14 2023-09-30 2023-08-01 2023-05-15 2023-03-31 2023-02-02 2022-11-14 2022-09-30 2022-08-02 2022-06-08 2022-05-16 2022-02-02 2021-11-15 2021-09-30 2021-08-02 2021-06-08 2021-05-17 2021-02-04 2020-11-13 2020-09-30 2020-08-04 2020-06-26 2020-05-15 2020-02-04 2019-11-29 2019-11-13 2019-09-30 2019-07-31 2019-06-07 2019-05-15 2019-02-04 2019-01-15 2018-11-13 2018-09-30 2018-08-02 2018-07-13 2018-06-07 2018-05-15 2018-03-31 2018-02-02 2018-01-18 2018-01-17 2017-11-14 2017-09-30 2017-08-01 2017-07-18 2017-05-15 2017-03-31 2017-02-03 2017-01-30 2016-11-14 2016-09-30 2016-08-01 2016-07-15 2016-05-16 2016-03-31 2016-02-01 2016-01-29 2015-11-13 2015-09-30 2015-07-31 2015-07-27 2015-05-15 2015-03-31 2015-02-03 2015-01-22 2014-11-14 2014-09-30 2014-07-31 2014-07-18 2014-05-14 2014-02-03 2014-01-22 2013-11-14 2013-07-31 2013-07-22 2013-05-15 2013-02-01 2013-01-18 2012-11-14 2012-07-31 2012-07-23 2012-05-15 2012-02-01 2012-01-23 2011-11-14 2011-07-29 2011-07-28 2011-05-16 2011-02-03 2011-01-20 2010-11-15 2010-08-16 2010-07-30 2010-05-18 2010-03-31 2010-02-03 2009-11-18 2009-09-02 2009-07-31 2009-05-19 2009-03-31 2009-02-17 2009-02-06 2008-11-18 2008-09-19 2008-08-05 2008-05-20 2008-03-31 2008-02-28 2008-01-31 2007-11-21 2007-07-31 2007-05-23 2007-03-31 2007-03-29 2007-01-31 2006-11-20 2006-09-28 2006-07-31 2006-05-22 2006-03-31 2006-02-28 2006-02-15 2005-07-28 2005-03-31 2005-03-04 2005-01-31 2004-11-24 2004-07-29 
                                                                                                                                                      
        assets:
                                                                                                                                                      
        cash and due from banks
      109,095,437,000,000 109,095,437,000,000 109,095,437,000,000 109,095,437,000,000  109,875,097,000,000 109,875,097,000,000  109,875,097,000,000  109,875,097,000,000 109,875,097,000,000  113,630,172,000,000 113,630,172,000,000  113,630,172,000,000 113,630,172,000,000  110,763,205,000,000 110,763,205,000,000  110,763,205,000,000 110,763,205,000,000 110,763,205,000,000 102,980,711,000,000 102,980,711,000,000  102,980,711,000,000 102,980,711,000,000 102,980,711,000,000 78,335,634,000,000 78,335,634,000,000 40,132,600,000,000 78,335,634,000,000 78,335,634,000,000 78,335,634,000,000 74,206,895,000,000  74,206,895,000,000  74,206,895,000,000 74,206,895,000,000 74,206,895,000,000 74,713,689,000,000 35,663,868,000,000 74,713,689,000,000 34,242,723,000,000 74,713,689,000,000 32,648,387,000,000 74,713,689,000,000 74,713,689,000,000 32,648,387,000,000 63,525,940,000,000 30,987,492,000,000 32,816,648,000,000 63,525,940,000,000 30,987,492,000,000 63,525,940,000,000 25,682,741,000,000 63,525,940,000,000 25,682,741,000,000 49,158,293,000,000 17,156,264,000,000 49,158,293,000,000 20,973,925,000,000 49,158,293,000,000 8,656,322,000,000 49,158,293,000,000 8,656,322,000,000 40,488,318,000,000  71,674,000,000 3,651,229,000,000 40,488,318,000,000 3,353,236,000,000 40,488,318,000,000 3,353,236,000,000 23,969,883,000,000 3,412,708,000,000 19,037,000,000 3,412,708,000,000 23,969,883,000,000 3,689,228,000,000 23,969,883,000,000 11,457,999,000,000  11,457,999,000,000 11,457,999,000,000 3,619,253,000,000 11,457,999,000,000 9,036,116,000,000  9,036,116,000,000 9,036,116,000,000 3,230,409,000,000 9,036,116,000,000 10,406,053,000,000  10,406,053,000,000 10,406,053,000,000 3,230,804,000,000 10,406,053,000,000 6,964,699,000,000  7,078,204,000,000 2,862,523,000,000 7,032,695,000,000 7,495,050,000,000   91,638,000,000 3,071,252,000,000 6,874,794,000,000 6,562,376,000,000   7,775,296,000,000 6,650,000,000 4,090,690,000,000 9,551,694,000,000 10,281,603,000,000  3,028,395,000,000 11,387,430,000,000 10,978,368,000,000 9,426,934,000,000 8,760,240,000,000   9,489,039,000,000 8,484,545,000,000 6,235,278,000,000 9,002,277,000,000 11,274,216,000,000    7,351,244,000,000  4,265,280,000,000 7,487,042,000,000 7,641,687,000,000 8,762,290,000,000 
        call loans and bills bought
      1,180,949,000,000 1,180,949,000,000 1,180,949,000,000 1,180,949,000,000  720,879,000,000 720,879,000,000  720,879,000,000  720,879,000,000 720,879,000,000  618,223,000,000 618,223,000,000  618,223,000,000 618,223,000,000  872,268,000,000 872,268,000,000  872,268,000,000 872,268,000,000 872,268,000,000 730,506,000,000 730,506,000,000  730,506,000,000 730,506,000,000 730,506,000,000 727,598,000,000 727,598,000,000  727,598,000,000 727,598,000,000 727,598,000,000 451,668,000,000  451,668,000,000  451,668,000,000 451,668,000,000 451,668,000,000 482,285,000,000  482,285,000,000  482,285,000,000  482,285,000,000 482,285,000,000  649,147,000,000   649,147,000,000  649,147,000,000  649,147,000,000  660,015,000,000  660,015,000,000  660,015,000,000  660,015,000,000  604,625,000,000    604,625,000,000  604,625,000,000  826,851,000,000    826,851,000,000  826,851,000,000 580,906,000,000  580,906,000,000 580,906,000,000  580,906,000,000 347,930,000,000  347,930,000,000 347,930,000,000  347,930,000,000 361,123,000,000  361,123,000,000 361,123,000,000  361,123,000,000 308,801,000,000  264,824,000,000  430,496,000,000 482,546,000,000     383,662,000,000 293,415,000,000   456,198,000,000   855,511,000,000 1,293,705,000,000   712,980,000,000 1,235,519,000,000 1,621,397,000,000 1,897,554,000,000   1,463,814,000,000 2,095,108,000,000  1,054,459,000,000 2,660,810,000,000    752,383,000,000   569,910,000,000 343,348,000,000 1,144,456,000,000 
        receivables under resale agreements
      18,856,895,000,000 18,856,895,000,000 18,856,895,000,000 18,856,895,000,000  18,367,908,000,000 18,367,908,000,000  18,367,908,000,000  18,367,908,000,000 18,367,908,000,000  14,000,846,000,000 14,000,846,000,000  14,000,846,000,000 14,000,846,000,000  12,308,310,000,000 12,308,310,000,000  12,308,310,000,000 12,308,310,000,000 12,308,310,000,000 13,942,910,000,000 13,942,910,000,000  13,942,910,000,000 13,942,910,000,000 13,942,910,000,000 24,104,564,000,000 24,104,564,000,000  24,104,564,000,000 24,104,564,000,000 24,104,564,000,000 10,868,179,000,000  10,868,179,000,000  10,868,179,000,000 10,868,179,000,000 10,868,179,000,000 5,945,875,000,000  5,945,875,000,000  5,945,875,000,000 5,725,921,000,000 5,945,875,000,000 5,945,875,000,000 5,725,921,000,000 8,066,973,000,000   8,066,973,000,000  8,066,973,000,000 8,188,146,000,000 8,066,973,000,000 8,188,146,000,000 7,466,633,000,000  7,466,633,000,000  7,466,633,000,000 7,446,665,000,000 7,466,633,000,000 7,446,665,000,000 7,342,335,000,000    7,342,335,000,000 7,273,008,000,000 7,342,335,000,000 7,273,008,000,000 7,237,125,000,000    7,237,125,000,000 7,300,037,000,000 7,237,125,000,000 5,635,326,000,000  5,635,326,000,000 5,635,326,000,000 5,659,512,000,000 5,635,326,000,000 4,552,860,000,000  4,552,860,000,000 4,552,860,000,000 4,481,863,000,000 4,552,860,000,000 4,997,138,000,000  4,997,138,000,000 4,997,138,000,000 4,872,171,000,000 4,997,138,000,000 4,524,452,000,000  5,145,071,000,000 3,543,020,000,000 5,232,069,000,000 3,559,309,000,000    2,530,405,000,000 2,588,869,000,000 2,544,848,000,000 2,530,405,000,000  3,018,560,000,000  7,105,819,000,000 4,298,844,000,000 7,099,711,000,000 7,105,819,000,000  5,291,527,000,000 5,619,000,000,000 4,649,180,000,000 4,173,178,000,000 4,556,543,000,000  4,874,350,000,000 3,050,745,000,000 1,379,985,000,000 2,114,232,000,000 266,340,000,000 1,379,985,000,000   929,021,000,000   1,339,595,000,000 951,074,000,000 497,186,000,000 
        receivables under securities borrowing transactions
      5,701,495,000,000 5,701,495,000,000 5,701,495,000,000 5,701,495,000,000  5,010,399,000,000 5,010,399,000,000  5,010,399,000,000 5,000,816,000,000 5,010,399,000,000 5,010,399,000,000  4,549,792,000,000 4,549,792,000,000 4,555,748,000,000 4,549,792,000,000 4,549,792,000,000  4,517,952,000,000 4,517,952,000,000 4,496,376,000,000 4,517,952,000,000 4,517,952,000,000 4,517,952,000,000 3,394,376,000,000 3,394,376,000,000 3,369,903,000,000 3,394,376,000,000 3,394,376,000,000 3,394,376,000,000 3,464,533,000,000 3,464,533,000,000  3,464,533,000,000 3,464,533,000,000 3,464,533,000,000 2,739,363,000,000  2,739,363,000,000 2,758,573,000,000 2,739,363,000,000 2,739,363,000,000 2,739,363,000,000 9,266,996,000,000 3,113,172,000,000 9,266,996,000,000  9,266,996,000,000 9,268,756,000,000 9,266,996,000,000 9,266,996,000,000 9,268,756,000,000 11,002,723,000,000 9,838,929,000,000  11,002,723,000,000 9,838,929,000,000 11,002,723,000,000 11,002,724,000,000 11,002,723,000,000 11,002,724,000,000 6,041,983,000,000  6,041,983,000,000 6,783,780,000,000 6,041,983,000,000 6,041,984,000,000 6,041,983,000,000 6,041,984,000,000 4,633,544,000,000 4,659,545,000,000  6,739,901,000,000 4,633,544,000,000 4,659,545,000,000 4,633,544,000,000 4,659,545,000,000 4,181,660,000,000 4,335,157,000,000  4,335,157,000,000 4,181,660,000,000 4,210,057,000,000 4,181,660,000,000 2,589,171,000,000 2,615,172,000,000 2,589,171,000,000 2,589,171,000,000 2,615,172,000,000 2,589,171,000,000 3,256,655,000,000 3,282,656,000,000 3,256,655,000,000 3,256,655,000,000 3,282,656,000,000 3,256,655,000,000 3,621,210,000,000 3,600,318,000,000 3,621,210,000,000 3,621,210,000,000 3,600,318,000,000 3,621,210,000,000 4,047,234,000,000 5,770,044,000,000 3,726,110,000,000 5,770,044,000,000 3,013,304,000,000 5,770,044,000,000  6,797,025,000,000  6,797,025,000,000 5,212,131,000,000 6,797,026,000,000 6,797,025,000,000  4,629,170,000,000  8,329,371,000,000 6,483,564,000,000 8,240,482,000,000 8,329,371,000,000 5,713,752,000,000 8,033,830,000,000 5,994,256,000,000 6,176,638,000,000 6,700,434,000,000 6,320,179,000,000 5,142,074,000,000 4,566,512,000,000 4,351,094,000,000 5,142,074,000,000 4,346,299,000,000 2,738,240,000,000 5,142,074,000,000 2,519,726,000,000  3,997,467,000,000   5,771,386,000,000 4,637,860,000,000 3,984,641,000,000 
        monetary claims bought
      6,620,404,000,000 6,620,404,000,000 6,620,404,000,000 6,620,404,000,000  7,786,978,000,000 7,786,978,000,000  7,786,978,000,000  7,786,978,000,000 7,786,978,000,000  7,325,185,000,000 7,325,185,000,000  7,325,185,000,000 7,325,185,000,000  6,466,822,000,000 6,466,822,000,000  6,466,822,000,000 6,466,822,000,000 6,466,822,000,000 5,982,876,000,000 5,982,876,000,000  5,982,876,000,000 5,982,876,000,000 5,982,876,000,000 6,583,403,000,000 6,583,403,000,000  6,583,403,000,000 6,583,403,000,000 6,583,403,000,000 7,254,708,000,000  7,254,708,000,000  7,254,708,000,000 7,254,708,000,000 7,254,708,000,000 5,529,619,000,000  5,529,619,000,000  5,529,619,000,000  5,529,619,000,000 5,529,619,000,000  4,707,868,000,000   4,707,868,000,000  4,707,868,000,000  4,707,868,000,000  4,733,393,000,000  4,733,393,000,000  4,733,393,000,000  4,733,393,000,000  4,570,712,000,000    4,570,712,000,000  4,570,712,000,000  3,972,145,000,000    3,972,145,000,000  3,972,145,000,000 3,365,787,000,000  3,365,787,000,000 3,365,787,000,000  3,365,787,000,000 2,954,838,000,000  2,954,838,000,000 2,954,838,000,000  2,954,838,000,000 2,700,617,000,000  2,700,617,000,000 2,700,617,000,000  2,700,617,000,000 2,808,602,000,000  2,772,983,000,000  2,840,102,000,000 2,967,002,000,000     3,286,166,000,000 3,394,519,000,000   3,845,365,000,000   4,620,238,000,000             3,049,563,000,000           
        trading assets
      26,142,919,000,000 26,142,919,000,000 26,142,919,000,000 26,142,919,000,000  20,886,546,000,000 20,886,546,000,000  20,886,546,000,000  20,886,546,000,000 20,886,546,000,000  18,013,184,000,000 18,013,184,000,000  18,013,184,000,000 18,013,184,000,000  17,704,455,000,000 17,704,455,000,000  17,704,455,000,000 17,704,455,000,000 17,704,455,000,000 20,552,367,000,000 20,552,367,000,000  20,552,367,000,000 20,552,367,000,000 20,552,367,000,000 20,250,172,000,000 20,250,172,000,000  20,250,172,000,000 20,250,172,000,000 20,250,172,000,000 16,126,188,000,000  16,126,188,000,000  16,126,188,000,000 16,126,188,000,000 16,126,188,000,000 15,247,156,000,000  15,247,156,000,000  15,247,156,000,000  15,247,156,000,000 15,247,156,000,000  21,046,367,000,000   21,046,367,000,000  21,046,367,000,000  21,046,367,000,000  20,460,863,000,000  20,460,863,000,000  20,460,863,000,000  20,460,863,000,000  20,810,617,000,000    20,810,617,000,000  20,810,617,000,000  19,055,354,000,000    19,055,354,000,000  19,055,354,000,000 20,570,422,000,000  20,570,422,000,000 20,570,422,000,000  20,570,422,000,000 16,768,713,000,000  16,768,713,000,000 16,768,713,000,000  16,768,713,000,000 14,946,185,000,000  14,946,185,000,000 14,946,185,000,000  14,946,185,000,000 21,794,413,000,000  19,641,615,000,000  18,045,836,000,000 16,448,683,000,000     16,945,273,000,000 17,452,426,000,000   16,994,589,000,000   16,069,374,000,000 11,898,762,000,000   12,540,410,000,000 11,891,834,000,000 11,265,622,000,000 9,577,974,000,000   10,688,568,000,000 10,093,747,000,000  9,451,549,000,000 5,773,838,000,000    7,606,528,000,000   8,017,487,000,000 7,626,950,000,000 7,602,120,000,000 
        money held in trust
      1,084,487,000,000 1,084,487,000,000 1,084,487,000,000 1,084,487,000,000  1,270,815,000,000 1,270,815,000,000  1,270,815,000,000  1,270,815,000,000 1,270,815,000,000  1,287,020,000,000 1,287,020,000,000  1,287,020,000,000 1,287,020,000,000  1,332,492,000,000 1,332,492,000,000  1,332,492,000,000 1,332,492,000,000 1,332,492,000,000 1,283,179,000,000 1,283,179,000,000  1,283,179,000,000 1,283,179,000,000 1,283,179,000,000 1,046,323,000,000 1,046,323,000,000  1,046,323,000,000 1,046,323,000,000 1,046,323,000,000 912,961,000,000  912,961,000,000  912,961,000,000 912,961,000,000 912,961,000,000 943,153,000,000  943,153,000,000  943,153,000,000  943,153,000,000 943,153,000,000  806,881,000,000   806,881,000,000  806,881,000,000  806,881,000,000  679,678,000,000  679,678,000,000  679,678,000,000  679,678,000,000  700,218,000,000    700,218,000,000  700,218,000,000  583,692,000,000    583,692,000,000  583,692,000,000 501,934,000,000  501,934,000,000 501,934,000,000  501,934,000,000 395,352,000,000  395,352,000,000 395,352,000,000  395,352,000,000 357,159,000,000  357,159,000,000 357,159,000,000  357,159,000,000 360,149,000,000  355,375,000,000  336,447,000,000 362,789,000,000     343,726,000,000 326,298,000,000   339,342,000,000   393,876,000,000 401,448,000,000   469,774,000,000 456,499,000,000 553,214,000,000 368,972,000,000   421,329,000,000 384,276,000,000  408,149,000,000 283,487,000,000    441,717,000,000   466,447,000,000 451,935,000,000 484,952,000,000 
        securities
      86,125,371,000,000 86,125,371,000,000 86,125,371,000,000 86,125,371,000,000  86,878,589,000,000 86,878,589,000,000  86,878,589,000,000  86,878,589,000,000 86,878,589,000,000  86,746,900,000,000 86,746,900,000,000  86,746,900,000,000 86,746,900,000,000  79,560,579,000,000 79,560,579,000,000  79,560,579,000,000 79,560,579,000,000 79,560,579,000,000 77,122,074,000,000 77,122,074,000,000  77,122,074,000,000 77,122,074,000,000 77,122,074,000,000 65,555,127,000,000 65,555,127,000,000  65,555,127,000,000 65,555,127,000,000 65,555,127,000,000 64,262,463,000,000  64,262,463,000,000  64,262,463,000,000 64,262,463,000,000 64,262,463,000,000 59,266,170,000,000  59,266,170,000,000  59,266,170,000,000  59,266,170,000,000 59,266,170,000,000  59,438,897,000,000   59,438,897,000,000  59,438,897,000,000  59,438,897,000,000  69,993,869,000,000  69,993,869,000,000  69,993,869,000,000  69,993,869,000,000  73,538,191,000,000    73,538,191,000,000  73,538,191,000,000  74,515,573,000,000  111,300,000,000  74,515,573,000,000  74,515,573,000,000 79,526,850,000,000  79,526,850,000,000 79,526,850,000,000  79,526,850,000,000 78,264,735,000,000  78,264,735,000,000 78,264,735,000,000  78,264,735,000,000 71,023,637,000,000  71,023,637,000,000 71,023,637,000,000  71,023,637,000,000 65,409,851,000,000  70,053,103,000,000  66,037,534,000,000 63,964,461,000,000     53,157,169,000,000 48,314,122,000,000   45,509,206,000,000   40,888,076,000,000             46,855,585,000,000           
        loans and bills discounted
      121,436,133,000,000 121,436,133,000,000 121,436,133,000,000 121,436,133,000,000  116,825,660,000,000 116,825,660,000,000  116,825,660,000,000  116,825,660,000,000 116,825,660,000,000  109,146,272,000,000 109,146,272,000,000  109,146,272,000,000 109,146,272,000,000  110,426,224,000,000 110,426,224,000,000  110,426,224,000,000 110,426,224,000,000 110,426,224,000,000 107,183,069,000,000 107,183,069,000,000  107,183,069,000,000 107,183,069,000,000 107,183,069,000,000 109,114,612,000,000 109,114,612,000,000  109,114,612,000,000 109,114,612,000,000 109,114,612,000,000 107,412,468,000,000  107,412,468,000,000  107,412,468,000,000 107,412,468,000,000 107,412,468,000,000 108,090,994,000,000  108,090,994,000,000  108,090,994,000,000  108,090,994,000,000 108,090,994,000,000  109,005,231,000,000   109,005,231,000,000  109,005,231,000,000  109,005,231,000,000  113,756,325,000,000  113,756,325,000,000  113,756,325,000,000  113,756,325,000,000  109,368,340,000,000    109,368,340,000,000  109,368,340,000,000  101,938,907,000,000    101,938,907,000,000  101,938,907,000,000 91,299,557,000,000  91,299,557,000,000 91,299,557,000,000  91,299,557,000,000 84,492,697,000,000  84,492,697,000,000 84,492,697,000,000  84,492,697,000,000 79,995,024,000,000  79,995,024,000,000 79,995,024,000,000  79,995,024,000,000 78,302,204,000,000  79,254,492,000,000  82,492,586,000,000 84,880,603,000,000     91,044,949,000,000 92,056,820,000,000   93,125,005,000,000   89,557,877,000,000 88,538,810,000,000   88,507,468,000,000 86,751,061,000,000 85,937,768,000,000 84,831,949,000,000   87,021,954,000,000 85,671,181,000,000  85,104,092,000,000 76,279,697,000,000    46,837,744,000,000   46,131,201,000,000 47,420,986,000,000 46,083,432,000,000 
        foreign exchanges
      1,913,526,000,000 1,913,526,000,000 1,913,526,000,000 1,913,526,000,000  2,496,308,000,000 2,496,308,000,000  2,496,308,000,000  2,496,308,000,000 2,496,308,000,000  2,300,198,000,000 2,300,198,000,000  2,300,198,000,000 2,300,198,000,000  2,300,859,000,000 2,300,859,000,000  2,300,859,000,000 2,300,859,000,000 2,300,859,000,000 1,915,010,000,000 1,915,010,000,000  1,915,010,000,000 1,915,010,000,000 1,915,010,000,000 1,741,290,000,000 1,741,290,000,000  1,741,290,000,000 1,741,290,000,000 1,741,290,000,000 2,134,807,000,000  2,134,807,000,000  2,134,807,000,000 2,134,807,000,000 2,134,807,000,000 2,942,499,000,000  2,942,499,000,000  2,942,499,000,000  2,942,499,000,000 2,942,499,000,000  2,083,530,000,000   2,083,530,000,000  2,083,530,000,000  2,083,530,000,000  1,792,888,000,000  1,792,888,000,000  1,792,888,000,000  1,792,888,000,000  2,187,311,000,000    2,187,311,000,000  2,187,311,000,000  2,040,406,000,000    2,040,406,000,000  2,040,406,000,000 1,499,694,000,000  1,499,694,000,000 1,499,694,000,000  1,499,694,000,000 1,480,083,000,000  1,480,083,000,000 1,480,083,000,000  1,480,083,000,000 1,140,201,000,000  1,140,201,000,000 1,140,201,000,000  1,140,201,000,000 1,133,448,000,000  1,115,983,000,000  1,166,305,000,000 1,051,325,000,000     931,777,000,000 1,058,640,000,000   1,220,292,000,000   1,465,983,000,000 1,241,656,000,000   1,560,158,000,000 1,411,213,000,000 1,447,033,000,000 1,353,848,000,000   1,331,265,000,000 1,367,788,000,000  1,251,978,000,000 1,262,744,000,000    733,140,000,000   653,777,000,000 653,654,000,000 607,729,000,000 
        other assets
      17,824,068,000,000 17,824,068,000,000 17,824,068,000,000 17,824,068,000,000 179,703,000,000 17,912,498,000,000 17,912,498,000,000  17,912,498,000,000 20,380,462,000,000 17,912,498,000,000 17,912,498,000,000 178,222,000,000 15,195,896,000,000 15,195,896,000,000 17,455,004,000,000 15,195,896,000,000 15,195,896,000,000 229,005,000,000 14,050,293,000,000 14,050,293,000,000 26,712,084,000,000 14,050,293,000,000 14,050,293,000,000 14,050,293,000,000 12,406,158,000,000 12,406,158,000,000 13,321,304,000,000 12,406,158,000,000 12,406,158,000,000 12,406,158,000,000 13,900,403,000,000 13,900,403,000,000  13,900,403,000,000 13,900,403,000,000 13,900,403,000,000 12,838,412,000,000  12,838,412,000,000 11,491,269,000,000 12,838,412,000,000 12,838,412,000,000 12,838,412,000,000 12,176,023,000,000 10,891,622,000,000 12,176,023,000,000  12,176,023,000,000 10,666,064,000,000 12,176,023,000,000 12,176,023,000,000 10,666,064,000,000 11,554,699,000,000 10,715,453,000,000  11,554,699,000,000 10,715,453,000,000 11,554,699,000,000 8,714,543,000,000 11,554,699,000,000 8,714,543,000,000 12,255,764,000,000  12,255,764,000,000 7,531,868,000,000 12,255,764,000,000 7,467,535,000,000 12,255,764,000,000 7,467,535,000,000 10,119,936,000,000 7,683,290,000,000  7,948,139,000,000 10,119,936,000,000 7,683,290,000,000 10,119,936,000,000 7,683,290,000,000 8,809,286,000,000 8,430,177,000,000  8,430,177,000,000 8,809,286,000,000 8,018,586,000,000 8,809,286,000,000 8,097,431,000,000 6,785,795,000,000 8,097,431,000,000 8,097,431,000,000 6,785,795,000,000 8,097,431,000,000 8,004,949,000,000 7,329,838,000,000 8,004,949,000,000 8,004,949,000,000 7,329,838,000,000 8,004,949,000,000 6,631,715,000,000 5,321,120,000,000 6,631,715,000,000 6,631,715,000,000 5,226,412,000,000 6,631,715,000,000 7,172,203,000,000 4,969,338,000,000 7,317,601,000,000 4,969,338,000,000 7,818,104,000,000 6,416,721,000,000 73,868,000,000 4,963,481,000,000  4,963,481,000,000 6,785,237,000,000 7,795,056,000,000 4,963,481,000,000 5,447,892,000,000 9,629,254,000,000  5,447,892,000,000 6,661,326,000,000 5,666,981,000,000 5,447,892,000,000 3,804,880,000,000 5,028,798,000,000 4,999,575,000,000 4,767,533,000,000 4,714,204,000,000 5,135,425,000,000 3,171,408,000,000 6,038,917,000,000 5,130,860,000,000 4,963,566,000,000 5,626,665,000,000 5,429,392,000,000 4,963,566,000,000 961,408,000,000  3,462,908,000,000   3,631,147,000,000 2,997,373,000,000 3,289,940,000,000 
        tangible fixed assets
      1,240,104,000,000 1,240,104,000,000 1,240,104,000,000 1,240,104,000,000  1,229,007,000,000 1,229,007,000,000  1,229,007,000,000  1,229,007,000,000 1,229,007,000,000  1,220,172,000,000 1,220,172,000,000  1,220,172,000,000 1,220,172,000,000  1,236,012,000,000 1,236,012,000,000  1,236,012,000,000 1,236,012,000,000 1,236,012,000,000 1,296,402,000,000 1,296,402,000,000  1,296,402,000,000 1,296,402,000,000 1,296,402,000,000 1,319,789,000,000 1,319,789,000,000  1,319,789,000,000 1,319,789,000,000 1,319,789,000,000 1,335,972,000,000  1,335,972,000,000  1,335,972,000,000 1,335,972,000,000 1,335,972,000,000 1,369,977,000,000  1,369,977,000,000  1,369,977,000,000  1,369,977,000,000 1,369,977,000,000  1,358,905,000,000   1,358,905,000,000  1,358,905,000,000  1,358,905,000,000  1,362,044,000,000  1,362,044,000,000  1,362,044,000,000  1,362,044,000,000  1,352,727,000,000  402,000,000  1,352,727,000,000  1,352,727,000,000  1,540,031,000,000  279,000,000  1,540,031,000,000  1,540,031,000,000 1,404,687,000,000  1,404,687,000,000 1,404,687,000,000  1,404,687,000,000 1,343,909,000,000  1,343,909,000,000 1,343,909,000,000  1,343,909,000,000 1,333,298,000,000  1,333,298,000,000 1,333,298,000,000  1,333,298,000,000 1,334,340,000,000  1,347,135,000,000  1,356,075,000,000 1,357,449,000,000   280,000,000  1,401,298,000,000 1,380,900,000,000   1,288,451,000,000 234,000,000  1,287,106,000,000 1,594,214,000,000   1,714,947,000,000 1,717,879,000,000 1,690,588,000,000 1,697,105,000,000   1,694,358,000,000 1,733,180,000,000  1,342,748,000,000           
        intangible fixed assets
      1,875,551,000,000 1,875,551,000,000 1,875,551,000,000 1,875,551,000,000  1,671,372,000,000 1,671,372,000,000  1,671,372,000,000  1,671,372,000,000 1,671,372,000,000  1,358,124,000,000 1,358,124,000,000  1,358,124,000,000 1,358,124,000,000  1,344,225,000,000 1,344,225,000,000  1,344,225,000,000 1,344,225,000,000 1,344,225,000,000 1,436,098,000,000 1,436,098,000,000  1,436,098,000,000 1,436,098,000,000 1,436,098,000,000 1,498,407,000,000 1,498,407,000,000  1,498,407,000,000 1,498,407,000,000 1,498,407,000,000 1,136,530,000,000  1,136,530,000,000  1,136,530,000,000 1,136,530,000,000 1,136,530,000,000 1,246,676,000,000  1,246,676,000,000  1,246,676,000,000  1,246,676,000,000 1,246,676,000,000  1,257,876,000,000   1,257,876,000,000  1,257,876,000,000  1,257,876,000,000  1,254,727,000,000  1,254,727,000,000  1,254,727,000,000  1,254,727,000,000  1,297,277,000,000  8,436,000,000  1,297,277,000,000  1,297,277,000,000  1,483,352,000,000  4,923,000,000  1,483,352,000,000  1,483,352,000,000 1,091,392,000,000  1,091,392,000,000 1,091,392,000,000  1,091,392,000,000 1,023,834,000,000  1,023,834,000,000 1,023,834,000,000  1,023,834,000,000 1,069,317,000,000  1,069,317,000,000 1,069,317,000,000  1,069,317,000,000 1,098,472,000,000  1,111,453,000,000  1,111,575,000,000 1,152,606,000,000   1,337,000,000  1,195,278,000,000 1,209,783,000,000   1,202,517,000,000 998,000,000  905,825,000,000 975,043,000,000   964,513,000,000 906,486,000,000 768,837,000,000 741,705,000,000   695,516,000,000 651,537,000,000  621,693,000,000           
        net defined benefit assets
      2,217,529,000,000 2,217,529,000,000 2,217,529,000,000 2,217,529,000,000  1,982,502,000,000 1,982,502,000,000  1,982,502,000,000  1,982,502,000,000 1,982,502,000,000  1,325,434,000,000 1,325,434,000,000  1,325,434,000,000 1,325,434,000,000  1,374,607,000,000 1,374,607,000,000  1,374,607,000,000  1,374,607,000,000 1,210,577,000,000 1,210,577,000,000  1,210,577,000,000  1,210,577,000,000 712,206,000,000 712,206,000,000  712,206,000,000  712,206,000,000 824,007,000,000  824,007,000,000  824,007,000,000  824,007,000,000 874,106,000,000  874,106,000,000  874,106,000,000   874,106,000,000  601,377,000,000   601,377,000,000  601,377,000,000  601,377,000,000  377,955,000,000  377,955,000,000  377,955,000,000  377,955,000,000  504,761,000,000    504,761,000,000  504,761,000,000  460,836,000,000    460,836,000,000  460,836,000,000                                                            
        deferred tax assets
      148,752,000,000 148,752,000,000 148,752,000,000 148,752,000,000  156,673,000,000 156,673,000,000  156,673,000,000  156,673,000,000 156,673,000,000  322,021,000,000 322,021,000,000  322,021,000,000 322,021,000,000  213,922,000,000 213,922,000,000  213,922,000,000 213,922,000,000 213,922,000,000 137,988,000,000 137,988,000,000  137,988,000,000 137,988,000,000 137,988,000,000 127,516,000,000 127,516,000,000  127,516,000,000 127,516,000,000 127,516,000,000 104,451,000,000  104,451,000,000  104,451,000,000 104,451,000,000 104,451,000,000 89,172,000,000 67,603,000,000 89,172,000,000  89,172,000,000 68,704,000,000 89,172,000,000 89,172,000,000 68,704,000,000 126,231,000,000 56,738,000,000  126,231,000,000 56,738,000,000 126,231,000,000 76,452,000,000 126,231,000,000 76,452,000,000 125,739,000,000  125,739,000,000 123,909,000,000 125,739,000,000 155,010,000,000 125,739,000,000 155,010,000,000 114,919,000,000 90,674,000,000  85,122,000,000 114,919,000,000 90,674,000,000 114,919,000,000 90,674,000,000 130,654,000,000 73,126,000,000  73,126,000,000 130,654,000,000 362,267,000,000 130,654,000,000 95,814,000,000 514,679,000,000 95,814,000,000 95,814,000,000 514,679,000,000 95,814,000,000 522,886,000,000 950,395,000,000 522,886,000,000 522,886,000,000 950,395,000,000 522,886,000,000 780,310,000,000 1,285,013,000,000 780,310,000,000 780,310,000,000 1,285,013,000,000 780,310,000,000 563,313,000,000 1,287,611,000,000 513,542,000,000 1,287,611,000,000 644,713,000,000 646,495,000,000  2,172,789,000,000  2,172,789,000,000 973,302,000,000 1,235,139,000,000 2,172,789,000,000  1,306,877,000,000  899,432,000,000 772,981,000,000 773,688,000,000 899,432,000,000 499,094,000,000 383,829,000,000 271,007,000,000 173,021,000,000 259,144,000,000 556,158,000,000 1,211,431,000,000 433,460,000,000 643,968,000,000 1,211,431,000,000 988,943,000,000 709,616,000,000 1,211,431,000,000 26,543,000,000  397,618,000,000   602,438,000,000 719,396,000,000 694,464,000,000 
        customers’ liabilities for acceptances and guarantees
      12,864,745,000,000 12,864,745,000,000 12,864,745,000,000 12,864,745,000,000  12,167,164,000,000 12,167,164,000,000  12,167,164,000,000  12,167,164,000,000 12,167,164,000,000  11,005,758,000,000 11,005,758,000,000  11,005,758,000,000 11,005,758,000,000  10,481,838,000,000 10,481,838,000,000  10,481,838,000,000 10,481,838,000,000 10,481,838,000,000 9,004,749,000,000 9,004,749,000,000  9,004,749,000,000 9,004,749,000,000 9,004,749,000,000 8,830,436,000,000 8,830,436,000,000  8,830,436,000,000 8,830,436,000,000 8,830,436,000,000 9,241,062,000,000  9,241,062,000,000  9,241,062,000,000 9,241,062,000,000 9,241,062,000,000 9,560,158,000,000    9,560,158,000,000  9,560,158,000,000 9,560,158,000,000  9,022,130,000,000   9,022,130,000,000  9,022,130,000,000  9,022,130,000,000  9,240,310,000,000  9,240,310,000,000  9,240,310,000,000  9,240,310,000,000  9,511,714,000,000    9,511,714,000,000  9,511,714,000,000  8,324,668,000,000    8,324,668,000,000  8,324,668,000,000 7,869,182,000,000  7,869,182,000,000 7,869,182,000,000  7,869,182,000,000 7,539,826,000,000  7,539,826,000,000 7,539,826,000,000  7,539,826,000,000 8,008,084,000,000  8,008,084,000,000 8,008,084,000,000  8,008,084,000,000 7,962,202,000,000  7,912,172,000,000  8,475,789,000,000 8,889,771,000,000     9,434,636,000,000 9,534,900,000,000   9,852,543,000,000   11,375,935,000,000 10,652,865,000,000   11,183,570,000,000 11,110,052,000,000 11,163,259,000,000 10,966,811,000,000   10,803,737,000,000 10,817,389,000,000  9,614,445,000,000 9,344,346,000,000    4,787,240,000,000   4,637,823,000,000 4,580,375,000,000 4,532,632,000,000 
        allowance for credit losses
      -1,214,870,000,000 -1,214,870,000,000 -1,214,870,000,000 -1,214,870,000,000  -1,535,253,000,000 -1,535,253,000,000  -1,535,253,000,000 -1,356,961,000,000 -1,535,253,000,000 -1,535,253,000,000  -1,245,727,000,000 -1,245,727,000,000 -1,272,898,000,000 -1,245,727,000,000 -1,245,727,000,000  -1,222,162,000,000 -1,222,162,000,000 -1,470,701,000,000 -1,222,162,000,000 -1,222,162,000,000 -1,222,162,000,000 -1,105,541,000,000 -1,105,541,000,000 -1,348,391,000,000 -1,105,541,000,000 -1,105,541,000,000 -1,105,541,000,000 -740,641,000,000 -740,641,000,000 -1,009,000,000,000 -740,641,000,000 -740,641,000,000 -740,641,000,000 -711,236,000,000  -711,236,000,000 -658,184,000,000 -711,236,000,000 -711,236,000,000 -711,236,000,000 -807,139,000,000 -634,609,000,000 -807,139,000,000 -762,654,000,000 -807,139,000,000 -764,124,000,000 -807,139,000,000 -807,139,000,000 -764,124,000,000 -957,350,000,000 -916,181,000,000 -1,179,797,000,000 -957,350,000,000 -916,181,000,000 -957,350,000,000 -1,182,188,000,000 -957,350,000,000 -1,182,188,000,000 -1,057,585,000,000 -1,109,717,000,000 -1,057,585,000,000 -925,478,000,000 -1,057,585,000,000 -1,111,130,000,000 -1,057,585,000,000 -1,111,130,000,000 -995,784,000,000 -1,055,479,000,000  -947,346,000,000 -995,784,000,000 -1,055,479,000,000 -995,784,000,000 -1,055,479,000,000 -938,483,000,000 -940,888,000,000  -940,888,000,000 -938,483,000,000 -1,094,420,000,000 -938,483,000,000 -1,087,457,000,000 -1,335,987,000,000 -1,087,457,000,000 -1,087,457,000,000 -1,335,987,000,000 -1,087,457,000,000 -1,123,773,000,000 -1,285,507,000,000 -1,123,773,000,000 -1,123,773,000,000 -1,285,507,000,000 -1,123,773,000,000 -1,143,997,000,000 -1,240,456,000,000 -1,143,997,000,000 -1,143,997,000,000 -1,240,456,000,000 -1,143,997,000,000 -1,142,063,000,000 -1,315,615,000,000 -1,228,802,000,000     -1,156,638,000,000     -1,156,638,000,000       -1,134,940,000,000      -1,112,453,000,000 -1,012,227,000,000      -1,012,227,000,000     -888,504,000,000    
        total assets
      413,113,501,000,000 413,113,501,000,000 413,113,501,000,000 413,113,501,000,000  403,703,147,000,000 403,703,147,000,000  403,703,147,000,000  403,703,147,000,000 403,703,147,000,000  386,799,477,000,000 386,799,477,000,000  386,799,477,000,000 386,799,477,000,000  373,731,910,000,000 373,731,910,000,000  373,731,910,000,000 373,731,910,000,000 373,731,910,000,000 359,473,515,000,000 359,473,515,000,000  359,473,515,000,000 359,473,515,000,000 359,473,515,000,000 336,571,379,000,000 336,571,379,000,000  336,571,379,000,000 336,571,379,000,000 336,571,379,000,000 311,138,903,000,000  311,138,903,000,000  311,138,903,000,000 311,138,903,000,000 311,138,903,000,000 306,937,415,000,000 300,124,250,000,000 306,937,415,000,000  306,937,415,000,000 300,570,312,000,000 306,937,415,000,000 306,937,415,000,000 300,570,312,000,000 303,297,433,000,000 300,400,980,000,000  303,297,433,000,000 300,400,980,000,000 303,297,433,000,000 297,185,019,000,000 303,297,433,000,000 297,185,019,000,000 298,302,898,000,000  298,302,898,000,000 288,912,990,000,000 298,302,898,000,000 292,570,296,000,000 298,302,898,000,000 292,570,296,000,000 286,149,768,000,000  10,646,262,000,000 283,978,815,000,000 286,149,768,000,000 280,886,326,000,000 286,149,768,000,000 280,886,326,000,000 258,131,946,000,000 260,014,355,000,000 10,932,276,000,000 260,014,355,000,000 258,131,946,000,000 253,661,077,000,000 258,131,946,000,000 234,498,701,000,000  234,498,701,000,000 234,498,701,000,000 230,559,276,000,000 234,498,701,000,000 218,861,616,000,000  218,861,616,000,000 218,861,616,000,000 215,202,514,000,000 218,861,616,000,000 206,227,081,000,000  206,227,081,000,000 206,227,081,000,000 202,861,288,000,000 206,227,081,000,000 202,642,327,000,000  206,380,869,000,000 200,084,397,000,000 204,744,412,000,000 204,106,939,000,000   10,107,154,000,000 193,499,417,000,000 199,294,513,000,000 198,733,906,000,000  190,731,786,000,000 198,891,601,000,000 8,050,502,000,000 190,731,786,000,000 194,072,547,000,000 192,993,179,000,000  188,028,250,000,000 195,274,038,000,000 189,894,404,000,000 192,679,291,000,000 187,281,022,000,000   191,355,513,000,000 184,735,352,000,000 186,219,447,000,000 179,492,197,000,000 160,772,959,000,000   194,595,894,000,000 113,216,114,000,000   116,246,651,000,000 113,408,478,000,000 109,264,316,000,000 
        liabilities:
                                                                                                                                                      
        deposits
      228,512,749,000,000 228,512,749,000,000 228,512,749,000,000 228,512,749,000,000  224,035,035,000,000 224,035,035,000,000  224,035,035,000,000  224,035,035,000,000 224,035,035,000,000  213,609,501,000,000 213,609,501,000,000  213,609,501,000,000 213,609,501,000,000  215,427,299,000,000 215,427,299,000,000  215,427,299,000,000 215,427,299,000,000 215,427,299,000,000 211,521,257,000,000 211,521,257,000,000  211,521,257,000,000 211,521,257,000,000 211,521,257,000,000 187,623,551,000,000 187,623,551,000,000  187,623,551,000,000 187,623,551,000,000 187,623,551,000,000 180,171,279,000,000  180,171,279,000,000  180,171,279,000,000 180,171,279,000,000 180,171,279,000,000 177,312,310,000,000  177,312,310,000,000  177,312,310,000,000  177,312,310,000,000 177,312,310,000,000  170,730,221,000,000   170,730,221,000,000  170,730,221,000,000  170,730,221,000,000  160,965,056,000,000  160,965,056,000,000  160,965,056,000,000  160,965,056,000,000  153,357,410,000,000    153,357,410,000,000  153,357,410,000,000  144,760,294,000,000    144,760,294,000,000  144,760,294,000,000 131,697,096,000,000  131,697,096,000,000 131,697,096,000,000  131,697,096,000,000 124,789,252,000,000  124,789,252,000,000 124,789,252,000,000  124,789,252,000,000 124,144,337,000,000  124,144,337,000,000 124,144,337,000,000  124,144,337,000,000 118,758,883,000,000  122,268,713,000,000  122,175,761,000,000 123,891,946,000,000     122,232,841,000,000 120,149,591,000,000   118,128,159,000,000   120,654,314,000,000 121,307,300,000,000   121,610,756,000,000 117,630,832,000,000 118,844,982,000,000 118,708,663,000,000   116,258,812,000,000 115,602,910,000,000  116,448,550,000,000 107,528,644,000,000    68,217,713,000,000   66,952,158,000,000 67,082,418,000,000 66,035,216,000,000 
        negotiable certificates of deposit
      17,374,010,000,000 17,374,010,000,000 17,374,010,000,000 17,374,010,000,000  16,555,451,000,000 16,555,451,000,000  16,555,451,000,000  16,555,451,000,000 16,555,451,000,000  13,632,559,000,000 13,632,559,000,000  13,632,559,000,000 13,632,559,000,000  10,938,831,000,000 10,938,831,000,000  10,938,831,000,000 10,938,831,000,000 10,938,831,000,000 8,099,119,000,000 8,099,119,000,000  8,099,119,000,000 8,099,119,000,000 8,099,119,000,000 7,787,524,000,000 7,787,524,000,000  7,787,524,000,000 7,787,524,000,000 7,787,524,000,000 9,413,420,000,000  9,413,420,000,000  9,413,420,000,000 9,413,420,000,000 9,413,420,000,000 9,854,742,000,000  9,854,742,000,000  9,854,742,000,000  9,854,742,000,000 9,854,742,000,000  11,341,571,000,000   11,341,571,000,000  11,341,571,000,000  11,341,571,000,000  11,591,578,000,000  11,591,578,000,000  11,591,578,000,000  11,591,578,000,000  16,073,850,000,000    16,073,850,000,000  16,073,850,000,000  15,548,170,000,000    15,548,170,000,000  15,548,170,000,000 14,855,049,000,000  14,855,049,000,000 14,855,049,000,000  14,855,049,000,000 12,980,617,000,000  12,980,617,000,000 12,980,617,000,000  12,980,617,000,000 10,961,012,000,000  10,961,012,000,000 10,961,012,000,000  10,961,012,000,000 10,344,122,000,000  11,166,716,000,000  11,274,691,000,000 11,019,571,000,000     8,280,267,000,000 7,570,547,000,000   7,268,703,000,000   7,232,232,000,000 7,319,321,000,000   6,768,632,000,000 6,657,864,000,000 6,647,279,000,000 7,083,233,000,000   6,970,849,000,000 6,880,379,000,000   5,457,746,000,000    2,824,913,000,000   3,052,037,000,000 3,896,695,000,000 2,769,595,000,000 
        call money and bills sold
      5,072,926,000,000 5,072,926,000,000 5,072,926,000,000 5,072,926,000,000  5,125,583,000,000 5,125,583,000,000  5,125,583,000,000  5,125,583,000,000 5,125,583,000,000  3,449,234,000,000 3,449,234,000,000  3,449,234,000,000 3,449,234,000,000  2,429,791,000,000 2,429,791,000,000  2,429,791,000,000 2,429,791,000,000 2,429,791,000,000 2,330,808,000,000 2,330,808,000,000  2,330,808,000,000 2,330,808,000,000 2,330,808,000,000 3,671,100,000,000 3,671,100,000,000  3,671,100,000,000 3,671,100,000,000 3,671,100,000,000 2,465,093,000,000  2,465,093,000,000  2,465,093,000,000 2,465,093,000,000 2,465,093,000,000 2,461,088,000,000  2,461,088,000,000  2,461,088,000,000  2,461,088,000,000 2,461,088,000,000  1,973,569,000,000   1,973,569,000,000  1,973,569,000,000  1,973,569,000,000  1,360,238,000,000  1,360,238,000,000  1,360,238,000,000  1,360,238,000,000  3,600,104,000,000    3,600,104,000,000  3,600,104,000,000  3,465,414,000,000    3,465,414,000,000  3,465,414,000,000 3,980,493,000,000  3,980,493,000,000 3,980,493,000,000  3,980,493,000,000 2,809,618,000,000  2,809,618,000,000 2,809,618,000,000  2,809,618,000,000 2,311,428,000,000  2,311,428,000,000 2,311,428,000,000  2,311,428,000,000 1,977,952,000,000  1,957,916,000,000  2,281,427,000,000 1,907,366,000,000     2,654,692,000,000 2,272,292,000,000   2,103,476,000,000   2,917,405,000,000 2,286,382,000,000   3,886,472,000,000 2,527,558,000,000 3,064,968,000,000 2,546,243,000,000   2,868,357,000,000 2,512,651,000,000  4,507,579,000,000 8,344,368,000,000    7,202,139,000,000   10,774,081,000,000 9,083,330,000,000 7,338,555,000,000 
        payables under repurchase agreements
      43,359,076,000,000 43,359,076,000,000 43,359,076,000,000 43,359,076,000,000  35,482,072,000,000 35,482,072,000,000  35,482,072,000,000  35,482,072,000,000 35,482,072,000,000  39,982,955,000,000 39,982,955,000,000  39,982,955,000,000 39,982,955,000,000  27,619,262,000,000 27,619,262,000,000  27,619,262,000,000 27,619,262,000,000 27,619,262,000,000 24,483,519,000,000 24,483,519,000,000  24,483,519,000,000 24,483,519,000,000 24,483,519,000,000 31,692,711,000,000 31,692,711,000,000  31,692,711,000,000 31,692,711,000,000 31,692,711,000,000 25,112,121,000,000  25,112,121,000,000  25,112,121,000,000 25,112,121,000,000 25,112,121,000,000 18,088,513,000,000  18,088,513,000,000  18,088,513,000,000 18,134,594,000,000 18,088,513,000,000 18,088,513,000,000 18,134,594,000,000 17,636,962,000,000   17,636,962,000,000  17,636,962,000,000 16,081,499,000,000 17,636,962,000,000 16,081,499,000,000 23,515,240,000,000  23,515,240,000,000  23,515,240,000,000 22,114,424,000,000 23,515,240,000,000 22,114,424,000,000 21,899,506,000,000    21,899,506,000,000 20,728,205,000,000 21,899,506,000,000 20,728,205,000,000 21,626,590,000,000    21,626,590,000,000 21,268,072,000,000 21,626,590,000,000 15,886,923,000,000  15,886,923,000,000 15,886,923,000,000 15,700,394,000,000 15,886,923,000,000 13,585,846,000,000  13,585,846,000,000 13,585,846,000,000 13,572,712,000,000 13,585,846,000,000 12,385,585,000,000  12,385,585,000,000 12,385,585,000,000 12,389,075,000,000 12,385,585,000,000 10,929,162,000,000  14,059,313,000,000 11,846,656,000,000 13,019,930,000,000 11,843,211,000,000    11,911,615,000,000 11,981,624,000,000 11,926,997,000,000 11,911,615,000,000  11,461,742,000,000  11,892,902,000,000 9,580,334,000,000 10,490,735,000,000 11,892,902,000,000  10,116,789,000,000 8,451,563,000,000 8,555,602,000,000 8,214,875,000,000 8,211,210,000,000  9,309,803,000,000 7,248,841,000,000 5,289,754,000,000 4,417,060,000,000 3,948,282,000,000 5,289,754,000,000 2,802,524,000,000  4,501,678,000,000   5,805,682,000,000 5,182,015,000,000 4,298,475,000,000 
        payables under securities lending transactions
      699,852,000,000 699,852,000,000 699,852,000,000 699,852,000,000  1,047,194,000,000 1,047,194,000,000  1,047,194,000,000 1,016,938,000,000 1,047,194,000,000 1,047,194,000,000  1,171,947,000,000 1,171,947,000,000 1,137,693,000,000 1,171,947,000,000 1,171,947,000,000  1,072,578,000,000 1,072,578,000,000 1,021,887,000,000 1,072,578,000,000 1,072,578,000,000 1,072,578,000,000 836,351,000,000 836,351,000,000 842,590,000,000 836,351,000,000 836,351,000,000 836,351,000,000 1,058,042,000,000 1,058,042,000,000  1,058,042,000,000 1,058,042,000,000 1,058,042,000,000 903,219,000,000  903,219,000,000 913,087,000,000 903,219,000,000 903,219,000,000 903,219,000,000 8,156,582,000,000 1,900,033,000,000 8,156,582,000,000  8,156,582,000,000 8,170,218,000,000 8,156,582,000,000 8,156,582,000,000 8,170,218,000,000 5,538,739,000,000 4,789,971,000,000  5,538,739,000,000 4,789,971,000,000 5,538,739,000,000 5,549,004,000,000 5,538,739,000,000 5,549,004,000,000 4,710,407,000,000  4,710,407,000,000 6,448,253,000,000 4,710,407,000,000 4,710,407,000,000 4,710,407,000,000 4,710,407,000,000 8,205,350,000,000 8,205,349,000,000  9,086,489,000,000 8,205,350,000,000 8,205,349,000,000 8,205,350,000,000 8,205,349,000,000 5,534,643,000,000 7,053,971,000,000  7,053,971,000,000 5,534,643,000,000 5,520,718,000,000 5,534,643,000,000 4,027,390,000,000 3,992,950,000,000 4,027,390,000,000 4,027,390,000,000 3,992,950,000,000 4,027,390,000,000 4,978,915,000,000 4,978,917,000,000 4,978,915,000,000 4,978,915,000,000 4,978,917,000,000 4,978,915,000,000 2,102,757,000,000 2,104,105,000,000 2,102,757,000,000 2,102,757,000,000 2,104,105,000,000 2,102,757,000,000 3,920,370,000,000 3,633,891,000,000 3,415,092,000,000 3,633,891,000,000 2,736,945,000,000 3,632,170,000,000  4,279,867,000,000  4,279,867,000,000 3,640,413,000,000 4,270,365,000,000 4,279,867,000,000  3,412,956,000,000  4,587,511,000,000 4,311,874,000,000 5,897,051,000,000 4,587,511,000,000 6,382,055,000,000 4,167,610,000,000 6,609,067,000,000 8,259,808,000,000 5,135,235,000,000 5,137,508,000,000 3,821,019,000,000 5,625,710,000,000 5,596,344,000,000 3,821,019,000,000 4,385,700,000,000 2,105,030,000,000 3,821,019,000,000 2,261,851,000,000  3,565,962,000,000   4,403,291,000,000 4,221,383,000,000 3,196,570,000,000 
        commercial papers
      3,475,042,000,000 3,475,042,000,000 3,475,042,000,000 3,475,042,000,000  3,105,779,000,000 3,105,779,000,000  3,105,779,000,000  3,105,779,000,000 3,105,779,000,000  2,220,723,000,000 2,220,723,000,000  2,220,723,000,000 2,220,723,000,000  2,108,531,000,000 2,108,531,000,000  2,108,531,000,000 2,108,531,000,000 2,108,531,000,000 1,810,350,000,000 1,810,350,000,000  1,810,350,000,000 1,810,350,000,000 1,810,350,000,000 2,162,329,000,000 2,162,329,000,000  2,162,329,000,000 2,162,329,000,000 2,162,329,000,000 2,316,338,000,000  2,316,338,000,000  2,316,338,000,000 2,316,338,000,000 2,316,338,000,000 2,181,995,000,000  2,181,995,000,000  2,181,995,000,000  2,181,995,000,000 2,181,995,000,000  2,307,222,000,000   2,307,222,000,000  2,307,222,000,000  2,307,222,000,000  2,292,282,000,000  2,292,282,000,000  2,292,282,000,000  2,292,282,000,000  2,179,634,000,000    2,179,634,000,000  2,179,634,000,000  1,473,631,000,000    1,473,631,000,000  1,473,631,000,000 1,048,856,000,000  1,048,856,000,000 1,048,856,000,000  1,048,856,000,000 569,659,000,000  569,659,000,000 569,659,000,000  569,659,000,000 101,688,000,000  101,688,000,000 101,688,000,000  101,688,000,000 113,995,000,000  152,654,000,000  165,504,000,000 196,929,000,000     110,765,000,000 141,436,000,000   196,919,000,000   155,239,000,000                        
        trading liabilities
      19,362,603,000,000 19,362,603,000,000 19,362,603,000,000 19,362,603,000,000  16,729,760,000,000 16,729,760,000,000  16,729,760,000,000  16,729,760,000,000 16,729,760,000,000  14,716,820,000,000 14,716,820,000,000  14,716,820,000,000 14,716,820,000,000  12,397,702,000,000 12,397,702,000,000  12,397,702,000,000 12,397,702,000,000 12,397,702,000,000 14,002,667,000,000 14,002,667,000,000  14,002,667,000,000 14,002,667,000,000 14,002,667,000,000 14,067,826,000,000 14,067,826,000,000  14,067,826,000,000 14,067,826,000,000 14,067,826,000,000 11,624,122,000,000  11,624,122,000,000  11,624,122,000,000 11,624,122,000,000 11,624,122,000,000 10,898,924,000,000  10,898,924,000,000  10,898,924,000,000  10,898,924,000,000 10,898,924,000,000  17,700,617,000,000   17,700,617,000,000  17,700,617,000,000  17,700,617,000,000  17,251,302,000,000  17,251,302,000,000  17,251,302,000,000  17,251,302,000,000  15,521,917,000,000    15,521,917,000,000  15,521,917,000,000  13,964,961,000,000    13,964,961,000,000  13,964,961,000,000 15,379,226,000,000  15,379,226,000,000 15,379,226,000,000  15,379,226,000,000 13,451,275,000,000  13,451,275,000,000 13,451,275,000,000  13,451,275,000,000 11,219,391,000,000  11,219,391,000,000 11,219,391,000,000  11,219,391,000,000 13,140,281,000,000  12,885,221,000,000  10,994,224,000,000 9,894,186,000,000     9,242,770,000,000 9,868,818,000,000   10,442,017,000,000   9,631,931,000,000 5,944,552,000,000   5,442,904,000,000 5,655,557,000,000 5,386,299,000,000 4,299,018,000,000   5,325,653,000,000 4,867,308,000,000  5,026,235,000,000 1,132,347,000,000    3,453,843,000,000   3,513,457,000,000 2,933,887,000,000 2,844,561,000,000 
        borrowed money
      22,101,954,000,000 22,101,954,000,000 22,101,954,000,000 22,101,954,000,000  25,955,961,000,000 25,955,961,000,000  25,955,961,000,000  25,955,961,000,000 25,955,961,000,000  24,856,340,000,000 24,856,340,000,000  24,856,340,000,000 24,856,340,000,000  31,763,332,000,000 31,763,332,000,000  31,763,332,000,000 31,763,332,000,000 31,763,332,000,000 31,110,465,000,000 31,110,465,000,000  31,110,465,000,000 31,110,465,000,000 31,110,465,000,000 24,651,574,000,000 24,651,574,000,000  24,651,574,000,000 24,651,574,000,000 24,651,574,000,000 16,268,170,000,000  16,268,170,000,000  16,268,170,000,000 16,268,170,000,000 16,268,170,000,000 16,399,502,000,000  16,399,502,000,000  16,399,502,000,000  16,399,502,000,000 16,399,502,000,000  16,971,085,000,000   16,971,085,000,000  16,971,085,000,000  16,971,085,000,000  12,482,277,000,000  12,482,277,000,000  12,482,277,000,000  12,482,277,000,000  13,866,196,000,000    13,866,196,000,000  13,866,196,000,000  10,828,601,000,000    10,828,601,000,000  10,828,601,000,000 10,758,136,000,000  10,758,136,000,000 10,758,136,000,000  10,758,136,000,000 10,318,096,000,000  10,318,096,000,000 10,318,096,000,000  10,318,096,000,000 8,895,546,000,000  8,895,546,000,000 8,895,546,000,000  8,895,546,000,000 9,349,512,000,000  6,537,783,000,000  5,494,228,000,000 6,235,917,000,000     6,430,060,000,000 7,729,256,000,000   9,438,160,000,000   3,817,606,000,000 5,050,000,000,000   6,136,258,000,000 4,511,981,000,000 3,976,666,000,000 4,810,735,000,000   7,099,360,000,000 6,284,929,000,000  3,542,696,000,000 2,454,938,000,000    1,347,104,000,000   1,240,273,000,000 1,304,542,000,000 1,288,589,000,000 
        short-term bonds payable
      1,373,236,000,000 1,373,236,000,000 1,373,236,000,000 1,373,236,000,000  1,211,769,000,000 1,211,769,000,000  1,211,769,000,000  1,211,769,000,000 1,211,769,000,000  1,047,499,000,000 1,047,499,000,000  1,047,499,000,000 1,047,499,000,000  1,316,803,000,000 1,316,803,000,000  1,316,803,000,000 1,316,803,000,000 1,316,803,000,000 1,043,001,000,000 1,043,001,000,000  1,043,001,000,000 1,043,001,000,000 1,043,001,000,000 962,295,000,000 962,295,000,000  962,295,000,000 962,295,000,000 962,295,000,000 793,999,000,000  793,999,000,000  793,999,000,000 793,999,000,000 793,999,000,000 847,299,000,000  847,299,000,000  847,299,000,000  847,299,000,000 847,299,000,000  847,999,000,000   847,999,000,000  847,999,000,000  847,999,000,000  752,492,000,000  752,492,000,000  752,492,000,000  752,492,000,000  789,512,000,000    789,512,000,000  789,512,000,000  435,808,000,000    435,808,000,000  435,808,000,000 462,161,000,000  462,161,000,000 462,161,000,000  462,161,000,000 523,065,000,000  523,065,000,000 523,065,000,000  523,065,000,000 436,967,000,000  436,967,000,000 436,967,000,000  436,967,000,000 433,588,000,000  481,065,000,000  418,434,000,000 480,545,000,000     365,789,000,000 323,959,000,000   370,022,000,000   585,685,000,000                        
        bonds payable
      14,018,955,000,000 14,018,955,000,000 14,018,955,000,000 14,018,955,000,000  16,303,298,000,000 16,303,298,000,000  16,303,298,000,000  16,303,298,000,000 16,303,298,000,000  15,708,720,000,000 15,708,720,000,000  15,708,720,000,000 15,708,720,000,000  13,257,347,000,000 13,257,347,000,000  13,257,347,000,000 13,257,347,000,000 13,257,347,000,000 12,908,505,000,000 12,908,505,000,000  12,908,505,000,000 12,908,505,000,000 12,908,505,000,000 13,464,472,000,000 13,464,472,000,000  13,464,472,000,000 13,464,472,000,000 13,464,472,000,000 12,179,680,000,000  12,179,680,000,000  12,179,680,000,000 12,179,680,000,000 12,179,680,000,000 10,706,252,000,000  10,706,252,000,000  10,706,252,000,000  10,706,252,000,000 10,706,252,000,000  9,893,687,000,000   9,893,687,000,000  9,893,687,000,000  9,893,687,000,000  9,190,542,000,000  9,190,542,000,000  9,190,542,000,000  9,190,542,000,000  8,141,713,000,000  440,500,000,000  8,141,713,000,000  8,141,713,000,000  7,165,577,000,000  380,500,000,000  7,165,577,000,000  7,165,577,000,000 6,114,578,000,000  6,114,578,000,000 6,114,578,000,000  6,114,578,000,000 6,634,121,000,000  6,634,121,000,000 6,634,121,000,000  6,634,121,000,000 6,438,685,000,000  6,438,685,000,000 6,438,685,000,000  6,438,685,000,000 6,304,570,000,000  6,490,425,000,000  6,619,566,000,000 7,022,868,000,000   510,500,000,000  6,758,084,000,000 6,485,158,000,000   6,175,907,000,000 330,000,000,000  6,157,787,000,000                        
        due to trust accounts
      4,937,999,000,000 4,937,999,000,000 4,937,999,000,000 4,937,999,000,000  7,387,495,000,000 7,387,495,000,000  7,387,495,000,000  7,387,495,000,000 7,387,495,000,000  11,689,414,000,000 11,689,414,000,000  11,689,414,000,000 11,689,414,000,000  12,811,123,000,000 12,811,123,000,000  12,811,123,000,000 12,811,123,000,000 12,811,123,000,000 11,208,570,000,000 11,208,570,000,000  11,208,570,000,000 11,208,570,000,000 11,208,570,000,000 9,798,688,000,000 9,798,688,000,000  9,798,688,000,000 9,798,688,000,000 9,798,688,000,000 10,282,227,000,000  10,282,227,000,000  10,282,227,000,000 10,282,227,000,000 10,282,227,000,000 10,382,479,000,000  10,382,479,000,000  10,382,479,000,000  10,382,479,000,000 10,382,479,000,000  9,893,881,000,000   9,893,881,000,000  9,893,881,000,000  9,893,881,000,000  13,296,033,000,000  13,296,033,000,000  13,296,033,000,000  13,296,033,000,000  3,183,295,000,000    3,183,295,000,000  3,183,295,000,000  1,945,151,000,000    1,945,151,000,000  1,945,151,000,000 1,503,215,000,000  1,503,215,000,000 1,503,215,000,000  1,503,215,000,000 1,416,725,000,000  1,416,725,000,000 1,416,725,000,000  1,416,725,000,000 1,459,108,000,000  1,459,108,000,000 1,459,108,000,000  1,459,108,000,000 1,504,555,000,000  1,488,794,000,000  1,570,487,000,000 1,559,765,000,000     1,696,447,000,000 1,798,223,000,000   1,642,673,000,000   1,481,037,000,000 1,462,822,000,000   2,173,282,000,000 1,592,480,000,000 1,918,344,000,000 1,542,448,000,000   1,878,555,000,000 1,796,608,000,000             
        other liabilities
      14,563,347,000,000 14,563,347,000,000 14,563,347,000,000 14,563,347,000,000 235,959,000,000 13,312,715,000,000 13,312,715,000,000  13,312,715,000,000 17,600,152,000,000 13,312,715,000,000 13,312,715,000,000 226,850,000,000 12,132,972,000,000 12,132,972,000,000 17,347,206,000,000 12,132,972,000,000 12,132,972,000,000 215,129,000,000 10,861,695,000,000 10,861,695,000,000 26,662,462,000,000 10,861,695,000,000 10,861,695,000,000 10,861,695,000,000 9,754,731,000,000 9,754,731,000,000 15,070,820,000,000 9,754,731,000,000 9,754,731,000,000 9,754,731,000,000 10,407,459,000,000 10,407,459,000,000  10,407,459,000,000 10,407,459,000,000 10,407,459,000,000 9,452,717,000,000  9,452,717,000,000 10,660,267,000,000 9,452,717,000,000 9,452,717,000,000 9,452,717,000,000 9,270,887,000,000 7,718,464,000,000 9,270,887,000,000  9,270,887,000,000 7,407,413,000,000 9,270,887,000,000 9,270,887,000,000 7,407,413,000,000 9,382,992,000,000 7,794,424,000,000  9,382,992,000,000 7,794,424,000,000 9,382,992,000,000 6,755,165,000,000 9,382,992,000,000 6,755,165,000,000 10,834,564,000,000  10,834,564,000,000 6,987,852,000,000 10,834,564,000,000 7,193,151,000,000 10,834,564,000,000 7,193,151,000,000 9,530,371,000,000 7,867,394,000,000  8,092,155,000,000 9,530,371,000,000 7,867,394,000,000 9,530,371,000,000 7,867,394,000,000 5,965,086,000,000 5,849,851,000,000  5,849,851,000,000 5,965,086,000,000 5,607,011,000,000 5,965,086,000,000 5,742,901,000,000 5,048,689,000,000 5,742,901,000,000 5,742,901,000,000 5,048,689,000,000 5,742,901,000,000 5,956,502,000,000 5,552,631,000,000 5,956,502,000,000 5,956,502,000,000 5,552,631,000,000 5,956,502,000,000 5,422,853,000,000 4,841,981,000,000 5,422,853,000,000 5,422,853,000,000 4,844,901,000,000 5,422,853,000,000 5,244,563,000,000 4,139,892,000,000 4,929,588,000,000 4,139,892,000,000 6,852,353,000,000 4,933,405,000,000 75,327,000,000 4,824,603,000,000  5,056,828,000,000 5,639,866,000,000 6,634,917,000,000 5,056,828,000,000 4,687,702,000,000 7,437,805,000,000  4,687,702,000,000 5,494,756,000,000 4,388,814,000,000 4,687,702,000,000 3,027,171,000,000 4,400,263,000,000 5,318,114,000,000 5,222,967,000,000 4,326,742,000,000 5,019,523,000,000 2,802,850,000,000 6,068,952,000,000 4,291,590,000,000 4,320,859,000,000 5,551,282,000,000 4,184,752,000,000 4,320,859,000,000 2,049,681,000,000  3,693,357,000,000   3,021,282,000,000 2,794,984,000,000 4,389,288,000,000 
        reserve for bonuses
      251,665,000,000 251,665,000,000 251,665,000,000 251,665,000,000  243,372,000,000 243,372,000,000  243,372,000,000  243,372,000,000 243,372,000,000  196,850,000,000 196,850,000,000  196,850,000,000 196,850,000,000  136,724,000,000 136,724,000,000  136,724,000,000 136,724,000,000 136,724,000,000 118,358,000,000 118,358,000,000  118,358,000,000 118,358,000,000 118,358,000,000 110,964,000,000 110,964,000,000  110,964,000,000 110,964,000,000 110,964,000,000 79,236,000,000  79,236,000,000  79,236,000,000 79,236,000,000 79,236,000,000 86,581,000,000  86,581,000,000  86,581,000,000  86,581,000,000 86,581,000,000  81,012,000,000   81,012,000,000  81,012,000,000  81,012,000,000  90,219,000,000  90,219,000,000  90,219,000,000  90,219,000,000  90,360,000,000    90,360,000,000  90,360,000,000  78,987,000,000    78,987,000,000  78,987,000,000 62,707,000,000  62,707,000,000 62,707,000,000  62,707,000,000 47,797,000,000  47,797,000,000 47,797,000,000  47,797,000,000 44,983,000,000  44,983,000,000 44,983,000,000  44,983,000,000 19,250,000,000  46,954,000,000  13,836,000,000 52,278,000,000   307,000,000  14,195,000,000 42,615,000,000   16,692,000,000 328,000,000  12,425,000,000 49,798,000,000            15,203,000,000           
        reserve for bonuses to directors
      2,879,000,000 2,879,000,000 2,879,000,000 2,879,000,000  2,629,000,000 2,629,000,000  2,629,000,000  2,629,000,000 2,629,000,000  3,639,000,000 3,639,000,000  3,639,000,000 3,639,000,000  1,866,000,000 1,866,000,000  1,866,000,000 1,866,000,000 1,866,000,000 1,816,000,000 1,816,000,000  1,816,000,000 1,816,000,000 1,816,000,000 1,446,000,000 1,446,000,000  1,446,000,000 1,446,000,000 1,446,000,000 689,000,000  689,000,000  689,000,000 689,000,000 689,000,000 620,000,000  620,000,000  620,000,000  620,000,000 620,000,000  598,000,000   598,000,000  598,000,000  598,000,000  396,000,000  396,000,000  396,000,000  396,000,000  454,000,000    454,000,000  454,000,000  627,000,000    627,000,000  627,000,000 891,000,000  891,000,000 891,000,000  891,000,000 1,057,000,000  1,057,000,000 1,057,000,000  1,057,000,000 543,000,000  543,000,000 543,000,000  543,000,000 608,000,000  309,000,000  256,000,000 751,000,000     92,000,000 150,000,000   353,000,000   46,000,000 434,000,000                       
        reserve for stocks payment
      11,077,000,000 11,077,000,000 11,077,000,000 11,077,000,000  13,331,000,000 13,331,000,000  13,331,000,000  13,331,000,000 13,331,000,000  9,304,000,000 9,304,000,000  9,304,000,000 9,304,000,000  8,437,000,000 8,437,000,000  8,437,000,000 8,437,000,000 8,437,000,000 10,915,000,000 10,915,000,000  10,915,000,000 10,915,000,000 10,915,000,000 11,298,000,000 11,298,000,000  11,298,000,000 11,298,000,000 11,298,000,000 10,814,000,000  10,814,000,000  10,814,000,000 10,814,000,000 10,814,000,000 11,607,000,000  11,607,000,000  11,607,000,000  11,607,000,000 11,607,000,000  10,400,000,000   10,400,000,000  10,400,000,000  10,400,000,000                                                                                    
        net defined benefit liabilities
      104,612,000,000 104,612,000,000 104,612,000,000 104,612,000,000  102,155,000,000 102,155,000,000  102,155,000,000  102,155,000,000 102,155,000,000  86,445,000,000 86,445,000,000  86,445,000,000 86,445,000,000  86,355,000,000 86,355,000,000  86,355,000,000  86,355,000,000 88,914,000,000 88,914,000,000  88,914,000,000  88,914,000,000 86,547,000,000 86,547,000,000  86,547,000,000  86,547,000,000 59,540,000,000  59,540,000,000  59,540,000,000  59,540,000,000 59,033,000,000  59,033,000,000  59,033,000,000   59,033,000,000  59,045,000,000   59,045,000,000  59,045,000,000  59,045,000,000  62,791,000,000  62,791,000,000  62,791,000,000  62,791,000,000  62,121,000,000    62,121,000,000  62,121,000,000  51,651,000,000    51,651,000,000  51,651,000,000                                                            
        reserve for retirement benefits to directors
      813,000,000 813,000,000 813,000,000 813,000,000  822,000,000 822,000,000  822,000,000  822,000,000 822,000,000  830,000,000 830,000,000  830,000,000 830,000,000  812,000,000 812,000,000  812,000,000 812,000,000 812,000,000 872,000,000 872,000,000  872,000,000 872,000,000 872,000,000 1,058,000,000 1,058,000,000  1,058,000,000 1,058,000,000 1,058,000,000 1,058,000,000  1,058,000,000  1,058,000,000 1,058,000,000 1,058,000,000 1,088,000,000  1,088,000,000  1,088,000,000  1,088,000,000 1,088,000,000  1,128,000,000   1,128,000,000  1,128,000,000  1,128,000,000  1,113,000,000  1,113,000,000  1,113,000,000  1,113,000,000  1,086,000,000    1,086,000,000  1,086,000,000  1,201,000,000    1,201,000,000  1,201,000,000 1,438,000,000  1,438,000,000 1,438,000,000  1,438,000,000 1,534,000,000  1,534,000,000 1,534,000,000  1,534,000,000 1,556,000,000  1,556,000,000 1,556,000,000  1,556,000,000 1,451,000,000  1,330,000,000  1,222,000,000 1,523,000,000     1,472,000,000 1,958,000,000   1,896,000,000   1,563,000,000 2,100,000,000                       
        reserve for loyalty award credits
      7,730,000,000 7,730,000,000 7,730,000,000 7,730,000,000  17,809,000,000 17,809,000,000  17,809,000,000  17,809,000,000 17,809,000,000  17,962,000,000 17,962,000,000  17,962,000,000 17,962,000,000  17,113,000,000 17,113,000,000  17,113,000,000 17,113,000,000 17,113,000,000 18,312,000,000 18,312,000,000  18,312,000,000 18,312,000,000 18,312,000,000 31,247,000,000 31,247,000,000  31,247,000,000 31,247,000,000 31,247,000,000 17,606,000,000  17,606,000,000  17,606,000,000 17,606,000,000 17,606,000,000 17,836,000,000  17,836,000,000  17,836,000,000  17,836,000,000 17,836,000,000  16,689,000,000   16,689,000,000  16,689,000,000  16,689,000,000  15,971,000,000  15,971,000,000  15,971,000,000  15,971,000,000  15,375,000,000    15,375,000,000  15,375,000,000  13,541,000,000    13,541,000,000  13,541,000,000 7,798,000,000  7,798,000,000 7,798,000,000  7,798,000,000 6,768,000,000  6,768,000,000 6,768,000,000  6,768,000,000 8,627,000,000  8,627,000,000 8,627,000,000  8,627,000,000 10,422,000,000  10,544,000,000  9,554,000,000 8,717,000,000     9,621,000,000 8,854,000,000   10,765,000,000   8,933,000,000 8,079,000,000                       
        reserve for contingent losses
      150,657,000,000 150,657,000,000 150,657,000,000 150,657,000,000  133,860,000,000 133,860,000,000  133,860,000,000  133,860,000,000 133,860,000,000  164,891,000,000 164,891,000,000  164,891,000,000 164,891,000,000  232,291,000,000 232,291,000,000  232,291,000,000 232,291,000,000 232,291,000,000 183,855,000,000 183,855,000,000  183,855,000,000 183,855,000,000 183,855,000,000 206,029,000,000 206,029,000,000  206,029,000,000 206,029,000,000 206,029,000,000 265,707,000,000  265,707,000,000  265,707,000,000 265,707,000,000 265,707,000,000 318,002,000,000  318,002,000,000  318,002,000,000  318,002,000,000 318,002,000,000  384,868,000,000   384,868,000,000  384,868,000,000  384,868,000,000  210,087,000,000  210,087,000,000  210,087,000,000  210,087,000,000  204,790,000,000    204,790,000,000  204,790,000,000  247,351,000,000    247,351,000,000  247,351,000,000 296,471,000,000  296,471,000,000 296,471,000,000  296,471,000,000 373,439,000,000  373,439,000,000 373,439,000,000  373,439,000,000 492,693,000,000  492,693,000,000 492,693,000,000  492,693,000,000 209,558,000,000  232,389,000,000  220,026,000,000 239,224,000,000     246,981,000,000 277,608,000,000   282,015,000,000   124,570,000,000 133,110,000,000   141,682,000,000 145,063,000,000 118,609,000,000 116,249,000,000    100,087,000,000             
        reserves under special laws
      5,295,000,000 5,295,000,000 5,295,000,000 5,295,000,000  5,058,000,000 5,058,000,000  5,058,000,000  5,058,000,000 5,058,000,000  4,659,000,000 4,659,000,000  4,659,000,000 4,659,000,000  4,656,000,000 4,656,000,000  4,656,000,000 4,656,000,000 4,656,000,000 4,642,000,000 4,642,000,000  4,642,000,000 4,642,000,000 4,642,000,000 4,269,000,000 4,269,000,000  4,269,000,000 4,269,000,000 4,269,000,000 4,263,000,000  4,263,000,000  4,263,000,000 4,263,000,000 4,263,000,000 4,319,000,000  4,319,000,000  4,319,000,000  4,319,000,000 4,319,000,000  4,075,000,000   4,075,000,000  4,075,000,000  4,075,000,000  4,232,000,000  4,232,000,000  4,232,000,000  4,232,000,000  3,771,000,000    3,771,000,000  3,771,000,000  2,853,000,000    2,853,000,000  2,853,000,000 1,969,000,000  1,969,000,000 1,969,000,000  1,969,000,000 1,799,000,000  1,799,000,000 1,799,000,000  1,799,000,000 2,235,000,000  2,235,000,000 2,235,000,000  2,235,000,000 2,231,000,000  2,229,000,000  2,228,000,000 3,098,000,000     3,092,000,000 3,339,000,000   3,337,000,000   3,330,000,000 4,639,000,000   4,477,000,000 4,300,000,000 4,095,000,000 2,316,000,000   2,184,000,000 2,197,000,000  2,114,000,000 31,000,000    1,560,000,000   1,345,000,000 1,305,000,000 1,239,000,000 
        deferred tax liabilities
      540,770,000,000 540,770,000,000 540,770,000,000 540,770,000,000  465,295,000,000 465,295,000,000  465,295,000,000  465,295,000,000 465,295,000,000  157,651,000,000 157,651,000,000  157,651,000,000 157,651,000,000  492,451,000,000 492,451,000,000  492,451,000,000 492,451,000,000 492,451,000,000 1,008,650,000,000 1,008,650,000,000  1,008,650,000,000 1,008,650,000,000 1,008,650,000,000 754,111,000,000 754,111,000,000  754,111,000,000 754,111,000,000 754,111,000,000 829,418,000,000  829,418,000,000  829,418,000,000 829,418,000,000 829,418,000,000 867,919,000,000  867,919,000,000  867,919,000,000  867,919,000,000 867,919,000,000  745,073,000,000   745,073,000,000  745,073,000,000  745,073,000,000  866,815,000,000  866,815,000,000  866,815,000,000  866,815,000,000  988,550,000,000    988,550,000,000  988,550,000,000  320,014,000,000    320,014,000,000  320,014,000,000 180,485,000,000  180,485,000,000 180,485,000,000  180,485,000,000 84,706,000,000  84,706,000,000 84,706,000,000  84,706,000,000 43,301,000,000  43,301,000,000 43,301,000,000  43,301,000,000 46,166,000,000  62,189,000,000  36,724,000,000 39,210,000,000     28,896,000,000 28,993,000,000   37,434,000,000   48,927,000,000 84,185,000,000   147,911,000,000 177,801,000,000 217,441,000,000 187,755,000,000   121,840,000,000 94,646,000,000  84,322,000,000 64,205,000,000    57,010,000,000   58,482,000,000 65,440,000,000 65,521,000,000 
        deferred tax liabilities for land revaluation
      84,903,000,000 84,903,000,000 84,903,000,000 84,903,000,000  86,631,000,000 86,631,000,000  86,631,000,000  86,631,000,000 86,631,000,000  89,525,000,000 89,525,000,000  89,525,000,000 89,525,000,000  94,414,000,000 94,414,000,000  94,414,000,000 94,414,000,000 94,414,000,000 101,577,000,000 101,577,000,000  101,577,000,000 101,577,000,000 101,577,000,000 107,641,000,000 107,641,000,000  107,641,000,000 107,641,000,000 107,641,000,000 114,292,000,000  114,292,000,000  114,292,000,000 114,292,000,000 114,292,000,000 117,104,000,000  117,104,000,000  117,104,000,000  117,104,000,000 117,104,000,000  124,483,000,000   124,483,000,000  124,483,000,000  124,483,000,000  127,237,000,000  127,237,000,000  127,237,000,000  127,237,000,000  138,669,000,000    138,669,000,000  138,669,000,000  155,026,000,000    155,026,000,000  155,026,000,000 157,688,000,000  157,688,000,000 157,688,000,000  157,688,000,000 159,867,000,000  159,867,000,000 159,867,000,000  159,867,000,000 186,765,000,000  186,765,000,000 186,765,000,000  186,765,000,000 188,029,000,000  188,057,000,000  188,953,000,000 188,963,000,000     194,011,000,000 194,228,000,000   195,973,000,000   198,259,000,000 199,402,000,000   201,158,000,000 204,577,000,000 205,389,000,000 205,782,000,000   209,191,000,000 209,667,000,000  210,819,000,000           
        acceptances and guarantees
      12,864,745,000,000 12,864,745,000,000 12,864,745,000,000 12,864,745,000,000  12,167,164,000,000 12,167,164,000,000  12,167,164,000,000  12,167,164,000,000 12,167,164,000,000  11,005,758,000,000 11,005,758,000,000  11,005,758,000,000 11,005,758,000,000  10,481,838,000,000 10,481,838,000,000  10,481,838,000,000 10,481,838,000,000 10,481,838,000,000 9,004,749,000,000 9,004,749,000,000  9,004,749,000,000 9,004,749,000,000 9,004,749,000,000 8,830,436,000,000 8,830,436,000,000  8,830,436,000,000 8,830,436,000,000 8,830,436,000,000 9,241,062,000,000  9,241,062,000,000  9,241,062,000,000 9,241,062,000,000 9,241,062,000,000 9,560,158,000,000  9,560,158,000,000  9,560,158,000,000  9,560,158,000,000 9,560,158,000,000  9,022,130,000,000   9,022,130,000,000  9,022,130,000,000  9,022,130,000,000  9,240,310,000,000  9,240,310,000,000  9,240,310,000,000  9,240,310,000,000  9,511,714,000,000    9,511,714,000,000  9,511,714,000,000  8,324,668,000,000    8,324,668,000,000  8,324,668,000,000 7,869,182,000,000  7,869,182,000,000 7,869,182,000,000  7,869,182,000,000 7,539,826,000,000  7,539,826,000,000 7,539,826,000,000  7,539,826,000,000 8,008,084,000,000  8,008,084,000,000 8,008,084,000,000  8,008,084,000,000 7,962,202,000,000  7,912,172,000,000  8,475,789,000,000 8,889,771,000,000     9,434,636,000,000 9,534,900,000,000   9,852,543,000,000   11,375,935,000,000 10,652,865,000,000   11,183,570,000,000 11,110,052,000,000 11,163,259,000,000 10,966,811,000,000   10,803,737,000,000 10,817,389,000,000  9,614,445,000,000 9,344,346,000,000    4,787,240,000,000   4,637,823,000,000 4,580,375,000,000 4,532,632,000,000 
        total liabilities
      391,385,368,000,000 391,385,368,000,000 391,385,368,000,000 391,385,368,000,000 13,604,204,000,000 382,956,169,000,000 382,956,169,000,000  382,956,169,000,000 379,366,449,000,000 382,956,169,000,000 382,956,169,000,000 15,698,364,000,000 368,526,620,000,000 368,526,620,000,000 365,269,566,000,000 368,526,620,000,000 368,526,620,000,000 14,315,050,000,000 355,743,665,000,000 355,743,665,000,000 351,353,496,000,000 355,743,665,000,000 355,743,665,000,000 355,743,665,000,000 341,757,258,000,000 341,757,258,000,000 337,580,071,000,000 341,757,258,000,000 341,757,258,000,000 341,757,258,000,000 319,715,640,000,000 319,715,640,000,000  319,715,640,000,000 319,715,640,000,000 319,715,640,000,000 293,877,225,000,000  293,877,225,000,000 289,244,151,000,000 293,877,225,000,000 293,877,225,000,000 293,877,225,000,000 289,642,377,000,000 284,174,611,000,000 289,642,377,000,000  289,642,377,000,000 284,924,497,000,000 289,642,377,000,000 289,642,377,000,000 284,924,497,000,000 286,639,039,000,000 284,920,607,000,000  286,639,039,000,000 284,920,607,000,000 286,639,039,000,000 282,420,311,000,000 286,639,039,000,000 282,420,311,000,000 280,916,129,000,000  280,916,129,000,000 274,208,021,000,000 280,916,129,000,000 277,722,029,000,000 280,916,129,000,000 277,722,029,000,000 268,862,234,000,000 265,604,985,000,000 2,288,311,000,000 268,947,676,000,000 268,862,234,000,000 265,604,985,000,000 268,862,234,000,000 265,604,985,000,000 243,019,051,000,000 246,503,844,000,000 2,309,060,000,000 246,503,844,000,000 243,019,051,000,000 240,909,633,000,000 243,019,051,000,000 220,979,045,000,000 219,617,296,000,000 220,979,045,000,000 220,979,045,000,000 219,617,296,000,000 220,979,045,000,000 207,185,831,000,000 206,344,067,000,000 207,185,831,000,000 207,185,831,000,000 206,344,067,000,000 207,185,831,000,000 195,412,655,000,000 194,187,331,000,000 195,412,655,000,000 195,412,655,000,000 194,190,251,000,000 195,412,655,000,000 191,370,148,000,000 190,981,557,000,000 195,048,904,000,000 190,981,557,000,000 193,578,771,000,000 192,807,479,000,000 2,522,973,000,000 187,032,297,000,000 2,456,512,000,000 187,264,522,000,000 189,911,159,000,000 190,163,264,000,000 187,264,522,000,000  189,698,813,000,000 1,055,530,000,000 182,241,671,000,000 184,751,712,000,000 183,393,470,000,000 182,241,671,000,000 177,269,041,000,000 185,073,439,000,000 179,319,967,000,000 182,054,019,000,000 176,757,322,000,000 175,769,599,000,000 176,551,294,000,000 181,264,987,000,000 175,076,268,000,000 176,551,294,000,000 170,494,598,000,000 152,274,314,000,000 176,551,294,000,000 81,098,453,000,000  108,074,473,000,000   111,457,937,000,000 108,739,818,000,000 104,614,779,000,000 
        net assets:
                                                                                                                                                      
        capital stock
      2,141,513,000,000 2,141,513,000,000 2,141,513,000,000 2,141,513,000,000  2,141,513,000,000 2,141,513,000,000  2,141,513,000,000  2,141,513,000,000 2,141,513,000,000  2,141,513,000,000 2,141,513,000,000  2,141,513,000,000 2,141,513,000,000  2,141,513,000,000 2,141,513,000,000  2,141,513,000,000 2,141,513,000,000 2,141,513,000,000 2,141,513,000,000 2,141,513,000,000  2,141,513,000,000 2,141,513,000,000 2,141,513,000,000 2,141,513,000,000 2,141,513,000,000  2,141,513,000,000 2,141,513,000,000 2,141,513,000,000 2,141,513,000,000  2,141,513,000,000  2,141,513,000,000 2,141,513,000,000 2,141,513,000,000 2,141,513,000,000 2,090,270,000,000 2,141,513,000,000  2,141,513,000,000 2,090,270,000,000 2,141,513,000,000 2,141,513,000,000 2,090,270,000,000 2,141,513,000,000 2,090,270,000,000  2,141,513,000,000 2,090,270,000,000 2,141,513,000,000 2,090,270,000,000 2,141,513,000,000 2,090,270,000,000 2,141,513,000,000  2,141,513,000,000 2,090,270,000,000 2,141,513,000,000 2,090,270,000,000 2,141,513,000,000 2,090,270,000,000 2,141,513,000,000  2,141,513,000,000 2,090,270,000,000 2,141,513,000,000 2,090,270,000,000 2,141,513,000,000 2,090,270,000,000  2,090,206,000,000 2,140,488,000,000 2,090,206,000,000 2,140,488,000,000  2,140,488,000,000 2,139,378,000,000  2,139,378,000,000 2,139,378,000,000  2,139,378,000,000 2,138,487,000,000  2,138,487,000,000 2,138,487,000,000  2,138,487,000,000 2,137,476,000,000  2,137,476,000,000 2,137,476,000,000  2,137,476,000,000 2,137,476,000,000  2,137,439,000,000  2,136,835,000,000 2,136,582,000,000   1,620,896,000,000  1,620,896,000,000 1,620,896,000,000   1,607,862,000,000 1,383,052,000,000  1,383,052,000,000 1,383,052,000,000   1,383,052,000,000 1,383,052,000,000 1,383,052,000,000 1,383,052,000,000   1,383,052,000,000 1,383,052,000,000  1,383,052,000,000 996,973,000,000    1,383,052,000,000   1,258,052,000,000 1,258,052,000,000 1,258,052,000,000 
        capital surplus
           83,623,000,000 83,623,000,000  83,623,000,000 4,635,892,000,000 83,623,000,000 83,623,000,000  349,661,000,000 349,661,000,000 4,902,155,000,000 349,661,000,000 349,661,000,000  770,277,000,000 770,277,000,000 5,327,772,000,000 770,277,000,000 770,277,000,000 770,277,000,000 977,287,000,000 977,287,000,000 5,533,761,000,000 977,287,000,000 977,287,000,000 977,287,000,000 980,102,000,000 980,102,000,000  980,102,000,000 980,102,000,000 980,102,000,000 1,034,641,000,000  1,034,641,000,000 5,577,186,000,000 1,034,641,000,000 1,034,641,000,000 1,034,641,000,000 1,196,803,000,000 5,685,427,000,000 1,196,803,000,000  1,196,803,000,000 5,740,165,000,000 1,196,803,000,000 1,196,803,000,000 5,740,165,000,000 1,412,087,000,000 5,820,198,000,000  1,412,087,000,000 5,820,198,000,000 1,412,087,000,000 5,956,644,000,000 1,412,087,000,000 5,956,644,000,000 1,425,637,000,000  1,425,637,000,000 5,957,648,000,000 1,425,637,000,000 5,958,929,000,000 1,425,637,000,000 5,958,929,000,000 1,428,403,000,000 5,959,626,000,000  5,955,148,000,000 1,428,403,000,000 5,959,626,000,000 1,428,403,000,000 5,959,626,000,000  5,973,866,000,000  5,973,866,000,000 2,174,384,000,000 6,363,413,000,000 2,174,384,000,000 2,172,930,000,000 6,348,133,000,000 2,172,930,000,000 2,172,930,000,000 6,348,133,000,000 2,172,930,000,000 2,175,304,000,000 6,378,619,000,000 2,175,304,000,000 2,175,304,000,000 6,378,619,000,000 2,175,304,000,000 2,174,287,000,000 6,395,705,000,000 2,174,287,000,000 2,174,287,000,000 6,395,705,000,000 2,174,287,000,000 2,174,287,000,000 6,619,525,000,000 2,174,244,000,000 6,619,525,000,000 2,173,641,000,000 2,423,322,000,000  6,095,820,000,000  6,095,820,000,000 1,897,941,000,000 1,898,031,000,000 6,095,820,000,000  1,885,765,000,000  5,791,300,000,000 1,865,621,000,000 1,865,696,000,000 5,791,300,000,000 5,783,798,000,000 1,865,723,000,000 1,865,918,000,000 1,916,268,000,000 1,916,300,000,000 5,834,529,000,000 5,566,894,000,000 1,916,306,000,000 1,916,314,000,000 5,566,894,000,000 1,917,944,000,000 2,767,590,000,000 5,566,894,000,000 2,541,296,000,000  832,969,000,000   829,937,000,000 931,154,000,000 931,151,000,000 
        retained earnings
      14,845,617,000,000 14,845,617,000,000 14,845,617,000,000 14,845,617,000,000  13,791,608,000,000 13,791,608,000,000  13,791,608,000,000  13,791,608,000,000 13,791,608,000,000  12,739,228,000,000 12,739,228,000,000  12,739,228,000,000 12,739,228,000,000  11,998,157,000,000 11,998,157,000,000  11,998,157,000,000 11,998,157,000,000 11,998,157,000,000 11,200,087,000,000 11,200,087,000,000  11,200,087,000,000 11,200,087,000,000 11,200,087,000,000 10,855,798,000,000 10,855,798,000,000  10,855,798,000,000 10,855,798,000,000 10,855,798,000,000 10,640,655,000,000  10,640,655,000,000  10,640,655,000,000 10,640,655,000,000 10,640,655,000,000 10,064,649,000,000  10,064,649,000,000  10,064,649,000,000  10,064,649,000,000 10,064,649,000,000  9,278,546,000,000   9,278,546,000,000  9,278,546,000,000  9,278,546,000,000  8,587,578,000,000  8,587,578,000,000  8,587,578,000,000  8,587,578,000,000  7,860,410,000,000    7,860,410,000,000  7,860,410,000,000      7,033,125,000,000  7,033,125,000,000 6,267,976,000,000  6,267,976,000,000 6,267,976,000,000  6,267,976,000,000 5,602,327,000,000  5,602,327,000,000 5,602,327,000,000  5,602,327,000,000 4,799,668,000,000  4,799,668,000,000 4,799,668,000,000  4,799,668,000,000 4,767,452,000,000  4,666,196,000,000  4,475,079,000,000 4,405,512,000,000     4,172,187,000,000 4,168,625,000,000   4,381,816,000,000   4,565,897,000,000 4,592,960,000,000   4,270,589,000,000 4,286,051,000,000 4,176,808,000,000 4,102,199,000,000   3,911,026,000,000 3,781,944,000,000  3,493,914,000,000 1,620,151,000,000    1,871,459,000,000   1,769,004,000,000 1,659,442,000,000 1,562,675,000,000 
        treasury stock
      -726,631,000,000 -726,631,000,000 -726,631,000,000 -726,631,000,000  -613,823,000,000 -613,823,000,000  -613,823,000,000 -614,111,000,000 -613,823,000,000 -613,823,000,000  -481,091,000,000 -481,091,000,000 -482,552,000,000 -481,091,000,000 -481,091,000,000  -451,288,000,000 -451,288,000,000 -452,224,000,000 -451,288,000,000 -451,288,000,000 -451,288,000,000 -502,794,000,000 -502,794,000,000 -503,072,000,000 -502,794,000,000 -502,794,000,000 -502,794,000,000 -505,518,000,000 -505,518,000,000  -505,518,000,000 -505,518,000,000 -505,518,000,000 -516,649,000,000  -516,649,000,000 -517,236,000,000 -516,649,000,000 -516,649,000,000 -516,649,000,000 -522,158,000,000 -528,271,000,000 -522,158,000,000  -522,158,000,000 -522,872,000,000 -522,158,000,000 -522,158,000,000 -522,872,000,000 -513,260,000,000 -513,999,000,000  -513,260,000,000 -513,999,000,000 -513,260,000,000 -513,988,000,000 -513,260,000,000 -513,988,000,000 -298,922,000,000  -298,922,000,000 -406,289,000,000 -298,922,000,000 -299,661,000,000 -298,922,000,000 -299,661,000,000 -101,661,000,000 -102,521,000,000 -100,147,000,000 -199,880,000,000 -101,661,000,000 -102,521,000,000 -101,661,000,000 -102,521,000,000  -2,494,000,000 -105,000,000 -2,494,000,000 -1,699,000,000 -2,510,000,000 -1,699,000,000 -1,929,000,000 -3,011,000,000 -1,929,000,000 -1,929,000,000 -3,011,000,000 -1,929,000,000 -6,544,000,000 -8,411,000,000 -6,544,000,000 -6,544,000,000 -8,411,000,000 -6,544,000,000 -6,458,000,000 -11,251,000,000 -6,458,000,000 -6,458,000,000 -11,251,000,000 -6,458,000,000 -6,442,000,000 -13,954,000,000 -6,439,000,000     -10,675,000,000     -10,675,000,000       -727,293,000,000      -1,001,535,000,000 -774,969,000,000      -774,969,000,000         
        total shareholders’ equity
      16,260,498,000,000 16,260,498,000,000 16,260,498,000,000 16,260,498,000,000 18,285,486,000,000 15,402,921,000,000 15,402,921,000,000  15,402,921,000,000  15,402,921,000,000 15,402,921,000,000 17,645,662,000,000 14,749,310,000,000 14,749,310,000,000  14,749,310,000,000 14,749,310,000,000 15,763,346,000,000 14,458,659,000,000 14,458,659,000,000  14,458,659,000,000 14,458,659,000,000 14,458,659,000,000 13,816,094,000,000 13,816,094,000,000  13,816,094,000,000 13,816,094,000,000 13,816,094,000,000 13,471,894,000,000 13,471,894,000,000  13,471,894,000,000 13,471,894,000,000 13,471,894,000,000 13,300,160,000,000  13,300,160,000,000  13,300,160,000,000 13,300,160,000,000 13,300,160,000,000 12,880,807,000,000    12,880,807,000,000  12,880,807,000,000 12,880,807,000,000  12,318,885,000,000   12,318,885,000,000  12,318,885,000,000  12,318,885,000,000  11,855,806,000,000  11,855,806,000,000  11,855,806,000,000  11,855,806,000,000  11,328,666,000,000  8,485,153,000,000  11,328,666,000,000  11,328,666,000,000    8,683,707,000,000  11,346,299,000,000  11,346,299,000,000 10,578,356,000,000  10,578,356,000,000 10,578,356,000,000  10,578,356,000,000 9,909,575,000,000  9,909,575,000,000 9,909,575,000,000  9,909,575,000,000 9,104,972,000,000  9,104,972,000,000 9,104,972,000,000  9,104,972,000,000 9,072,773,000,000  8,971,439,000,000  8,779,120,000,000 8,958,783,000,000 8,866,918,000,000  7,631,419,000,000 6,234,895,000,000 7,684,375,000,000 7,680,685,000,000 6,234,895,000,000  7,868,220,000,000 6,991,409,000,000 8,490,115,000,000 7,088,437,000,000 7,115,707,000,000 8,490,115,000,000 10,759,209,000,000 6,793,604,000,000 6,958,601,000,000 6,474,190,000,000 6,400,081,000,000 10,433,312,000,000 9,668,153,000,000 6,209,304,000,000 6,080,862,000,000 9,668,153,000,000   9,668,153,000,000   4,760,633,000,000   4,401,133,000,000 4,306,432,000,000 4,288,758,000,000 
        net unrealized gains on available-for-sale securities
      1,327,127,000,000 1,327,127,000,000 1,327,127,000,000 1,327,127,000,000  1,534,094,000,000 1,534,094,000,000  1,534,094,000,000  1,534,094,000,000 1,534,094,000,000  800,955,000,000 800,955,000,000  800,955,000,000 800,955,000,000  1,615,060,000,000 1,615,060,000,000  1,615,060,000,000 1,615,060,000,000 1,615,060,000,000 2,583,417,000,000 2,583,417,000,000  2,583,417,000,000 2,583,417,000,000 2,583,417,000,000 2,066,363,000,000 2,066,363,000,000  2,066,363,000,000 2,066,363,000,000  2,249,231,000,000  2,249,231,000,000  2,249,231,000,000 2,249,231,000,000 2,249,231,000,000 2,388,234,000,000  2,388,234,000,000  2,388,234,000,000  2,388,234,000,000 2,388,234,000,000  2,184,597,000,000   2,184,597,000,000  2,184,597,000,000  2,184,597,000,000  2,486,627,000,000  2,486,627,000,000  2,486,627,000,000                                                                              
        net deferred gains on hedging instruments
      -894,227,000,000 -894,227,000,000 -894,227,000,000 -894,227,000,000  -687,476,000,000 -687,476,000,000  -687,476,000,000  -687,476,000,000 -687,476,000,000  -387,079,000,000 -387,079,000,000  -387,079,000,000 -387,079,000,000  -81,145,000,000 -81,145,000,000  -81,145,000,000 -81,145,000,000 -81,145,000,000 131,566,000,000 131,566,000,000  131,566,000,000 131,566,000,000 131,566,000,000 189,342,000,000 189,342,000,000  189,342,000,000 189,342,000,000 189,342,000,000 122,516,000,000  122,516,000,000  122,516,000,000 122,516,000,000 122,516,000,000 59,360,000,000  59,360,000,000  59,360,000,000  59,360,000,000 59,360,000,000  125,684,000,000   125,684,000,000  125,684,000,000  125,684,000,000  337,297,000,000  337,297,000,000  337,297,000,000  337,297,000,000  83,194,000,000  -135,474,000,000  83,194,000,000  83,194,000,000    -69,224,000,000  8,295,000,000  8,295,000,000 45,146,000,000  45,146,000,000 45,146,000,000  45,146,000,000 23,904,000,000  23,904,000,000 23,904,000,000  23,904,000,000 38,786,000,000  38,786,000,000 38,786,000,000  38,786,000,000 56,650,000,000  77,037,000,000  81,445,000,000 92,402,000,000     110,419,000,000 111,001,000,000   98,080,000,000    79,043,000,000                       
        land revaluation excess
      122,400,000,000 122,400,000,000 122,400,000,000 122,400,000,000  133,967,000,000 133,967,000,000  133,967,000,000  133,967,000,000 133,967,000,000  135,526,000,000 135,526,000,000  135,526,000,000 135,526,000,000  140,628,000,000 140,628,000,000  140,628,000,000 140,628,000,000 140,628,000,000 149,183,000,000 149,183,000,000  149,183,000,000 149,183,000,000 149,183,000,000 158,633,000,000 158,633,000,000  158,633,000,000 158,633,000,000 158,633,000,000 167,681,000,000  167,681,000,000  167,681,000,000 167,681,000,000 167,681,000,000 170,239,000,000  170,239,000,000  170,239,000,000  170,239,000,000 170,239,000,000  173,723,000,000   173,723,000,000  173,723,000,000  173,723,000,000  176,364,000,000  176,364,000,000  176,364,000,000  176,364,000,000  172,350,000,000    172,350,000,000  172,350,000,000      157,776,000,000  157,776,000,000 159,952,000,000  159,952,000,000 159,952,000,000  159,952,000,000 161,361,000,000  161,361,000,000 161,361,000,000  161,361,000,000 141,198,000,000  141,198,000,000 141,198,000,000  141,198,000,000 142,161,000,000  142,161,000,000  142,850,000,000 142,848,000,000     145,161,000,000 142,502,000,000   144,032,000,000   143,222,000,000 143,292,000,000          149,193,000,000   245,686,000,000    149,508,000,000   150,862,000,000 151,260,000,000 158,007,000,000 
        foreign currency translation adjustments
      3,198,279,000,000 3,198,279,000,000 3,198,279,000,000 3,198,279,000,000  2,762,818,000,000 2,762,818,000,000  2,762,818,000,000  2,762,818,000,000 2,762,818,000,000  1,792,840,000,000 1,792,840,000,000  1,792,840,000,000 1,792,840,000,000  734,588,000,000 734,588,000,000  734,588,000,000 734,588,000,000 734,588,000,000 9,953,000,000 9,953,000,000  9,953,000,000 9,953,000,000 9,953,000,000 300,838,000,000 300,838,000,000  300,838,000,000 300,838,000,000 300,838,000,000 339,713,000,000  339,713,000,000  339,713,000,000 339,713,000,000 339,713,000,000 499,557,000,000  499,557,000,000  499,557,000,000  499,557,000,000 499,557,000,000  558,339,000,000   558,339,000,000  558,339,000,000  558,339,000,000  791,401,000,000  791,401,000,000  791,401,000,000  791,401,000,000  951,547,000,000    951,547,000,000  951,547,000,000      407,229,000,000  407,229,000,000 -195,421,000,000  -195,421,000,000 -195,421,000,000  -195,421,000,000 -494,155,000,000  -494,155,000,000 -494,155,000,000  -494,155,000,000 -392,083,000,000  -392,083,000,000 -392,083,000,000  -392,083,000,000 -353,201,000,000  -308,345,000,000                    9,804,000,000                   
        remeasurements of defined benefit plans
      554,502,000,000 554,502,000,000 554,502,000,000 554,502,000,000  507,085,000,000 507,085,000,000  507,085,000,000  507,085,000,000 507,085,000,000  140,485,000,000 140,485,000,000  140,485,000,000 140,485,000,000  193,865,000,000 193,865,000,000  193,865,000,000 193,865,000,000 193,865,000,000 163,189,000,000 163,189,000,000  163,189,000,000 163,189,000,000 163,189,000,000 -159,766,000,000 -159,766,000,000  -159,766,000,000 -159,766,000,000 -159,766,000,000 -4,729,000,000  -4,729,000,000  -4,729,000,000 -4,729,000,000 -4,729,000,000 62,182,000,000  62,182,000,000  62,182,000,000  62,182,000,000 62,182,000,000  -65,098,000,000   -65,098,000,000  -65,098,000,000  -65,098,000,000  -189,526,000,000  -189,526,000,000  -189,526,000,000  -189,526,000,000  -52,909,000,000    -52,909,000,000  -52,909,000,000      -81,937,000,000  -81,937,000,000                                                            
        debt value adjustments of foreign subsidiaries and affiliates
      -51,663,000,000 -51,663,000,000 -51,663,000,000 -51,663,000,000  -65,435,000,000 -65,435,000,000  -65,435,000,000  -65,435,000,000 -65,435,000,000  -747,000,000 -747,000,000  -747,000,000 -747,000,000  -37,883,000,000 -37,883,000,000  -37,883,000,000 -37,883,000,000 -37,883,000,000 -50,832,000,000 -50,832,000,000  -50,832,000,000 -50,832,000,000 -50,832,000,000 -36,470,000,000 -36,470,000,000  -36,470,000,000 -36,470,000,000 -36,470,000,000 4,702,000,000  4,702,000,000  4,702,000,000 4,702,000,000 4,702,000,000 -35,743,000,000  -35,743,000,000  -35,743,000,000  -35,743,000,000 -35,743,000,000  -15,863,000,000   -15,863,000,000  -15,863,000,000  -15,863,000,000                                                                                    
        net unrealized gains on loans of foreign subsidiaries and affiliates
      3,457,000,000 3,457,000,000 3,457,000,000 3,457,000,000                                                                                                                                             
        total accumulated other comprehensive income
      4,259,875,000,000 4,259,875,000,000 4,259,875,000,000 4,259,875,000,000  4,185,052,000,000 4,185,052,000,000  4,185,052,000,000  4,185,052,000,000 4,185,052,000,000  2,481,980,000,000 2,481,980,000,000  2,481,980,000,000 2,481,980,000,000  2,565,114,000,000 2,565,114,000,000  2,565,114,000,000 2,565,114,000,000 2,565,114,000,000 2,986,478,000,000 2,986,478,000,000  2,986,478,000,000 2,986,478,000,000 2,986,478,000,000 2,518,940,000,000 2,518,940,000,000  2,518,940,000,000 2,518,940,000,000 2,518,940,000,000 2,879,115,000,000  2,879,115,000,000  2,879,115,000,000 2,879,115,000,000 2,879,115,000,000 3,143,832,000,000  3,143,832,000,000  3,143,832,000,000  3,143,832,000,000 3,143,832,000,000  2,961,382,000,000   2,961,382,000,000  2,961,382,000,000  2,961,382,000,000  3,602,163,000,000  3,602,163,000,000  3,602,163,000,000  3,602,163,000,000  3,989,274,000,000    3,989,274,000,000  3,989,274,000,000      1,709,760,000,000  1,709,760,000,000 1,158,261,000,000  1,158,261,000,000 1,158,261,000,000  1,158,261,000,000 83,454,000,000  83,454,000,000 83,454,000,000  83,454,000,000 -156,024,000,000  -156,024,000,000 -156,024,000,000  -156,024,000,000                                          
        subscription rights to shares
      11,000,000 11,000,000 11,000,000 11,000,000                            59,000,000 59,000,000  59,000,000 59,000,000 59,000,000 217,000,000 217 217,000,000  217,000,000 217,000,000 217,000,000 274,000,000  274,000,000  274,000,000  274,000,000 274,000,000  407,000,000   407,000,000  407,000,000  407,000,000  8,260,000,000  8,260,000,000  8,260,000,000  8,260,000,000  8,271,000,000  8,271,000,000  8,271,000,000  8,271,000,000    8,732,000,000  8,732,000,000  8,732,000,000 8,884,000,000  8,884,000,000 8,884,000,000  8,884,000,000 7,933,000,000  7,933,000,000 7,933,000,000  7,933,000,000 7,192,000,000  7,192,000,000 7,192,000,000  7,192,000,000 6,654,000,000  6,168,000,000  6,108,000,000 6,451,000,000   5,429,000,000  4,981,000,000 4,650,000,000   4,242,000,000 3,562,000,000  2,783,000,000 2,509,000,000   2,023,000,000 87,000,000                   
        non-controlling interests
      1,207,746,000,000 1,207,746,000,000 1,207,746,000,000 1,207,746,000,000  1,159,003,000,000 1,159,003,000,000 1,159,003 1,159,003,000,000  1,159,003,000,000 1,159,003,000,000  1,041,565,000,000 1,041,565,000,000  1,041,565,000,000 1,041,565,000,000  964,471,000,000 964,471,000,000  964,471,000,000 964,471,000,000 964,471,000,000 913,684,000,000 913,684,000,000  913,684,000,000 913,684,000,000 913,684,000,000 864,844,000,000 864,844,000,000  864,844,000,000 864,844,000,000 864,844,000,000 1,082,184,000,000 1,082,184 1,082,184,000,000  1,082,184,000,000 1,082,184,000,000 1,082,184,000,000 1,270,123,000,000  1,270,123,000,000  1,270,123,000,000  1,270,123,000,000 1,270,123,000,000  1,377,719,000,000   1,377,719,000,000  1,377,719,000,000  1,377,719,000,000  1,920,538,000,000  1,920,538,000,000  1,920,538,000,000  1,920,538,000,000  1,961,322,000,000    1,961,322,000,000                                                                      
        total net assets
      21,728,132,000,000 21,728,132,000,000 21,728,132,000,000 21,728,132,000,000  20,746,978,000,000 20,746,978,000,000  20,746,978,000,000  20,746,978,000,000 20,746,978,000,000  18,272,857,000,000 18,272,857,000,000  18,272,857,000,000 18,272,857,000,000  17,988,245,000,000 17,988,245,000,000  17,988,245,000,000 17,988,245,000,000 17,988,245,000,000 17,716,257,000,000 17,716,257,000,000  17,716,257,000,000 17,716,257,000,000 17,716,257,000,000 16,855,738,000,000 16,855,738,000,000  16,855,738,000,000 16,855,738,000,000 16,855,738,000,000 17,261,677,000,000  17,261,677,000,000  17,261,677,000,000 17,261,677,000,000 17,261,677,000,000 17,295,037,000,000  17,295,037,000,000  17,295,037,000,000  17,295,037,000,000 17,295,037,000,000  16,658,394,000,000   16,658,394,000,000  16,658,394,000,000  16,658,394,000,000  17,386,769,000,000  17,386,769,000,000  17,386,769,000,000  17,386,769,000,000  17,287,533,000,000  8,357,950,000,000  17,287,533,000,000  17,287,533,000,000    8,623,215,000,000  15,112,895,000,000  15,112,895,000,000 13,519,655,000,000  13,519,655,000,000 13,519,655,000,000  13,519,655,000,000 11,675,784,000,000  11,675,784,000,000 11,675,784,000,000  11,675,784,000,000 10,814,425,000,000  10,814,425,000,000 10,814,425,000,000  10,814,425,000,000 11,272,178,000,000  11,331,965,000,000  11,165,641,000,000 11,299,459,000,000   7,650,642,000,000  9,383,353,000,000 8,570,641,000,000   9,192,788,000,000 6,994,971,000,000  9,320,835,000,000 9,599,708,000,000   10,200,599,000,000 10,574,436,000,000 10,625,271,000,000 10,523,700,000,000   10,090,525,000,000 9,659,084,000,000  8,997,599,000,000           
        total liabilities and net assets
      413,113,501,000,000 413,113,501,000,000 413,113,501,000,000 413,113,501,000,000  403,703,147,000,000 403,703,147,000,000  403,703,147,000,000  403,703,147,000,000 403,703,147,000,000  386,799,477,000,000 386,799,477,000,000  386,799,477,000,000 386,799,477,000,000  373,731,910,000,000 373,731,910,000,000  373,731,910,000,000 373,731,910,000,000 373,731,910,000,000 359,473,515,000,000 359,473,515,000,000  359,473,515,000,000 359,473,515,000,000 359,473,515,000,000 336,571,379,000,000 336,571,379,000,000  336,571,379,000,000 336,571,379,000,000 336,571,379,000,000 311,138,903,000,000  311,138,903,000,000  311,138,903,000,000 311,138,903,000,000 311,138,903,000,000 306,937,415,000,000  306,937,415,000,000  306,937,415,000,000  306,937,415,000,000 306,937,415,000,000  303,297,433,000,000   303,297,433,000,000  303,297,433,000,000  303,297,433,000,000  298,302,898,000,000  298,302,898,000,000  298,302,898,000,000  298,302,898,000,000  286,149,768,000,000  10,646,262,000,000  286,149,768,000,000  286,149,768,000,000    10,932,276,000,000  258,131,946,000,000  258,131,946,000,000 234,498,701,000,000  234,498,701,000,000 234,498,701,000,000  234,498,701,000,000 218,861,616,000,000  218,861,616,000,000 218,861,616,000,000  218,861,616,000,000 206,227,081,000,000  206,227,081,000,000 206,227,081,000,000  206,227,081,000,000 202,642,327,000,000  206,380,869,000,000  204,744,412,000,000 204,106,939,000,000   10,107,154,000,000  199,294,513,000,000 198,733,906,000,000   198,891,601,000,000 8,050,502,000,000  194,072,547,000,000 192,993,179,000,000   195,274,038,000,000 189,894,404,000,000 192,679,291,000,000 187,281,022,000,000   191,355,513,000,000 184,735,352,000,000  179,492,197,000,000           
        buildings
         285,624,000,000        281,807,000,000      286,879,000,000      304,935,000,000 304,935,000,000     321,965,000,000 321,965,000,000     341,984,000,000 341,984,000,000      361,580,000,000 361,580,000,000       302,981,000,000 302,981,000,000         341,131,000,000        349,761,000,000        333,430,000,000        328,200,000,000      312,838,000,000      310,003,000,000      319,485,000,000      321,088,000,000      339,096,000,000       364,819,000,000                       
        land
         600,852,000,000        625,557,000,000      629,782,000,000      646,197,000,000 646,197,000,000     664,065,000,000 664,065,000,000     680,425,000,000 680,425,000,000      674,285,000,000 674,285,000,000       697,105,000,000 697,105,000,000         720,132,000,000        730,130,000,000        744,416,000,000        744,755,000,000      723,563,000,000      729,229,000,000      740,007,000,000      747,095,000,000      763,647,000,000       775,670,000,000                       
        lease assets
         7,581,000,000        15,517,000,000      12,390,000,000      11,422,000,000 11,422,000,000     14,823,000,000 14,823,000,000     19,811,000,000 19,811,000,000      15,078,000,000 15,078,000,000       12,357,000,000 12,357,000,000         10,164,000,000        10,856,000,000        11,181,000,000        14,096,000,000      15,148,000,000      14,324,000,000      7,699,000,000      5,167,000,000      2,631,000,000                              
        construction in progress
         33,974,000,000        29,264,000,000      34,649,000,000      33,273,000,000 33,273,000,000     45,881,000,000 45,881,000,000     34,733,000,000 34,733,000,000      33,618,000,000 33,618,000,000       119,195,000,000 119,195,000,000         46,373,000,000        38,494,000,000        35,774,000,000        27,605,000,000      17,971,000,000      19,327,000,000      14,917,000,000      16,816,000,000      16,111,000,000       6,533,000,000                       
        other tangible fixed assets
         312,072,000,000        276,860,000,000      256,469,000,000      240,183,000,000 240,183,000,000     249,667,000,000 249,667,000,000     242,834,000,000 242,834,000,000      251,409,000,000 251,409,000,000       238,337,000,000 238,337,000,000         241,104,000,000        232,801,000,000        227,924,000,000        425,372,000,000      335,166,000,000      271,024,000,000      251,187,000,000      267,280,000,000      259,413,000,000       447,192,000,000                       
        software
         669,248,000,000        611,287,000,000      555,235,000,000      507,629,000,000 507,629,000,000     571,905,000,000 571,905,000,000     552,291,000,000 552,291,000,000      513,231,000,000 513,231,000,000       532,285,000,000 532,285,000,000         567,753,000,000        570,884,000,000        552,345,000,000        472,777,000,000      443,099,000,000      443,091,000,000      459,268,000,000      478,147,000,000      485,611,000,000       372,536,000,000                       
        goodwill
         530,386,000,000      493,758,000,000  405,629,000,000    296,772,000,000  252,009,000,000    303,611,000,000  271,353,000,000 271,353,000,000   370,852,000,000  273,092,000,000 273,092,000,000     283,672,000,000 283,672,000,000    433,891,000,000  237,310,000,000 237,310,000,000  431,155,000,000    441,334,000,000 258,417,000,000 258,417,000,000 441,334,000,000  435,553,000,000   435,553,000,000  450,143,000,000 267,389,000,000 450,143,000,000    392,101,000,000  454,375,000,000 278,628,000,000 454,375,000,000  807,610,000,000  810,565,000,000  807,610,000,000 309,119,000,000 807,610,000,000  709,260,000,000  709,260,000,000  728,515,000,000 552,655,000,000  417,956,000,000   417,956,000,000 469,331,000,000  354,283,000,000   354,283,000,000 418,401,000,000  363,392,000,000   363,392,000,000 450,965,000,000  381,498,000,000  381,498,000,000  512,515,000,000  379,426,000,000  379,426,000,000  570,664,000,000 379,426,000,000    1,074,137,000,000  336,240,000,000 1,074,137,000,000 1,946,332,000,000     1,844,809,000,000 1,843,948,000,000   1,843,948,000,000  7,117,000,000 1,843,948,000,000 2,395,907,000,000        
        other intangible fixed assets
         675,903,000,000        654,429,000,000      550,862,000,000      565,241,000,000 565,241,000,000     591,097,000,000 591,097,000,000     662,421,000,000 662,421,000,000      385,790,000,000 385,790,000,000       455,622,000,000 455,622,000,000         422,287,000,000        404,566,000,000        435,082,000,000        456,995,000,000      178,231,000,000      161,460,000,000      158,035,000,000      160,728,000,000      153,326,000,000       266,265,000,000                       
        cash and interest-earning deposits with banking subsidiaries
                                                                                                                                                      
        investments in subsidiaries and affiliated companies
          19,152,808,000,000        18,819,492,000,000      16,834,133,000,000                                                                                           10,240,801,000,000                                   
        banking subsidiaries
          12,206,015,000,000        12,822,717,000,000      11,893,171,000,000                                                                                                                              
        non-banking subsidiaries and affiliated companies
          6,946,793,000,000        5,996,775,000,000      4,940,962,000,000                                                                                                                              
        loans to subsidiaries
          12,205,955,000,000        14,198,572,000,000      12,841,655,000,000                                                                                                                              
        non-banking subsidiaries
          465,774,000,000        546,910,000,000      616,178,000,000                                                                                                                              
        liabilities and shareholders’ equity:
                                                                                                                                                      
        short-term borrowings from banking subsidiaries
                                                                                                                                                      
        long-term debt from non-banking subsidiaries and affiliated companies
          16,113,000,000        21,902,000,000      15,591,000,000                                                                                                                              
        long-term debt
          12,224,151,000,000     40,012,819,000,000   14,163,977,000,000   39,071,755,000,000   12,792,670,000,000   34,696,599,000,000      35,157,651,000,000      28,065,000,000,000       27,990,543,000,000     27,881,157,000,000  28,590,388,000,000  27,069,556,000,000   27,069,556,000,000  30,133,040,000,000 28,208,447,000,000  30,133,040,000,000  27,743,443,000,000  27,743,443,000,000  22,333,643,000,000  24,323,698,000,000  21,972,077,000,000  21,972,077,000,000  19,968,735,000,000  20,751,691,000,000  19,968,735,000,000  19,968,735,000,000  17,945,900,000,000  17,945,900,000,000  14,498,678,000,000   12,182,358,000,000   12,182,358,000,000   12,593,062,000,000   12,593,062,000,000   13,356,728,000,000   13,356,728,000,000   14,162,424,000,000  14,162,424,000,000   230,045,000,000 13,273,288,000,000  13,273,288,000,000   13,273,288,000,000    13,675,250,000,000   13,675,250,000,000 14,216,861,000,000     14,389,930,000,000 13,889,525,000,000   13,889,525,000,000   13,889,525,000,000 5,874,970,000,000    5,060,306,000,000    
        total liabilities and shareholders’ equity
                                                                                                                      193,499,417,000,000    190,731,786,000,000   190,731,786,000,000    188,028,250,000,000         186,219,447,000,000            
        total equity per common share
                                                                                                                                                      
        total equity
               18,517,087,000,000      16,466,167,000,000      16,296,522,000,000      16,244,554,000,000      15,784,500,000,000       15,984,748,000,000     15,949,639,000,000  16,329,233,000,000  15,645,815,000,000   15,645,815,000,000  15,480,373,000,000 15,280,343,000,000  15,480,373,000,000  14,764,708,000,000  14,764,708,000,000  15,136,043,000,000  14,704,969,000,000  14,848,267,000,000  14,848,267,000,000  15,281,341,000,000  15,031,139,000,000  15,281,341,000,000  15,281,341,000,000  13,510,511,000,000  13,510,511,000,000  12,751,444,000,000   10,941,980,000,000   10,941,980,000,000   8,858,447,000,000   8,858,447,000,000   8,662,912,000,000   8,671,037,000,000   9,102,840,000,000  9,102,840,000,000    6,467,120,000,000                                  
        deductions from total equity:
                                                                                                                                                      
        total deductions
             1,159,004                               1,082,401                                                                                                          
        total equity attributable to common shares
                                                                                                                                                      
        number of common shares at period end used for the calculation of total equity per common share
             11,726,188                               12,922,453                                                                                                          
        ii. basic earnings per common share and diluted earnings per common share and the bases for the calculation for the periods indicated were as follows:
                                                                                                                                                      
        basic earnings per common share
                                                                                                                                                      
        diluted earnings per common share
             76.89                               49.48                                                                                                          
        profits attributable to owners of parent
                                                                                                                                                      
        profits not attributable to common shareholders
                                                                                                                                                      
        profits attributable to common shareholders of parent
                                                                                                                                                      
        adjustments to profits attributable to owners of parent
                                                                                                                                                      
        adjustments related to dilutive shares of consolidated subsidiaries and others
             -2,682                               -2,177                                                                                                          
        assets
                                                                                                                                                      
        interest-earning deposits in other banks
               105,701,977,000,000      53,989,863,000,000      58,848,056,000,000      53,346,721,000,000             40,646,920,000,000     39,157,102,000,000    43,209,662,000,000   43,209,662,000,000  39,128,016,000,000   39,128,016,000,000  38,327,029,000,000  38,327,029,000,000    37,147,652,000,000  41,017,579,000,000  41,017,579,000,000  37,364,698,000,000  44,237,744,000,000  37,364,698,000,000  37,364,698,000,000  28,534,929,000,000  28,534,929,000,000  20,500,676,000,000   8,111,887,000,000   8,111,887,000,000   5,897,732,000,000   5,897,732,000,000   7,333,767,000,000   7,333,767,000,000   4,780,861,000,000  4,780,861,000,000    3,543,551,000,000  3,543,551,000,000   3,543,551,000,000    6,320,827,000,000   6,320,827,000,000 8,044,752,000,000     6,056,598,000,000 6,240,654,000,000   6,240,654,000,000   6,240,654,000,000 1,085,800,000,000        
        cash, due from banks and interest-earning deposits in other banks
               110,118,623,000,000      114,040,503,000,000      109,820,547,000,000      103,324,201,000,000             74,571,260,000,000     74,820,970,000,000                                                                                                   
        call loans, funds sold, and receivables under resale agreements
               20,562,358,000,000      15,861,426,000,000      13,819,157,000,000      15,035,838,000,000             12,084,735,000,000     12,143,047,000,000         7,457,475,000,000   7,457,475,000,000        5,254,355,000,000      7,933,424,000,000  7,317,410,000,000      6,918,062,000,000  6,918,062,000,000     6,278,108,000,000      4,933,296,000,000      5,320,958,000,000      4,051,942,000,000      2,937,000,000             7,251,511,000,000      3,406,278,000,000               
        trading account assets
               49,769,406,000,000      46,168,461,000,000      42,668,336,000,000      44,444,379,000,000      32,212,300,000,000       40,576,618,000,000     36,087,519,000,000  23,443,080,000,000  35,186,689,000,000   35,186,689,000,000  41,390,111,000,000 24,484,830,000,000  41,390,111,000,000  41,320,049,000,000  41,320,049,000,000  28,946,402,000,000  53,855,592,000,000  50,825,399,000,000  50,825,399,000,000  46,904,903,000,000  44,004,179,000,000  46,904,903,000,000  46,904,903,000,000  39,141,337,000,000  39,141,337,000,000  40,646,275,000,000   40,826,384,000,000   40,826,384,000,000   34,953,245,000,000   34,953,245,000,000   28,824,795,000,000   28,824,795,000,000   27,663,076,000,000  27,663,076,000,000    30,281,525,000,000  30,281,525,000,000   30,281,525,000,000    13,411,755,000,000   13,411,755,000,000 12,773,481,000,000     10,446,080,000,000 10,728,023,000,000   10,728,023,000,000   10,728,023,000,000     5,658,449,000,000    
        investment securities:
                                                                                                                                                      
        available-for-sale debt securities
               31,422,967,000,000      35,740,802,000,000      45,798,442,000,000      47,117,813,000,000             33,518,503,000,000     31,162,510,000,000                                                                                                   
        held-to-maturity debt securities
               24,843,962,000,000      21,520,081,000,000      4,595,109,000,000      3,903,763,000,000             4,441,901,000,000     4,187,966,000,000                                                                                                   
        equity securities
               6,132,369,000,000      5,001,048,000,000      5,422,200,000,000      6,222,920,000,000             6,977,600,000,000     7,605,948,000,000                                                                                                   
        total investment securities
               62,399,298,000,000      62,261,931,000,000      55,815,751,000,000      57,244,496,000,000             44,938,004,000,000     42,956,424,000,000    43,654,249,000,000   43,654,249,000,000  40,613,631,000,000   40,613,631,000,000  43,233,581,000,000  43,233,581,000,000    42,103,121,000,000  45,647,614,000,000  45,647,614,000,000  52,207,974,000,000  46,839,764,000,000  52,207,974,000,000  52,207,974,000,000  55,373,844,000,000  55,373,844,000,000  55,330,251,000,000   61,865,185,000,000   61,865,185,000,000   61,035,534,000,000   61,035,534,000,000   59,051,314,000,000   59,157,067,000,000   55,046,515,000,000  55,046,515,000,000    37,636,564,000,000  37,636,564,000,000   37,636,564,000,000    42,148,980,000,000   42,148,980,000,000 44,736,833,000,000     49,383,840,000,000 48,814,952,000,000   48,814,952,000,000   48,814,952,000,000 20,267,532,000,000        
        loans, net of unearned income, unamortized premiums and deferred loan fees
               127,910,303,000,000      119,955,460,000,000      113,149,393,000,000      115,718,863,000,000             116,883,941,000,000     117,663,232,000,000    117,035,895,000,000   117,035,895,000,000  118,235,423,000,000   118,235,423,000,000  118,214,972,000,000  118,214,972,000,000    113,341,052,000,000  122,790,958,000,000  122,790,958,000,000  118,265,202,000,000  120,665,437,000,000  118,265,202,000,000  118,265,202,000,000  111,194,207,000,000  111,194,207,000,000  110,276,411,000,000   98,590,229,000,000   98,590,229,000,000   92,298,243,000,000   92,298,243,000,000   87,501,975,000,000   87,501,975,000,000   92,185,910,000,000  92,185,910,000,000    100,310,341,000,000  100,310,341,000,000   100,310,341,000,000    99,002,079,000,000   99,002,079,000,000 96,656,703,000,000     95,322,844,000,000 95,506,835,000,000   95,506,835,000,000   95,506,835,000,000         
        net loans
               126,553,342,000,000      118,682,562,000,000      111,678,692,000,000      114,370,472,000,000             116,225,757,000,000     117,028,623,000,000    116,271,771,000,000   116,271,771,000,000  117,319,242,000,000   117,319,242,000,000  117,032,784,000,000  117,032,784,000,000    112,415,574,000,000  121,679,828,000,000  121,679,828,000,000  117,209,723,000,000  119,718,091,000,000  117,209,723,000,000  117,209,723,000,000  110,253,319,000,000  110,253,319,000,000  109,181,991,000,000   97,254,242,000,000   97,254,242,000,000   91,012,736,000,000   91,012,736,000,000   86,261,519,000,000   86,261,519,000,000   90,870,295,000,000  90,870,295,000,000    99,153,703,000,000  99,153,703,000,000   99,153,703,000,000    97,867,139,000,000   97,867,139,000,000 95,473,356,000,000     94,210,391,000,000 94,494,608,000,000   94,494,608,000,000   94,494,608,000,000 40,870,079,000,000        
        premises and equipment
               872,641,000,000      860,578,000,000      815,829,000,000      874,992,000,000             973,600,000,000     1,000,835,000,000    1,013,588,000,000   1,013,588,000,000  1,010,133,000,000   1,010,133,000,000  994,271,000,000  994,271,000,000    951,971,000,000  1,005,905,000,000  1,005,905,000,000  982,205,000,000  1,012,868,000,000  982,205,000,000  982,205,000,000  1,204,349,000,000  1,204,349,000,000  1,236,648,000,000   1,059,054,000,000   1,059,054,000,000   987,474,000,000   987,474,000,000   962,548,000,000   962,548,000,000   995,167,000,000  995,167,000,000    1,043,416,000,000  1,043,416,000,000   1,043,416,000,000    1,075,806,000,000   1,075,806,000,000 1,133,352,000,000     1,147,511,000,000 1,173,577,000,000   1,173,577,000,000  1,222,281,000,000 1,173,577,000,000 595,888,000,000  849,378,000,000   857,167,000,000 863,350,000,000 879,614,000,000 
        customers’ acceptance liability
               435,072,000,000      378,525,000,000      371,034,000,000      283,194,000,000             247,996,000,000     209,314,000,000    183,084,000,000   183,084,000,000  140,778,000,000   140,778,000,000  156,208,000,000  156,208,000,000    115,616,000,000  132,532,000,000  132,532,000,000  205,384,000,000  165,893,000,000  205,384,000,000  205,384,000,000  220,035,000,000  220,035,000,000  126,838,000,000   90,216,000,000   90,216,000,000   88,082,000,000   88,082,000,000   69,950,000,000   69,950,000,000   49,143,000,000  49,143,000,000    59,144,000,000  59,144,000,000   59,144,000,000    71,003,000,000   71,003,000,000 98,120,000,000     68,754,000,000 94,719,000,000   94,719,000,000   94,719,000,000         
        intangible assets—net
               1,297,760,000,000      1,174,223,000,000      1,148,601,000,000      1,184,994,000,000             927,196,000,000     1,021,853,000,000    1,011,119,000,000   1,011,119,000,000  999,755,000,000   999,755,000,000  1,020,359,000,000  1,020,359,000,000    965,007,000,000  1,015,150,000,000  1,015,150,000,000  1,160,164,000,000  1,151,000,000,000  1,160,164,000,000  1,160,164,000,000  1,122,826,000,000  1,122,826,000,000  1,133,354,000,000   866,153,000,000   866,153,000,000   896,483,000,000   896,483,000,000   991,521,000,000   991,521,000,000   1,116,117,000,000  1,116,117,000,000    1,191,941,000,000  1,191,941,000,000   1,191,941,000,000    1,338,924,000,000   1,338,924,000,000 1,356,131,000,000     1,265,080,000,000 1,504,495,000,000   1,504,495,000,000   1,504,495,000,000         
        assets of consolidated vies included in total assets above that can be used only to settle obligations of consolidated vies
                                                                                                                                                      
        investment securities
               2,320,543,000,000      2,076,737,000,000      1,824,892,000,000      1,727,292,000,000      48,909,600,000,000       1,828,194,000,000       42,433,178,000,000        40,315,433,000,000        44,140,883,000,000        1,077,274,000,000               701,873,000,000      530,079,000,000      493,085,000,000             886,142,000,000       93,700,000,000   40,851,677,000,000   43,618,045,000,000 42,990,263,000,000 49,309,407,000,000 48,207,623,000,000   48,981,969,000,000 47,766,403,000,000   42,246,750,000,000    33,483,434,000,000  31,763,337,000,000 35,018,376,000,000 33,690,393,000,000 30,091,322,000,000 
        loans
               17,514,131,000,000      16,598,585,000,000      15,651,462,000,000      15,247,928,000,000      119,679,400,000,000       15,545,328,000,000       117,910,137,000,000        117,324,455,000,000        117,685,872,000,000        7,115,889,000,000               6,814,877,000,000      7,101,464,000,000      7,156,823,000,000                                          50,394,822,000,000    
        all other assets
               1,463,380,000,000      998,096,000,000      195,795,000,000      161,075,000,000             294,212,000,000                               326,307,000,000               254,978,000,000      300,208,000,000      329,746,000,000                                              
        total assets of consolidated vies
                                                                                                                                                      
        liabilities and equity
                                                                                                                                                      
        deposits:
                                                                                                                                                      
        domestic offices:
                                                                                                                                                      
        non-interest-bearing
                                                   24,231,019,000,000    24,406,759,000,000   24,406,759,000,000  22,937,903,000,000   22,937,903,000,000  23,098,886,000,000  23,098,886,000,000    20,916,286,000,000  20,045,780,000,000  20,045,780,000,000    17,930,788,000,000  17,829,620,000,000  17,829,620,000,000  16,527,631,000,000  16,527,631,000,000  16,644,469,000,000      15,327,957,000,000      14,980,210,000,000      16,421,024,000,000     15,201,298,000,000      15,023,660,000,000   2,212,386,000,000    14,693,953,000,000   2,132,110,000,000 14,542,745,000,000     2,532,088,000,000    20,079,575,000,000   3,263,873,000,000 121,267,000,000        
        interest-bearing
               147,169,199,000,000      147,716,037,000,000      144,412,415,000,000      141,908,498,000,000             124,859,036,000,000     122,896,999,000,000    125,195,310,000,000   125,195,310,000,000  122,210,795,000,000   122,210,795,000,000  121,741,545,000,000  121,741,545,000,000    116,277,028,000,000  115,432,472,000,000  115,432,472,000,000  107,968,674,000,000  109,058,919,000,000  107,968,674,000,000  107,968,674,000,000  105,624,258,000,000  105,624,258,000,000  104,860,603,000,000   103,003,820,000,000   103,003,820,000,000   99,610,994,000,000   99,610,994,000,000   99,120,619,000,000   99,120,619,000,000   97,526,535,000,000  97,526,535,000,000    95,802,559,000,000  95,802,559,000,000   95,802,559,000,000    94,807,696,000,000   94,807,696,000,000 91,830,940,000,000     91,677,030,000,000 89,985,274,000,000   89,985,274,000,000   89,985,274,000,000 43,328,498,000,000        
        overseas offices, principally interest-bearing
               63,861,590,000,000      52,374,141,000,000      46,592,989,000,000      55,010,441,000,000             49,199,535,000,000     45,750,803,000,000         46,636,077,000,000   46,636,077,000,000        40,443,143,000,000      46,192,973,000,000  45,376,564,000,000      41,490,758,000,000  41,490,758,000,000     29,877,962,000,000      24,902,526,000,000      21,090,061,000,000      22,744,663,000,000      17,504,833,000,000             18,679,273,000,000      16,575,082,000,000               
        total deposits
               247,136,000,000,000      235,276,781,000,000      224,589,943,000,000      229,206,936,000,000             199,280,789,000,000     192,878,821,000,000    195,674,593,000,000   195,674,593,000,000  191,784,775,000,000   191,784,775,000,000  190,401,623,000,000  190,401,623,000,000    177,636,457,000,000  181,438,087,000,000  181,438,087,000,000  171,991,267,000,000  172,366,271,000,000  171,991,267,000,000  171,991,267,000,000  163,642,647,000,000  163,642,647,000,000  162,517,786,000,000   148,209,739,000,000   148,209,739,000,000   139,493,730,000,000   139,493,730,000,000   136,631,704,000,000   136,631,704,000,000   135,472,496,000,000  135,472,496,000,000    128,331,052,000,000  128,331,052,000,000   128,331,052,000,000    129,240,128,000,000   129,240,128,000,000 125,052,958,000,000     126,587,009,000,000 126,639,931,000,000   126,639,931,000,000   126,639,931,000,000 54,566,986,000,000        
        call money, funds purchased, and payables under repurchase agreements
               40,784,623,000,000      43,570,073,000,000      30,141,925,000,000      26,921,773,000,000             27,674,952,000,000     27,948,501,000,000         19,647,904,000,000   19,647,904,000,000        22,189,034,000,000      24,397,191,000,000  24,891,192,000,000      22,102,591,000,000  22,102,591,000,000     19,710,976,000,000      16,368,933,000,000      14,702,562,000,000      13,730,480,000,000      14,147,473,000,000             11,148,985,000,000      7,563,508,000,000               
        due to trust account and other short-term borrowings
               15,801,323,000,000      14,309,258,000,000      22,850,600,000,000      18,079,554,000,000             9,467,025,000,000     10,193,094,000,000         11,349,001,000,000   11,349,001,000,000        9,391,817,000,000      13,156,799,000,000  14,113,350,000,000      11,864,008,000,000  11,864,008,000,000     12,241,627,000,000      11,508,856,000,000      9,121,738,000,000      7,656,967,000,000      9,664,224,000,000             6,777,955,000,000      12,962,310,000,000               
        trading account liabilities
               16,579,522,000,000      14,178,275,000,000      11,019,046,000,000      12,017,553,000,000             13,009,492,000,000     11,825,979,000,000    12,222,331,000,000   12,222,331,000,000  16,418,784,000,000   16,418,784,000,000  18,790,133,000,000  18,790,133,000,000    25,105,049,000,000  21,025,012,000,000  21,025,012,000,000  17,029,385,000,000  16,307,086,000,000  17,029,385,000,000  17,029,385,000,000  14,191,216,000,000  14,191,216,000,000  11,981,978,000,000   14,969,482,000,000   14,969,482,000,000   11,967,182,000,000   11,967,182,000,000   9,908,974,000,000   9,908,974,000,000   8,688,826,000,000  8,688,826,000,000    9,492,561,000,000  9,492,561,000,000   9,492,561,000,000 2,927,411,000,000   2,927,411,000,000   2,927,411,000,000 2,450,021,000,000     2,625,761,000,000 3,022,151,000,000   3,022,151,000,000   3,022,151,000,000 4,239,610,000,000        
        bank acceptances outstanding
               435,072,000,000      378,525,000,000      371,034,000,000      283,194,000,000             247,996,000,000     209,314,000,000    183,084,000,000   183,084,000,000  140,778,000,000   140,778,000,000  156,208,000,000  156,208,000,000    115,616,000,000  132,532,000,000  132,532,000,000  205,384,000,000  165,893,000,000  205,384,000,000  205,384,000,000  220,035,000,000  220,035,000,000  126,838,000,000   90,216,000,000   90,216,000,000   88,082,000,000   88,082,000,000   69,950,000,000   69,950,000,000   49,143,000,000  49,143,000,000    59,144,000,000  59,144,000,000   59,144,000,000    71,003,000,000   71,003,000,000 98,120,000,000     68,754,000,000 94,719,000,000   94,719,000,000   94,719,000,000 41,802,000,000        
        commitments and contingent liabilities
                                                                                                                                                      
        mitsubishi ufj financial group shareholders’ equity:
                                                                                                                                                      
        capital stock—common stock authorized, 33,000,000,000 shares; common stock issued, 12,337,710,920 shares and 12,337,710,920 shares at march 31, 2024 and september 30, 2024, with no stated value
               2,090,270,000,000                                                                                                                                       
        retained earnings:
                                                                                                                                                      
        appropriated for legal reserve
               239,571,000,000      239,571,000,000      239,571,000,000      239,571,000,000             239,571,000,000     239,571,000,000    239,571,000,000   239,571,000,000  239,571,000,000   239,571,000,000  239,571,000,000  239,571,000,000    239,571,000,000  239,571,000,000  239,571,000,000  239,571,000,000  239,571,000,000  239,571,000,000  239,571,000,000  239,571,000,000  239,571,000,000  239,571,000,000   239,571,000,000   239,571,000,000   239,571,000,000   239,571,000,000   239,571,000,000   239,571,000,000   239,571,000,000  239,571,000,000    239,571,000,000  239,571,000,000   239,571,000,000    239,571,000,000   239,571,000,000 239,571,000,000     239,571,000,000 239,571,000,000   239,571,000,000   239,571,000,000         
        unappropriated retained earnings
               9,086,490,000,000      8,169,710,000,000      8,172,646,000,000      8,589,900,000,000             8,094,026,000,000     8,071,376,000,000    4,945,733,000,000   4,945,733,000,000  4,601,402,000,000   4,601,402,000,000  3,931,612,000,000  3,931,612,000,000    4,602,171,000,000  3,980,257,000,000  3,980,257,000,000  3,424,864,000,000  3,678,834,000,000  3,424,864,000,000  3,424,864,000,000  2,859,520,000,000  2,859,520,000,000  2,157,639,000,000   1,361,620,000,000   1,361,620,000,000   482,535,000,000   482,535,000,000   254,103,000,000   254,411,000,000   -18,127,000,000      -845,778,000,000     -845,778,000,000   2,280,463,000,000                          
        accumulated other comprehensive income, net of taxes
               2,237,625,000,000      844,192,000,000      227,033,000,000                   -284,269,000,000     -272,240,000,000    2,477,315,000,000   2,477,315,000,000  2,514,742,000,000   2,514,742,000,000  2,281,423,000,000  2,281,423,000,000    1,480,693,000,000  2,301,259,000,000  2,301,259,000,000  3,067,255,000,000  2,621,293,000,000  3,067,255,000,000  3,067,255,000,000  1,807,143,000,000  1,807,143,000,000  1,357,682,000,000   574,347,000,000   574,347,000,000                                                       
        total mitsubishi ufj financial group shareholders’ equity
               17,675,737,000,000      15,763,346,000,000      15,605,068,000,000      15,660,949,000,000             15,199,548,000,000     15,286,133,000,000    14,970,182,000,000   14,970,182,000,000  14,752,184,000,000   14,752,184,000,000  13,985,532,000,000  13,985,532,000,000    13,964,064,000,000  14,270,625,000,000  14,270,625,000,000  14,679,065,000,000  14,385,236,000,000  14,679,065,000,000  14,679,065,000,000  12,967,812,000,000  12,967,812,000,000  12,205,040,000,000   10,608,795,000,000   10,608,795,000,000   8,583,158,000,000   8,583,158,000,000   8,335,699,000,000   8,343,824,000,000   8,866,918,000,000  8,866,918,000,000    6,234,895,000,000                                  
        noncontrolling interests
               841,350,000,000      702,821,000,000      691,454,000,000      583,605,000,000             785,200,000,000     663,506,000,000    675,633,000,000   675,633,000,000  728,189,000,000   728,189,000,000  779,176,000,000  779,176,000,000    740,905,000,000  577,642,000,000  577,642,000,000  602,276,000,000  645,903,000,000  602,276,000,000  602,276,000,000  542,699,000,000  542,699,000,000  546,404,000,000   333,185,000,000   333,185,000,000   275,289,000,000   275,289,000,000   327,213,000,000   327,213,000,000   235,922,000,000  235,922,000,000    232,225,000,000                                  
        total liabilities and equity
                                                   300,124,250,000,000    300,570,312,000,000   300,570,312,000,000  300,400,980,000,000   300,400,980,000,000  297,185,019,000,000  297,185,019,000,000    288,912,990,000,000  292,570,296,000,000  292,570,296,000,000    283,978,815,000,000  280,886,326,000,000  280,886,326,000,000  260,014,355,000,000  260,014,355,000,000  253,661,077,000,000      230,559,276,000,000      215,202,514,000,000      202,861,288,000,000     200,084,397,000,000                                      
        liabilities of consolidated vies for which creditors or beneficial interest holders do not have recourse to the general credit of mitsubishi ufj financial group
                                                                                                                                                      
        other short-term borrowings
                                                       6,881,124,000,000   6,881,124,000,000       7,969,521,000,000  7,969,521,000,000      9,357,728,000,000  9,357,728,000,000      11,545,807,000,000  11,545,807,000,000      11,106,071,000,000      11,608,598,000,000      10,881,525,000,000      8,488,197,000,000     6,097,336,000,000      7,867,378,000,000   7,867,378,000,000    6,016,893,000,000   6,016,893,000,000      5,734,473,000,000    10,534,378,000,000   10,534,378,000,000 5,830,806,000,000        
        all other liabilities
               131,066,000,000      163,075,000,000      95,219,000,000      103,457,000,000             62,146,000,000                               402,858,000,000               378,679,000,000      367,890,000,000      207,916,000,000                                              
        total liabilities of consolidated vies
                                                                                                                                                      
        capital stock—common stock authorized, 33,000,000,000 shares; common stock issued, 12,687,710,920 shares and 12,687,710,920 shares at march 31, 2023 and september 30, 2023, with no stated value
                     2,090,270,000,000                                                                                                                                 
        capital stock—common stock authorized, 33,000,000,000 shares; common stock issued,13,281,995,120 shares and 13,281,995,120 shares at march 31, 2022 and september 30, 2022, with no stated value
                           2,090,270,000,000                                                                                                                           
        net defined benefit asset
                             1,374,607,000,000      1,210,577,000,000      712,206,000,000       824,007,000,000        874,106,000,000                                                                                              
        net defined benefit liability
                             86,355,000,000      88,914,000,000      86,547,000,000       59,540,000,000        59,033,000,000                                                                                              
        capital stock—common stock authorized, 33,000,000,000 shares; common stock issued, 13,581,995,120 shares and 13,581,995,120 shares at march 31, 2021 and september 30, 2021, with no stated value
                                 2,090,270,000,000                                                                                                                     
        accumulated other comprehensive loss, net of taxes
                                 -289,481,000,000                                                                 -596,400,000,000                                                    
        interest-earning assets:
                                                                                                                                                      
        call loans, funds sold, and receivables under resale agreements and securities borrowing transactions
                                       20,052,600,000,000              13,915,324,000,000        16,126,497,000,000        12,877,120,000,000                                                                             5,977,304,000,000    
        total interest-earning assets
                                       268,365,700,000,000              239,873,735,000,000        237,589,673,000,000        241,899,119,000,000                                                                             96,860,081,000,000    
        non-interest-earning assets:
                                                                                                                                                      
        other non-interest-earning assets
                                       29,652,700,000,000              47,449,266,000,000        48,591,163,000,000        49,873,160,000,000                                                                             8,373,783,000,000    
        total non-interest-earning assets
                                       68,776,300,000,000              80,929,335,000,000        80,228,014,000,000        65,919,707,000,000                                                                             11,750,559,000,000    
        liabilities and equity:
                                                                                                                                                      
        interest-bearing liabilities:
                                                                                                                                                      
        call money, funds purchased, and payables under repurchase agreements and securities lending transactions
                                       31,051,600,000,000              25,360,786,000,000        26,435,533,000,000        33,270,607,000,000                                                                             10,842,264,000,000    
        due to trust account, other short-term borrowings, and trading account liabilities
                                       22,141,000,000,000              13,285,125,000,000        13,043,515,000,000        12,084,935,000,000                                                                             10,752,593,000,000    
        total interest-bearing liabilities
                                       260,487,200,000,000              233,697,065,000,000        231,167,283,000,000        221,405,698,000,000                                                                             89,572,079,000,000    
        non-interest-bearing liabilities
                                       60,870,300,000,000              70,776,772,000,000        71,370,061,000,000        71,277,085,000,000                                                                             15,166,209,000,000    
        net interest income and interest rate spread
                                                                                                                                                      
        net interest income as a percentage of total interest-earning assets
                                       770,000,000              940,000        940,000        910,000                                                                                 
        net unrealized gains on available—for-sale securities
                                          2,066,363,000,000                                                                                                            
        the bases for the calculation of basic earnings per common share and diluted earnings per common share for the periods indicated were as follows:
                                                                                                                                                      
        capital stock—common stock authorized, 33,000,000,000 shares; common stock issued, 13,667,770,520 shares and 13,667,770,520 shares at march 31, 2019 and september 30, 2019, with no stated value
                                              2,090,270,000,000                                                                                                        
        accrued interest
                                                   352,113,000,000    324,624,000,000   324,624,000,000  307,674,000,000   307,674,000,000  281,752,000,000  281,752,000,000    298,519,000,000  325,373,000,000  325,373,000,000  323,496,000,000  296,910,000,000  323,496,000,000  323,496,000,000  285,226,000,000  285,226,000,000  277,222,000,000   255,192,000,000   255,192,000,000   250,351,000,000   250,351,000,000   233,224,000,000   233,224,000,000   240,267,000,000  240,267,000,000    267,747,000,000  267,747,000,000   267,747,000,000    339,773,000,000   339,773,000,000 382,656,000,000     371,523,000,000 241,331,000,000   241,331,000,000   241,331,000,000 107,436,000,000        
        obligations to return securities received as collateral
                                                   3,427,158,000,000    3,176,962,000,000   3,176,962,000,000  2,699,912,000,000   2,699,912,000,000  3,516,232,000,000  3,516,232,000,000    1,884,317,000,000  1,919,066,000,000  1,919,066,000,000  2,651,151,000,000  3,041,938,000,000  2,651,151,000,000  2,651,151,000,000  3,505,355,000,000  3,505,355,000,000  3,971,454,000,000   3,034,547,000,000   3,034,547,000,000   3,639,838,000,000   3,639,838,000,000   3,267,775,000,000   3,267,775,000,000   3,229,321,000,000  3,229,321,000,000    2,708,800,000,000  2,708,800,000,000   2,708,800,000,000    5,094,993,000,000   5,094,993,000,000 5,083,668,000,000     3,652,864,000,000 3,946,381,000,000   3,946,381,000,000   3,946,381,000,000 162,690,000,000        
        equity:
                                                                                                                                                      
        customers liabilities for acceptances and guarantees
                                                    9,560,158,000,000                                                                                                  
        total shareholders equity
                                                    12,880,807,000,000                                                                                                  
        call loans and funds sold
                                                       896,360,000,000   896,360,000,000       704,237,000,000  704,237,000,000      699,025,000,000  699,025,000,000      660,416,000,000  660,416,000,000      919,132,000,000      618,596,000,000      451,433,000,000      448,787,000,000     508,922,000,000      407,448,000,000   407,448,000,000    1,210,238,000,000   1,210,238,000,000      1,990,116,000,000    2,026,293,000,000   2,026,293,000,000 245,774,000,000        
        available-for-sale securities—carried at fair value
                                                       39,504,698,000,000   39,504,698,000,000  36,827,530,000,000   36,827,530,000,000  39,090,099,000,000  39,090,099,000,000    38,094,384,000,000  41,226,231,000,000  41,226,231,000,000  47,490,404,000,000  42,274,655,000,000  47,490,404,000,000  47,490,404,000,000  51,169,368,000,000  51,169,368,000,000                                                               
        held-to-maturity securities—carried at amortized cost
                                                       3,582,941,000,000   3,582,941,000,000  3,230,851,000,000   3,230,851,000,000  3,587,321,000,000  3,587,321,000,000    3,452,917,000,000  3,866,668,000,000  3,866,668,000,000  4,130,451,000,000  3,998,298,000,000  4,130,451,000,000  4,130,451,000,000  3,456,827,000,000  3,456,827,000,000                                                               
        other investment securities
                                                       566,610,000,000   566,610,000,000  555,250,000,000   555,250,000,000  556,161,000,000  556,161,000,000    555,820,000,000  554,715,000,000  554,715,000,000  587,119,000,000  566,811,000,000  587,119,000,000  587,119,000,000  747,649,000,000  747,649,000,000  737,617,000,000   889,952,000,000   889,952,000,000   909,765,000,000   909,765,000,000   1,704,244,000,000   1,704,244,000,000   1,690,838,000,000  1,690,838,000,000    1,434,124,000,000  1,434,124,000,000   1,434,124,000,000    580,013,000,000   580,013,000,000 529,132,000,000     670,959,000,000 862,969,000,000   862,969,000,000   862,969,000,000 392,804,000,000        
        overseas offices:
                                                                                                                                                      
        call money and funds purchased
                                                       2,452,543,000,000   2,452,543,000,000       1,974,977,000,000  1,974,977,000,000      1,388,589,000,000  1,388,589,000,000      3,668,986,000,000  3,668,986,000,000      3,417,455,000,000      4,010,582,000,000      2,796,221,000,000      2,313,487,000,000     1,883,824,000,000      2,235,858,000,000   2,235,858,000,000    2,288,720,000,000   2,288,720,000,000      2,544,637,000,000    2,273,754,000,000   2,273,754,000,000 1,291,119,000,000        
        due to trust account
                                                       3,386,158,000,000   3,386,158,000,000       3,335,155,000,000  3,335,155,000,000      6,338,154,000,000  6,338,154,000,000      1,610,992,000,000  1,610,992,000,000      750,210,000,000      633,029,000,000      627,331,000,000      633,541,000,000     1,559,631,000,000      1,796,846,000,000   1,796,846,000,000    1,461,006,000,000   1,461,006,000,000      1,539,973,000,000    2,427,932,000,000 2,231,701,000,000  2,427,932,000,000 1,241,661,000,000  1,196,694,000,000   1,344,756,000,000 1,367,460,000,000 1,411,320,000,000 
        net unrealized gains on other securities
                                                                          2,486,627,000,000  2,835,091,000,000    2,835,091,000,000  2,835,091,000,000      1,218,397,000,000  1,218,397,000,000 1,207,963,000,000  1,207,963,000,000 1,207,963,000,000  1,207,963,000,000 440,900,000,000  440,900,000,000 440,900,000,000  440,900,000,000 90,765,000,000  90,765,000,000 90,765,000,000  90,765,000,000 207,812,000,000  282,459,000,000  166,793,000,000 403,490,000,000   13,794,000,000         717,308,000,000 595,352,000,000                       
        capital stock—common stock authorized, 33,000,000,000 shares; common stock issued, 14,168,853,820 shares at march 31, 2015 and september 30, 2015, with no stated value
                                                                             2,090,270,000,000                                                                         
        current assets:
                                                                                                                                                      
        accounts receivable
                                                                              147,935,000,000                                       24,200,000,000       50,756,000,000     1,785,605,000,000      1,792,158,000,000       361,314,000,000        
        others
                                                                              2,498,000,000        71,743,000,000                                                                
        total current assets
                                                                              222,109,000,000        202,081,000,000                               161,243,000,000       181,572,000,000                          
        fixed assets:
                                                                                                                                                      
        investments and other assets:
                                                                              10,415,313,000,000                                                                        
        investments in subsidiaries and affiliates
                                                                              10,186,842,000,000        10,706,842,000,000                               9,059,633,000,000       7,869,281,000,000                          
        total fixed assets
                                                                              10,424,152,000,000        10,730,194,000,000                               9,945,910,000,000       7,868,929,000,000                          
        current liabilities:
                                                                                                                                                      
        short-term borrowings
                                                                              1,824,447,000,000        1,917,647,000,000                               1,002,648,000,000       28,600,000,000                          
        lease liabilities
                                                                              21,000,000        21,000,000                               46,000,000                                 
        income taxes payable
                                                                              67,000,000        104,000,000                               325,000,000       23,000,000                          
        reserve for bonuses and reserve for bonuses to directors
                                                                              473,000,000        441,000,000                                                                
        total current liabilities
                                                                              1,843,826,000,000        1,924,538,000,000                               1,468,709,000,000       152,805,000,000                          
        fixed liabilities:
                                                                                                                                                      
        long-term borrowings
                                                                              3,938,000,000        3,945,000,000                                      567,731,000,000                          
        total fixed liabilities
                                                                              444,484,000,000        384,522,000,000                               987,802,000,000       902,725,000,000                          
        shareholders’ equity:
                                                                                                                                                      
        capital surplus:
                                                                                                                                                      
        capital reserve
                                                                              2,141,524,000,000        2,140,501,000,000                               1,620,914,000,000       1,383,070,000,000                          
        other capital surplus
                                                                              1,470,006,000,000        1,860,006,000,000                               2,109,937,000,000       2,110,019,000,000                          
        total capital surplus
                                                                              3,611,530,000,000        4,000,507,000,000                               3,730,851,000,000       3,493,089,000,000                          
        other retained earnings:
                                                                                                                                                      
        other reserve
                                                                              150,000,000,000        150,000,000,000                               150,000,000,000                                 
        earned surplus brought forward
                                                                              2,682,257,000,000        2,392,816,000,000                               2,129,702,000,000                                 
        total retained earnings
                                                                              2,832,257,000,000        2,542,816,000,000                               2,279,702,000,000       2,430,463,000,000                          
        valuation and translation adjustments:
                                                                                                                                                      
        total valuation and translation adjustments
                                                                              -135,474,000,000        -69,224,000,000                       21,927,000,000  159,183,000,000  117,367,000,000 347,011,000,000   13,794,000,000         660,217,000,000 765,121,000,000   1,529,918,000,000 1,900,614,000,000 2,136,607,000,000 2,120,183,000,000   1,900,887,000,000 1,618,381,000,000  1,285,546,000,000           
        minority interests
                                                                                  1,961,322,000,000      2,048,101,000,000  2,048,101,000,000 1,774,153,000,000  1,774,153,000,000 1,774,153,000,000  1,774,153,000,000 1,674,821,000,000  1,674,821,000,000 1,674,821,000,000  1,674,821,000,000 1,858,283,000,000  1,858,283,000,000 1,858,283,000,000  1,858,283,000,000 2,170,822,000,000  2,195,173,000,000  2,263,044,000,000 1,987,213,000,000     1,810,890,000,000 1,762,372,000,000   1,723,411,000,000   1,569,396,000,000 1,716,370,000,000   1,875,052,000,000 1,715,132,000,000 2,014,472,000,000 2,003,434,000,000   1,980,334,000,000 1,959,840,000,000  1,979,536,000,000           
        investments and other assets
                                                                                      10,724,991,000,000                               9,944,292,000,000                                 
        securities available-for-sale—carried at fair value
                                                                                         51,885,652,000,000   58,844,069,000,000                                                          
        securities being held-to-maturity—carried at amortized cost
                                                                                         2,706,982,000,000   2,131,164,000,000                                                          
        capital stock:
                                                                                                                                                      
        preferred stock
                                                                                         442,100,000,000      442,100,000,000      442,100,000,000      442,100,000,000     442,100,000,000      442,100,000,000       247,100,000,000    247,100,000,000         247,100,000,000    709,818,000,000        
        common stock
                                                                                         1,647,145,000,000      1,646,035,000,000      1,645,144,000,000      1,644,132,000,000     1,643,238,000,000      1,127,552,000,000       1,084,708,000,000    1,084,708,000,000         1,084,708,000,000            
        reserve for retirement benefits
                                                                                           84,911,000,000  84,911,000,000 84,911,000,000  84,911,000,000 81,111,000,000  81,111,000,000 81,111,000,000  81,111,000,000 59,192,000,000  59,192,000,000 59,192,000,000  59,192,000,000 60,072,000,000  60,861,000,000  61,857,000,000 61,821,000,000     88,178,000,000 94,623,000,000   62,081,000,000   63,411,000,000 64,771,000,000    64,067,000,000                   
        pension liability adjustments of subsidiaries preparing financial statements under us gaap
                                                                                           -59,379,000,000  -59,379,000,000 -59,379,000,000  -59,379,000,000 -48,555,000,000  -48,555,000,000 -48,555,000,000  -48,555,000,000 -34,691,000,000  -34,691,000,000 -34,691,000,000  -34,691,000,000 -31,496,000,000  -34,129,000,000                                       
        preferred stock—aggregate liquidation preference of ¥390,001 at march 31, 2013 and september 30, 2013, with no stated value
                                                                                            442,100,000,000                                                          
        common stock—authorized, 33,000,000,000 shares; issued, 14,158,585,720 shares and 14,163,760,420 shares at march 31, 2013 and september 30, 2013, with no stated value
                                                                                            1,646,035,000,000                                                          
        securities available for sale—carried at fair value
                                                                                               58,844,069,000,000                                                       
        securities being held to maturity—carried at amortized cost
                                                                                               2,131,164,000,000   2,385,368,000,000   2,385,368,000,000   3,017,189,000,000   3,017,189,000,000   2,943,801,000,000  2,943,801,000,000      2,812,353,000,000   2,812,353,000,000       2,839,666,000,000      3,033,099,000,000 2,466,074,000,000      2,466,074,000,000         
        securities available for sale—carried at estimated fair value
                                                                                                  57,740,401,000,000   57,740,401,000,000   54,329,881,000,000   54,435,634,000,000   50,411,876,000,000  50,411,876,000,000      33,390,087,000,000   33,390,087,000,000       38,729,301,000,000      45,679,782,000,000 45,485,909,000,000      45,485,909,000,000         
        preferred stock—aggregate liquidation preference of ¥390,001 at march 31, 2012 and september 30, 2012, with no stated value
                                                                                                  442,100,000,000                                                    
        common stock—authorized, 33,000,000,000 shares; issued, 14,154,534,220 shares and 14,158,585,720 shares at march 31, 2012 and september 30, 2012, with no stated value
                                                                                                  1,645,144,000,000                                                    
        accumulated other changes in equity from nonowner sources, net of taxes
                                                                                                     -596,400,000,000   -628,661,000,000   -620,844,000,000   -45,435,000,000      -813,695,000,000     -813,695,000,000    919,420,000,000   919,420,000,000 2,152,608,000,000     2,392,136,000,000 1,880,215,000,000   1,880,215,000,000   1,880,215,000,000 592,016,000,000        
        preferred stock—aggregate liquidation preference of ¥390,001 million at march 31, 2011 and september 30, 2011, with no stated value
                                                                                                        442,100,000,000                                              
        common stock—authorized, 33,000,000,000 shares; issued, 14,150,894,620 shares and 14,154,508,220 shares at march 31, 2011 and september 30, 2011, with no stated value
                                                                                                        1,644,132,000,000                                              
        preferred stock—aggregate liquidation preference of ¥640,001 million at march 31, 2010 and ¥390,001 million at september 30, 2010, with no stated value
                                                                                                              442,100,000,000                                        
        common stock—authorized, 33,000,000,000 shares; issued, 14,148,414,920 shares at march 31, 2010 and 14,150,766,520 shares at september 30, 2010, with no stated value
                                                                                                              1,643,238,000,000                                        
        allowance for losses on securities
                                                                                                                                                      
        cash and interest-earning deposits with banks
                                                                                                                                                      
        investment in morgan stanley
                                                                                                                   988,731,000,000                                   
        short-term borrowings from subsidiaries
                                                                                                                                                      
        long-term debt from subsidiaries and affiliated companies
                                                                                                                   1,088,149,000,000                                   
        securities available for sale
                                                                                                                    33,390,087,000,000         38,729,301,000,000    41,154,183,000,000         45,485,909,000,000            
        securities being held to maturity
                                                                                                                    2,812,353,000,000         2,839,666,000,000    3,053,518,000,000         2,466,074,000,000            
        preferred stock—aggregate liquidation preference of ¥261,301 million at september 30, 2008, and ¥640,001 million at march 31, 2009 and september 30, 2009, with no stated value
                                                                                                                    442,100,000,000                                  
        common stock—authorized, 33,000,000,000 shares; issued, 10,933,679,680 shares at september 30, 2008, and 11,648,360,720 shares at march 31, 2009 and september 30, 2009, with no stated value
                                                                                                                    1,127,552,000,000                                  
        other
                                                                                                                     45,404,000,000       148,000,000                          
        allowance for losses on investments
                                                                                                                                                      
        current portion of bonds payable
                                                                                                                     200,000,000,000       120,000,000,000                          
        current portion of long-term borrowings
                                                                                                                     257,252,000,000                                 
        accounts payable
                                                                                                                     1,058,000,000       1,656,000,000     2,741,427,000,000      1,518,009,000,000       645,744,000,000        
        long-term borrowings from subsidiaries and affiliates
                                                                                                                     463,110,000,000                                 
        unappropriated
                                                                                                                             935,309,000,000   935,309,000,000 1,828,182,000,000     1,636,803,000,000 1,424,634,000,000   1,424,634,000,000   1,424,634,000,000         
        reserve for losses relating to business restructuring
                                                                                                                           878,000,000                           
        liabilities and shareholders’ equity
                                                                                                                                                      
        shareholders’ equity
                                                                                                                                               6,994,462,000,000   3,872,352,000,000    
        preferred stock—aggregate liquidation preference of ¥336,801 million in 2008 and ¥640,001 million in 2009, with no stated value
                                                                                                                         442,100,000,000                             
        common stock—authorized, 33,000,000,000 shares; issued, 10,861,643,790 shares in 2008 and 11,648,360,720 shares in 2009, with no stated value
                                                                                                                         1,127,552,000,000                             
        current assets
                                                                                                                                                      
        other current assets
                                                                                                                            30,465,000,000                          
        fixed assets
                                                                                                                                                      
        investments and other fixed assets
                                                                                                                            7,867,696,000,000                          
        current liabilities
                                                                                                                                                      
        lease obligation
                                                                                                                            8,000,000                          
        other current liabilities
                                                                                                                            2,188,000,000                          
        fixed liabilities
                                                                                                                                                      
        other retained earnings
                                                                                                                                                      
        voluntary reserve
                                                                                                                            150,000,000,000                          
        assets of discontinued operations to be disposed or sold
                                                                                                                                      2,435,000,000 124,513,000,000   124,513,000,000   124,513,000,000         
        liabilities of discontinued operations to be extinguished or assumed
                                                                                                                                      546,000,000 118,762,000,000   118,762,000,000   118,762,000,000         
        reserve for losses related to business restructuring
                                                                                                                              7,985,000,000 22,865,000,000   28,397,000,000 59,317,000,000                   
        commercial paper and other debt purchased
                                                                                                                               4,593,198,000,000   5,156,371,000,000 4,856,581,000,000 4,948,443,000,000 4,241,859,000,000   3,971,315,000,000 3,628,498,000,000   2,533,592,000,000    2,310,399,000,000   1,829,314,000,000 1,633,157,000,000 1,380,007,000,000 
        allowance for losses on investment securities
                                                                                                                                                      
        commercial paper
                                                                                                                               349,355,000,000   509,890,000,000 685,459,000,000 564,769,000,000 607,902,000,000   603,291,000,000 477,920,000,000  422,221,000,000 324,384,000,000    197,291,000,000   654,008,000,000 632,079,000,000 475,706,000,000 
        short-term corporate bonds
                                                                                                                               417,200,000,000   399,300,000,000 593,600,000,000 393,100,000,000 326,000,000,000   462,600,000,000 764,500,000,000  317,400,000,000 375,700,000,000    1,042,600,000,000   690,900,000,000 368,900,000,000 390,800,000,000 
        bonds and notes
                                                                                                                               6,285,566,000,000   6,399,758,000,000 6,476,523,000,000 6,553,673,000,000 6,505,572,000,000   6,568,587,000,000 6,580,221,000,000  6,585,940,000,000 5,415,141,000,000    4,224,320,000,000   3,993,704,000,000 3,818,578,000,000 3,861,233,000,000 
        bonds with warrants
                                                                                                                                     49,656,000,000      49,165,000,000     49,165,000,000   49,165,000,000 49,165,000,000 50,000,000,000 
        preferred stock—aggregate liquidation preference of ¥336,801 million in 2007 and in 2008, with no stated value
                                                                                                                                247,100,000,000                      
        common stock—authorized, 33,000,000,000 shares; issued, 10,861,643,790 shares in 2007 and in 2008, with no stated value
                                                                                                                                1,084,708,000,000                      
        reserve for employees’ bonuses
                                                                                                                                  15,958,000,000 49,308,000,000 15,215,000,000 53,427,000,000   15,871,000,000 45,440,000,000   28,293,000,000    3,899,000,000   5,191,000,000 19,727,000,000 2,846,000,000 
        reserve for bonuses to directors and corporate auditors
                                                                                                                                  160,000,000 130,000,000 76,000,000                  
        reserve for employees’ retirement benefits
                                                                                                                                  62,158,000,000  65,825,000,000 66,524,000,000   69,439,000,000 68,889,000,000   51,622,000,000    44,987,000,000   41,989,000,000 38,320,000,000 37,063,000,000 
        reserve for retirement benefits to directors and corporate auditors
                                                                                                                                  1,916,000,000 1,761,000,000 1,538,000,000                  
        net unrealized gains on other securities, net of taxes
                                                                                                                                  1,414,051,000,000 1,803,418,000,000 2,147,039,000,000 2,054,813,000,000                 
        net deferred gains on hedging instruments, net of taxes
                                                                                                                                  12,919,000,000                    
        land revaluation excess, net of taxes
                                                                                                                                  143,628,000,000 147,499,000,000 148,494,000,000 148,281,000,000   148,492,000,000              
        allowance for loan losses
                                                                                                                                              -1,041,818,000,000        
        reserve for bonuses for directors and corporate auditors
                                                                                                                                     363,000,000                 
        net unrealized gains on securities available for sale, net of taxes
                                                                                                                                        1,856,745,000,000   1,325,909,000,000           
        total liabilities, minority interests and shareholders’ equity
                                                                                                                                                      
        preferred stock—aggregate liquidation preference of ¥965,701 million in 2006 and ¥336,801 million in 2007, with no stated value
                                                                                                                                      247,100,000,000                
        common stock—authorized, 33,000,000 shares; issued, 10,247,852 shares in 2006 and 10,861,644 shares in 2007, with no stated value
                                                                                                                                      1,084,708,000,000                
        preferred stock investment in ufj bank limited
                                                                                                                                                      
        preferred stock—aggregate liquidation preference of ¥250,000 million at september 30, 2005, ¥965,701 million at march 31, 2006 and ¥416,301 million at september 30, 2006, with no stated value
                                                                                                                                       247,100,000,000               
        common stock—authorized, 33,000,000 shares; issued, 6,545,353 shares at september 30, 2005, 10,247,852 shares at march 31, 2006 and 10,761,771 shares at september 30, 2006, with no stated value
                                                                                                                                       1,084,708,000,000               
        bonds with subscription rights to shares
                                                                                                                                        49,673,000,000              
        reserve for directors’ bonuses
                                                                                                                                        173,000,000 115,000,000             
        reserve for expenses related to expo 2005 japan
                                                                                                                                                292,000,000   238,000,000 211,000,000 185,000,000 
        reserves for contingencies
                                                                                                                                        122,802,000,000              
        bonds with warrant
                                                                                                                                         49,689,000,000             
        reserve for losses related to land trust
                                                                                                                                                      
        trasury stock
                                                                                                                                                      
        net unrealized gains on securities
                                                                                                                                         1,592,453,000,000             
        warrant
                                                                                                                                                      
        shareholder’s equity:
                                                                                                                                                      
        unrealized gains on securities available for sale
                                                                                                                                            1,187,117,000,000    635,329,000,000   494,924,000,000 422,926,000,000 507,551,000,000 
        total shareholder’s equity
                                                                                                                                            6,774,059,000,000          
        total liabilities, minority interests and shareholder’s equity
                                                                                                                                                      
        preferred stock investment in ex-ufj bank limited
                                                                                                                                                      
        reserve for possible loan losses
                                                                                                                                                      
        negotiable certificates of deposits
                                                                                                                                           5,740,798,000,000           
        reserve for employee retirement benefits
                                                                                                                                           79,812,000,000           
        reserve for losses on compensation claim
                                                                                                                                                      
        total owners’ equity
                                                                                                                                           5,732,516,000,000           
        revaluation reserve for land, net of taxes
                                                                                                                                           149,455,000,000           
        stockholders’ equity:
                                                                                                                                                      
        total stockholders’ equity
                                                                                                                                              2,097,461,000,000        
        total liabilities, minority interest and stockholders’ equity
                                                                                                                                                      
        deferred tax liabilities on land revaluation excess
                                                                                                                                            202,531,000,000    133,098,000,000   133,750,000,000 134,023,000,000 138,900,000,000 
        minority interest
                                                                                                                                            1,724,584,000,000    381,007,000,000   387,580,000,000 362,227,000,000 360,778,000,000 
        total liabilities, minority interest and shareholder’s equity
                                                                                                                                            160,772,959,000,000          
        capital stock (notes 20 and 21) :
                                                                                                                                                      
        preferred stock—aggregate liquidation preference of ¥372,100 million in 2005 and ¥965,701 million in 2006, with no stated value
                                                                                                                                             247,100,000,000         
        common stock—authorized, 33,000,000 shares; issued, 6,545,353 shares in 2005 and 10,247,852 shares in 2006, with no stated value
                                                                                                                                             1,084,708,000,000         
        receivables under reverse repurchase agreements
                                                                                                                                              1,785,407,000,000        
        trading account assets at estimated fair value
                                                                                                                                              6,365,313,000,000        
        securities available for sale—at estimated fair value
                                                                                                                                              19,874,728,000,000        
        loans, net of unearned income and deferred loan fees
                                                                                                                                              41,911,897,000,000        
        customers’ acceptance liabilities
                                                                                                                                              41,802,000,000        
        intangible assets
                                                                                                                                              629,726,000,000        
        liabilities and stockholders’ equity
                                                                                                                                                      
        common stock authorized, 18,000,000 shares; issued, 5,107,405 shares at september 30, 2004, 5,165,293 shares at march 31, 2005 and 5,191,477 shares at september 30, 2005, with no stated value
                                                                                                                                              290,182,000,000        
        accumulated deficit
                                                                                                                                              -2,031,298,000,000        
        total
                                                                                                                                              2,102,014,000,000        
        less treasury stock, at cost—6,082 common shares at september 30, 2004, 9,769 common shares at march 31, 2005 and 8,098 common shares at september 30, 2005
                                                                                                                                              4,553,000,000        
        total liabilities and stockholders’ equity
                                                                                                                                                      
        shareholders’ equity as a percentage of total liabilities, minority interest and shareholders’ equity
                                                                                                                                               3,500,000       
        shareholders’ equity per common share
                                                                                                                                               598,847,230,000       
        debentures
                                                                                                                                                  119,905,000,000 15,211,000,000 30,752,000,000 86,412,000,000 
        less treasury stock
                                                                                                                                                      
        total liabilities, minority interest and shareholders’ equity
                                                                                                                                                113,216,114,000,000   116,246,651,000,000 113,408,478,000,000 109,264,316,000,000 
        statement of operations data:
                                                                                                                                                      
        interest income
                                                                                                                                                      
        interest expense
                                                                                                                                                 471,231,000,000     
        net interest income
                                                                                                                                                 971,392,000,000     
        provision (credit) for credit losses
                                                                                                                                                 109,502,000,000     
        net interest income after provision (credit) for credit losses
                                                                                                                                                 861,890,000,000     
        non-interest income
                                                                                                                                                 995,090,000,000     
        non-interest expense
                                                                                                                                                 1,135,591,000,000     
        income from continuing operations before income tax expense and cumulative effect of a change in accounting principle
                                                                                                                                                 721,389,000,000     
        income tax expense
                                                                                                                                                 305,257,000,000     
        income from continuing operations before cumulative effect of a change in accounting principle
                                                                                                                                                 416,132,000,000     
        income from discontinued operations—net
                                                                                                                                                      
        cumulative effect of a change in accounting principle, net of tax
                                                                                                                                                 -977,000,000     
        net income
                                                                                                                                                      
        net income available to common shareholders
                                                                                                                                                      
        amounts per share:
                                                                                                                                                      
        basic earnings per common share—income from continuing operations available to common shareholders before cumulative effect of a change in accounting principle
                                                                                                                                                      
        basic earnings per common share—net income available to common shareholders
                                                                                                                                                 62,717,210,000     
        diluted earnings per common share—income from continuing operations available to common shareholders before cumulative effect of a change in accounting principle
                                                                                                                                                 62,626,690,000     
        diluted earnings per common share—net income available to common shareholders
                                                                                                                                                 62,476,760,000     
        number of shares used to calculate basic earnings per common share
                                                                                                                                                 6,510,000,000     
        number of shares used to calculate diluted earnings per common share
                                                                                                                                                 6,516,000,000     
        cash dividends per share declared during the fiscal year
                                                                                                                                                      
        — common shares
                                                                                                                                                      
        — preferred shares
                                                                                                                                                      
        balance sheet data:
                                                                                                                                                      
        loans, net of allowance for credit losses
                                                                                                                                                      
        total assets from discontinued operations
                                                                                                                                                      
        total average assets
                                                                                                                                                      
        total liabilities from discontinued operations
                                                                                                                                                      
        total average liabilities and shareholders’ equity
                                                                                                                                                      
        net interest income and average interest rate spread
                                                                                                                                                      
        net interest income as a percentage of total average interest-earning assets
                                                                                                                                                  990,000    
        deferred tax assets on land revaluation loss
                                                                                                                                                      
      Cashflow Statements:
      Quarterly
      Annual
        Unit: USD2017-09-30 2017-05-15 2016-09-30 2016-05-16 2016-01-29 2015-05-15 2014-05-14 
               
          cash flows from operating activities:
               
          profits before income taxes
        -434,851,000,000 1,303,228,000,000      
          depreciation and amortization
        -157,813,000,000 316,411,000,000      
          impairment losses
        12,435,000,000 10,162,000,000 -9,346,000,000 13,415,000,000  11,487,000,000 126,924,000,000 
          amortization of goodwill
        -8,218,000,000 16,737,000,000 -9,504,000,000 16,931,000,000  17,787,000,000 36,830,000,000 
          equity in losses of equity method investees
         -244,453,000,000      
          increase in allowance for credit losses
        -21,526,000,000 -92,783,000,000 -173,343,000,000 71,084,000,000  46,037,000,000 -173,705,000,000 
          increase in reserve for bonuses
        -12,690,000,000 -285,000,000 -16,330,000,000 955,000,000  10,321,000,000 8,868,000,000 
          increase in reserve for bonuses to directors
        -529,000,000 202,000,000 -81,000,000 -58,000,000  -172,000,000 -333,000,000 
          increase in reserve for stocks payment
         10,400,000,000      
          decrease in net defined benefit assets
         -92,720,000,000  -88,908,000,000  -62,696,000,000  
          increase in net defined benefit liabilities
        -1,644,000,000 1,652,000,000 5,174,000,000 -2,255,000,000  -1,601,000,000 -46,685,000,000 
          increase in reserve for retirement benefits to directors
        -200,000,000 14,000,000 -172,000,000 27,000,000  -115,000,000 -222,000,000 
          increase in reserve for loyalty award credits
        1,090,000,000 959,000,000 762,000,000 1,313,000,000  969,000,000 -141,000,000 
          increase in reserve for contingent losses
        -197,736,000,000 175,716,000,000 -6,752,000,000 5,572,000,000  -43,807,000,000 -50,771,000,000 
          interest income recognized on statement of income
        1,354,970,000,000 -2,888,134,000,000 1,416,558,000,000 -2,769,248,000,000  -2,806,238,000,000 -2,370,649,000,000 
          interest expenses recognized on statement of income
        -304,120,000,000 863,677,000,000 -278,113,000,000 655,735,000,000  624,743,000,000 492,122,000,000 
          losses on securities
         -181,811,000,000  -221,235,000,000  -208,271,000,000 -287,463,000,000 
          losses on money held in trust
         8,771,000,000  -10,689,000,000  639,000,000 2,264,000,000 
          foreign exchange losses
        -959,453,000,000 459,763,000,000 1,327,760,000,000 1,439,205,000,000  -1,213,235,000,000 -2,177,403,000,000 
          losses on sales of fixed assets
         -8,200,000,000  -9,171,000,000  4,926,000,000 -2,496,000,000 
          net decrease in trading assets
         -1,737,675,000,000  49,544,000,000  -1,337,542,000,000 3,086,278,000,000 
          net increase in trading liabilities
        -5,042,284,000,000 1,448,201,000,000 3,082,720,000,000 1,980,093,000,000  1,181,142,000,000 -2,803,988,000,000 
          adjustment of unsettled trading accounts
          1,042,925,000,000 -821,034,000,000  889,029,000,000 -294,819,000,000 
          net decrease in loans and bills discounted
         4,065,265,000,000  -4,990,628,000,000  -5,909,031,000,000 -6,608,052,000,000 
          net increase in deposits
        -8,961,228,000,000 10,427,476,000,000 -4,804,069,000,000 7,888,704,000,000 -6,287,548,000,000 6,793,900,000,000 8,543,515,000,000 
          net increase in negotiable certificates of deposit
        666,181,000,000 -242,013,000,000 1,789,225,000,000 -4,482,406,000,000  488,549,000,000 633,905,000,000 
          net increase in borrowed money
        -3,372,593,000,000 4,551,643,000,000 2,868,738,000,000 -1,362,550,000,000  3,247,294,000,000 -137,246,000,000 
          net decrease in call loans and bills bought and others
         -1,413,158,000,000  -633,599,000,000  261,206,000,000 -1,141,168,000,000 
          net decrease in receivables under securities borrowing transactions
         -5,203,785,000,000  -1,438,094,000,000  -370,559,000,000 -1,546,761,000,000 
          net increase in call money and bills sold and others
        5,941,393,000,000 -3,999,428,000,000 857,315,000,000 -435,883,000,000  -350,881,000,000 3,983,716,000,000 
          net increase in commercial papers
        385,321,000,000 33,847,000,000 -846,012,000,000 119,203,000,000  667,730,000,000 401,456,000,000 
          net increase in payables under securities lending transactions
        -1,600,793,000,000 850,842,000,000 5,216,824,000,000 -3,446,893,000,000  2,657,417,000,000 1,490,264,000,000 
          net decrease in foreign exchanges
         -302,389,000,000  380,193,000,000  -137,770,000,000 -485,839,000,000 
          net increase in foreign exchanges
        148,134,000,000 -81,641,000,000 -885,936,000,000 544,080,000,000  375,867,000,000 234,959,000,000 
          net increase in short-term bonds payable
        -81,907,000,000 95,507,000,000 268,525,000,000 -37,019,000,000  353,597,000,000 83,593,000,000 
          net increase in issuance and redemption of unsubordinated bonds payable
        -178,046,000,000 422,720,000,000 -666,647,000,000 649,951,000,000  906,637,000,000 1,117,138,000,000 
          net increase in due to trust accounts
        3,002,553,000,000 -3,402,151,000,000 -15,307,481,000,000 10,112,737,000,000  1,238,144,000,000 441,935,000,000 
          interest income
        -1,457,741,000,000 3,023,722,000,000 -1,431,731,000,000 2,897,378,000,000  2,917,319,000,000 2,542,087,000,000 
          interest expenses
        305,091,000,000 -847,418,000,000 275,631,000,000 -654,026,000,000  -636,368,000,000 -499,345,000,000 
          others
        -597,961,000,000 -684,097,000,000 -428,259,000,000 175,151,000,000  -26,303,000,000 981,842,000,000 
          sub-total
        -2,736,499,000,000 7,416,541,000,000 1,413,271,000,000 7,245,155,000,000  -1,658,147,000,000 -3,909,958,000,000 
          income taxes
        265,205,000,000 -427,841,000,000 330,027,000,000 -537,036,000,000  -463,446,000,000 -230,581,000,000 
          refund of income taxes
        -8,501,000,000 24,364,000,000 -30,845,000,000 46,308,000,000  25,845,000,000 51,504,000,000 
          net cash from operating activities
        -2,479,794,000,000 7,013,064,000,000 1,712,453,000,000 6,754,428,000,000 4,325,550,000,000 -2,095,748,000,000 -4,089,035,000,000 
          capital expenditures
          free cash flows
        -2,479,794,000,000 7,013,064,000,000 1,712,453,000,000 6,754,428,000,000 4,325,550,000,000 -2,095,748,000,000 -4,089,035,000,000 
          cash flows from investing activities:
               
          purchases of securities
        20,036,417,000,000 -56,618,395,000,000 61,620,459,000,000 -86,422,400,000,000  -138,305,190,000,000 -136,943,494,000,000 
          proceeds from sales of securities
        -20,131,592,000,000 39,602,665,000,000 -46,155,163,000,000 60,274,528,000,000  110,348,143,000,000 108,333,935,000,000 
          proceeds from redemption of securities
        -8,311,692,000,000 26,428,256,000,000 -16,191,269,000,000 28,452,434,000,000  34,682,841,000,000 35,904,614,000,000 
          payments for increase in money held in trust
        463,299,000,000 -763,127,000,000      
          proceeds from decrease in money held in trust
        -447,734,000,000 615,931,000,000      
          purchases of tangible fixed assets
        50,171,000,000 -121,733,000,000 53,999,000,000 -116,931,000,000  -176,368,000,000 -151,365,000,000 
          purchases of intangible fixed assets
        133,269,000,000 -249,744,000,000 114,241,000,000 -231,615,000,000  -223,581,000,000 -223,357,000,000 
          proceeds from sales of tangible fixed assets
        -27,804,000,000 31,815,000,000 -23,209,000,000 35,494,000,000  12,393,000,000 31,251,000,000 
          proceeds from sales of intangible fixed assets
        -2,190,000,000 2,890,000,000 2,716,000,000 166,000,000  19,000,000 1,404,000,000 
          payments for acquisition of subsidiaries’ equity affecting the scope of consolidation
        21,934,000,000 -21,954,000,000      
          payments for sales of subsidiaries’ equity affecting the scope of consolidation
               
          net cash from investing activities
        -8,218,244,000,000 8,907,549,000,000 -885,521,000,000 2,240,209,000,000 -11,638,866,000,000 6,501,689,000,000 6,001,400,000,000 
          cash flows from financing activities:
               
          proceeds from subordinated borrowings
        -8,000,000,000 31,000,000,000      
          repayments of subordinated borrowings
               
          proceeds from issuance of subordinated bonds payable and bonds with warrants
        -412,940,000,000 837,401,000,000      
          payments for redemption of subordinated bonds payable and bonds with warrants
        288,461,000,000 -476,943,000,000      
          proceeds from issuance of common stock to non-controlling shareholders
        817,000,000 1,195,000,000 -877,000,000 1,081,000,000    
          dividends paid by mufg
         -246,563,000,000      
          dividends paid by subsidiaries to non-controlling shareholders
         -77,008,000,000      
          purchases of treasury stock
        116,639,000,000 -217,666,000,000 90,301,000,000 -200,053,000,000  -490,044,000,000 -45,000,000 
          proceeds from sales of treasury stock
        2,193,000,000 3,000,000 2,000,000 1,000,000 8,000,000 2,000,000 610,000,000 
          payments for purchases of subsidiaries’ equity not affecting the scope of consolidation
        1,294,000,000 -1,612,000,000      
          proceeds from sales of subsidiaries’ equity not affecting the scope of consolidation
               
          net cash from financing activities
        653,674,000,000 -670,592,000,000 -506,876,000,000 -105,602,000,000 4,356,475,000,000 -1,156,621,000,000 -1,007,086,000,000 
          effect of foreign exchange rate changes on cash and cash equivalents
        19,937,000,000 -45,486,000,000 -133,728,000,000 -115,214,000,000  252,797,000,000 298,454,000,000 
          net increase in cash and cash equivalents
        -10,024,426,000,000 15,204,534,000,000 186,327,000,000 8,773,820,000,000 -3,204,124,000,000 3,502,117,000,000 1,203,733,000,000 
          cash and cash equivalents at the beginning of the period
        15,204,535,000,000 18,763,856,000,000 8,773,821,000,000 9,990,035,000,000  6,487,918,000,000 5,281,038,000,000 
          cash and cash equivalents at the end of the period
        5,180,109,000,000 33,968,391,000,000 8,960,148,000,000 18,763,856,000,000  9,990,035,000,000 6,487,918,000,000 
          equity in losses (gains) of equity method investees
               
          decrease (increase) in net defined benefit assets
               
          losses (gains) on securities
               
          losses (gains) on money held in trust
               
          losses (gains) on sales of fixed assets
               
          net decrease (increase) in trading assets
               
          net decrease (increase) in loans and bills discounted
               
          net decrease (increase) in call loans and bills bought and others
               
          net decrease (increase) in receivables under securities borrowing transactions
               
          net decrease
               
          proceeds from transfer of businesses
               
          proceeds from sales of subsidiaries’ equity affecting the scope of consolidation
         2,761,000,000      
          repayments to non-controlling shareholders
        838,000,000 -854,000,000      
          increase in cash and cash equivalents resulting from inclusion of subsidiaries in consolidation
               
          net income before attribution of noncontrolling interests
               
          adjustments to reconcile net income before attribution of noncontrolling interests to net cash from operating activities:
               
          provision for credit losses
               
          investment securities losses—net
               
          foreign exchange losses—net
               
          equity in earnings of equity method investees—net
               
          provision for deferred income tax expense
               
          increase in trading account assets, excluding foreign exchange contracts
               
          increase in trading account liabilities, excluding foreign exchange contracts
               
          increase in accrued interest receivable and other receivables
               
          decrease in accrued interest payable and other payables
               
          net increase in accrued income taxes and decrease in income tax receivables
               
          net decrease in collateral for derivative transactions
               
          decrease in cash collateral for the use of bank of japan’s settlement infrastructure
               
          other—net
               
          proceeds from sales of available-for-sale debt securities
               
          proceeds from maturities of available-for-sale debt securities
               
          purchases of available-for-sale debt securities
               
          proceeds from maturities of held-to-maturity debt securities
               
          purchases of held-to-maturity debt securities
               
          proceeds from sales and redemption of equity securities
               
          acquisition of hc consumer finance philippines, inc., a subsidiary of bk, net of cash acquired
               
          acquisition of mufg pension & market services holdings limited, a subsidiary of tb, net of cash acquired (note 2):
               
          purchases of equity securities
               
          net decrease in loans
               
          net decrease in call loans, funds sold, and receivables under resale agreements and securities borrowing transactions
               
          capital expenditures for premises and equipment
               
          purchases of intangible assets
               
          proceeds from sales of consolidated vies and subsidiaries—net
               
          net increase in call money, funds purchased, and payables under repurchase agreements and securities lending transactions
               
          net increase in due to trust account and other short-term borrowings
               
          proceeds from issuance of long-term debt
               
          repayments of long-term debt
               
          dividends paid
               
          payments for acquisition of treasury stock
               
          effect of exchange rate changes on cash and cash equivalents
               
          net decrease in cash and cash equivalents
               
          cash and cash equivalents at beginning of period
               
          cash and cash equivalents:
               
          cash, due from banks and interest-earning deposits in other banks
               
          restricted cash included in other assets
               
          cash and cash equivalents at end of period
               
          supplemental disclosure of cash flow information:
               
          cash paid during the period for:
               
          interest
               
          income taxes, net of refunds
               
          non-cash investing and financing activities:
               
          assets acquired under finance lease arrangements
               
          assets acquired under operating lease arrangements
               
          acquisition of hc consumer finance philippines, inc., a subsidiary of bk
               
          fair value of assets acquired, excluding cash and cash equivalents
               
          fair value of liabilities assumed
               
          acquisition of mufg pension & market services holdings limited, a subsidiary of tb
               
          dividend payment date:
               
          securities report issuing date:
               
          trading accounts:
               
          supplemental information for financial statements:
               
          investor meeting presentation:
               
          results of operations
               
          fiscal year ended
               
          march 31, 2024
               
          march 31, 2023
               
          comprehensive income
               
          financial conditions
               
          as of
               
          “equity-to-asset ratio” is computed under the formula shown below
               
          cash flows
               
          fiscal year
               
          ended march 31, 2023
               
          ended march 31, 2024
               
          ending march 31, 2024
               
          losses on pension buyout
               
          decrease in cash and cash equivalents resulting from exclusion of subsidiaries from consolidation
               
          provision for
               
          reversal of impairment of assets held for sale
               
          loss on valuation adjustment for loan held for sale
               
          benefit for deferred income tax expense
               
          increase in accrued interest payable and other payables
               
          net decrease in accrued income taxes and increase in income tax receivables
               
          acquisition of hc consumer finance philippines, inc., a subsidiary of krungsri, net of cash acquired
               
          net increase in call loans, funds sold, and receivables under resale agreements and securities borrowing transactions
               
          net decrease in due to trust account and other short-term borrowings
               
          cash and cash equivalents reclassified as assets held for sale and included in other assets
               
          reclassification of assets and liabilities in transferred business of mufg unionbank to assets and liabilities held for sale (note 2):
               
          assets reclassified, excluding cash and cash equivalents
               
          liabilities reclassified
               
          acquisition of hc consumer finance philippines, inc., a subsidiary of krungsri, (note 2):
               
          march 31, 2022
               
          (reference) shareholders’ equity as of march 31, 2023: 17,231,291 million yen ; march 31, 2022: 17,023,773 million yen (*)   “equity-to-asset ratio” is computed under the formula shown below (total net assets - non-controlling interests) / total assets    cash flows
               
          ended march 31, 2022
               
          payments for transfer of businesses
               
          decrease in cash and cash equivalents resulting from absorption via corporate separation
               
          increase in reserve for stock payment
               
          reversal of credit losses
               
          loss on valuation adjustment for loans held for sale
               
          foreign exchange gains—net
               
          decrease in trading account assets, excluding foreign exchange contracts
               
          decrease in accrued interest receivable and other receivables
               
          march 31, 2021
               
          (reference) shareholders’ equity as of march 31, 2022: 17,023,773 million yen ; march 31, 2021: 16,802,572 million yen (*)   “equity-to-asset ratio” is computed under the formula shown below (total net assets - non-controlling interests) / total assets    cash flows
               
          ended march 31, 2021
               
          ending march 31, 2023
               
          payments for acquisition of businesses
               
          impairment of goodwill
               
          provision for (reversal of) credit losses
               
          investment securities gains—net
               
          decrease in trading account liabilities, excluding foreign exchange contracts
               
          decrease in cash collateral for the use of the bank of japan’s settlement infrastructure
               
          proceeds from sales and maturities of available-for-sale debt securities
               
          march 31, 2020
               
          (reference) shareholders’ equity as of march 31, 2021: 16,802,572 million yen ; march 31, 2020: 15,990,834 million yen (*)   “equity-to-asset ratio” is computed under the formula shown below (total net assets - subscription rights to shares - non-controlling interests) / total assets    cash flows
               
          ended march 31, 2020
               
          ending march 31, 2022
               
          payments for redemption of preferred securities
         -468,956,000,000      
          march 31, 2019
               
          (reference) shareholders’ equity as of march 31, 2020: 15,990,834 million yen; march 31, 2019: 16,179,276 million yen (*)   “equity-to-asset ratio” is computed under the formula shown below (total net assets - subscription rights to shares - non-controlling interests) / total assets    cash flows
               
          ended march 31, 2019
               
          ending march 31, 2021
               
          impairment of intangible assets
               
          increase in collateral for derivative transactions
               
          increase in cash collateral for the use of bank of japan’s settlement infrastructure
               
          purchase of common stock in bank danamon, an equity method investee of bk
               
          acquisition of bank danamon, a subsidiary of bk, net of cash acquired
               
          acquisition of fsi (formerly, colonial first state global asset management), subsidiaries of tb, net of cash acquired
               
          net decrease (increase) in call loans, funds sold, and receivables under resale agreements and securities borrowing transactions
               
          net cash from (used in) investing activities
               
          acquisition of bank danamon, a subsidiary of bk
               
          fair value of noncontrolling interests
               
          acquisition of fsi
               
          march 31, 2018
               
          (reference) shareholders’ equity as of march 31, 2019: 16,179,276 million yen; march 31, 2018: 16,024,639 million yen (*)   “equity-to-asset ratio” is computed under the formula shown below (total net assets - subscription rights to shares - non-controlling interests) / total assets    cash flows
               
          ended march 31, 2018
               
          ending march 31, 2020
               
          net decrease in unsettled trading accounts
         -50,814,000,000      
          payments for transfer of business
              -388,447,000,000 
          repayments of subordinated borrowings redemption
         -50,592,000,000      
          dividend paid by mufg
           -251,497,000,000  -263,978,000,000 -216,106,000,000 
          dividend paid by subsidiaries to non-controlling shareholders
           -94,825,000,000    
          rreversal of credit losses
               
          proceeds from maturities of held-to-maturity securities
               
          purchases of held-to-maturity securities
               
          net decrease in due to trust account
               
          net increase in other short-term borrowings
               
          assets acquired under capital lease arrangements
               
          purchase of shares of mitsubishi ufj nicos from noncontrolling interest shareholder
               
          increase in other liabilities
               
          decrease in noncontrolling interests
               
          decrease in capital surplus
               
          increase in accumulated other comprehensive income, net of taxes
               
          net decrease in due from banks
         802,579,000,000  80,699,000,000  -13,003,581,000,000 -11,210,496,000,000 
          credit for credit losses
               
          proceeds from sales and maturities of available-for-sale securities
               
          purchases of available-for-sale securities
               
          proceeds from sales and redemption of other investment securities
               
          acquisition of mufg capital analytics llc (formerly capital analytics ii llc), a subsidiary of mutb, net of cash acquired
               
          purchase of common stock and preferred stock investment in security bank corporation, an equity method investee of btmu
               
          purchases of other investment securities
               
          net decrease in interest-earning deposits in other banks
               
          adoption of new guidance on consolidation of certain variable interest entities:
               
          increase in total assets, excluding cash and cash equivalents
               
          increase in total liabilities
               
          increase in noncontrolling interests
               
          proceeds from acquisition of subsidiaries’ equity affecting the scope of consolidation
               
          purchase of common stock and preferred stock investment in security bank, an affiliated company of btmu
               
          net increase in due to trust account
               
          payments for acquisition of shares of certain subsidiaries from noncontrolling interest shareholders
               
          income before income taxes
               
          depreciation
          -148,416,000,000 298,527,000,000  300,163,000,000 255,637,000,000 
          equity in losses of affiliates
           -230,415,000,000  -159,637,000,000 -112,470,000,000 
          increase in reserve for stock payments
               
          increase in money held in trust
          235,393,000,000 -641,740,000,000  -479,026,000,000 -1,657,637,000,000 
          decrease in money held in trust
          -323,192,000,000 672,854,000,000  576,140,000,000 1,483,685,000,000 
          payments for purchases of subsidiaries’ equity affecting the scope of consolidation
               
          increase in subordinated borrowings
          -7,000,000,000 38,000,000,000  55,000,000,000 44,000,000,000 
          decrease in subordinated borrowings
          56,000,000,000 -92,500,000,000  -74,800,000,000 -116,500,000,000 
          equity in losses (gains) of affiliates
               
          income before income taxes and others
           1,498,769,000,000  1,614,757,000,000 1,543,030,000,000 
          decrease related to purchases of subsidiaries’ equity affecting the scope of consolidation
             -1,015,000,000 -443,017,000,000 
          increase related to purchases of subsidiaries’ equity affecting the scope of consolidation
           218,639,000,000    
          increase related to sales of subsidiaries’ equity affecting the scope of consolidation
             67,952,000,000 2,399,000,000 
          increase in subordinated bonds payable and bonds with warrants
           793,218,000,000  190,000,000,000 48,751,000,000 
          decrease in subordinated bonds payable and bonds with warrants
           -294,460,000,000  -284,324,000,000 -663,502,000,000 
          decrease in redemption of preferred stocks
             -137,400,000,000  
          decrease related to purchases of subsidiaries’ equity not affecting the scope of consolidation
           -4,572,000,000  -29,463,000,000  
          net increase in interest-earning deposits in other banks
               
          payments for acquisition of preferred stock
               
          amortization of negative goodwill
              -1,591,000,000 
          proceeds from transfer of business
              53,033,000,000 
          purchases of equity of consolidated subsidiaries
              -43,000,000 
          proceeds from issuance of common stock to minority shareholders
             2,949,000,000 1,920,000,000 
          dividend paid by subsidiaries to minority shareholders
             -106,964,000,000 -95,763,000,000 
          repayments to minority shareholders
             -17,602,000,000 -10,454,000,000 
          increase in cash and cash equivalents due to absorption-type splits
              3,146,000,000 
          gains on negative goodwill
               
          increase in reserve for retirement benefits
               
          increase in net defined benefit assets
              35,323,000,000 
          proceeds from sales of equity of consolidated subsidiaries
               
          purchases of treasury stock by consolidated subsidiaries
               
          provision (credit) for credit losses
               
          proceeds from sales and maturities of investment securities available-for-sale
               
          purchases of investment securities available-for-sale
               
          proceeds from maturities of investment securities being held-to-maturity
               
          purchases of investment securities being held-to-maturity
               
          proceeds from sales of other investment securities
               
          acquisition of pb capital corporation’s institutional commercial real estate lending division
               
          purchase of common stock investment in vietinbank, an affiliated company of btmu
               
          acquisition of mitsubishi ufj fund services holdings limited (formerly butterfield fulcrum group), a subsidiary of mutb
               
          net increase in loans
               
          proceeds from a repayment of deposits with government-led loan restructuring program
               
          obtaining assets by entering into capital lease
               
          decrease in cash and cash equivalents due to deconsolidation of subsidiaries
               
          equity in losses of equity method investees—net
               
          gain on conversion rate adjustment of convertible preferred stock
               
          proceeds from sales and maturities of investment securities available for sale
               
          purchases of investment securities available for sale
               
          proceeds from maturities of investment securities being held to maturity
               
          purchases of investment securities being held to maturity
               
          conversion of morgan stanley’s convertible preferred stock
               
          disposition of treasury stock by consolidated subsidiaries
               
          decrease in cash and cash equivalents due to absorption-type splits
               
          exchange of ownership interest in mitsubishi ufj morgan stanley securities, co., ltd. for equity investment in morgan stanley mufg securities, co., ltd. in connection with securities joint venture
               
          noncontrolling interest in mitsubishi ufj morgan stanley securities, co., ltd.
               
          capital surplus
               
          adoption of new guidance on consolidation of certain variable interest entities
               
          union bank’s acquisitions
               
          fair value of assets acquired
               
          increase in allowance for losses on securities
               
          decrease related to sales of subsidiaries’ equity affecting the scope of consolidation
               
          proceeds from issuance of stocks
               
          transfer to investment securities being held to maturity from investment securities available for sale
               
          assets:
               
          cash and due from banks
               
          interest-earning deposits in other banks
               
          call loans and funds sold
               
          receivables under resale agreements
               
          receivables under securities borrowing transactions
               
          trading account assets
               
          investment securities:
               
          securities available for sale—carried at estimated fair value
               
          securities being held to maturity—carried at amortized cost
               
          other investment securities
               
          total investment securities
               
          loans, net of unearned income, unamortized premiums and deferred loan fees
               
          allowance for credit losses
               
          net loans
               
          premises and equipment—net
               
          accrued interest
               
          customers’ acceptance liability
               
          intangible assets—net
               
          goodwill
               
          deferred tax assets
               
          other assets
               
          total assets
               
          liabilities:
               
          deposits:
               
          domestic offices:
               
          non-interest-bearing
               
          interest-bearing
               
          overseas offices:
               
          total deposits
               
          call money and funds purchased
               
          payables under repurchase agreements
               
          payables under securities lending transactions
               
          due to trust account
               
          other short-term borrowings
               
          trading account liabilities
               
          obligations to return securities received as collateral
               
          bank acceptances outstanding
               
          long-term debt
               
          other liabilities
               
          total liabilities
               
          equity:
               
          mitsubishi ufj financial group shareholders’ equity:
               
          capital stock:
               
          preferred stock
               
          common stock
               
          retained earnings
               
          appropriated for legal reserve
               
          unappropriated retained earnings
               
          accumulated other changes in equity from nonowner sources, net of taxes
               
          treasury stock, at cost
               
          total mitsubishi ufj financial group shareholders’ equity
               
          noncontrolling interests
               
          total equity
               
          total liabilities and equity
               
          interest income:
               
          loans, including fees
               
          deposits in other banks
               
          dividends
               
          receivables under resale agreements and securities borrowing transactions
               
          total
               
          interest expense:
               
          deposits
               
          payables under repurchase agreements and securities lending transactions
               
          other short-term borrowings and trading account liabilities
               
          net interest income
               
          net interest income after provision for credit losses
               
          non-interest income:
               
          fees and commissions
               
          trading account profits(losses)—net
               
          gains on sales of loans
               
          other non-interest income
               
          non-interest expense:
               
          salaries and employee benefits
               
          occupancy expenses—net
               
          fees and commission expenses
               
          outsourcing expenses, including data processing
               
          depreciation of premises and equipment
               
          amortization of intangible assets
               
          insurance premiums, including deposit insurance
               
          communications
               
          taxes and public charges
               
          provision for repayment of excess interest
               
          other non-interest expenses
               
          income before income tax expense
               
          income tax expense
               
          net income attributable to noncontrolling interests
               
          net income attributable to mitsubishi ufj financial group
               
          income allocable to preferred shareholders:
               
          cash dividends paid
               
          beneficial conversion feature
               
          income allocable to preferred shareholders of mitsubishi ufj nicos co., ltd. :
               
          effect of induced conversion of mitsubishi ufj nicos co.,ltd. class 1 stock
               
          net income available to common shareholders of mitsubishi ufj financial group
               
          earnings per share applicable to common shareholders of mitsubishi ufj financial group:
               
          basic earnings per common share—net income available to common shareholders of mitsubishi ufj financial group
               
          diluted earnings per common share—net income available to common shareholders of mitsubishi ufj financial group
               
          increase in reserve for losses relating to business restructuring
               
          interest income recognized on statement of operations
               
          interest expenses recognized on statement of operations
               
          decrease in lease liabilities
               
          loss from discontinued operations—net
               
          increase in allowance for repayment of excess interest
               
          net decrease in collaterals for derivative transactions
               
          proceeds from sales of investment securities available for sale
               
          proceeds from maturities of investment securities available for sale
               
          purchases of common stock investment in acom co., ltd., an affiliated company of mufg
               
          proceeds from sales of premises and equipment
               
          repayment of long-term debt
               
          proceeds from issuance of common stock, net of stock issue expenses
               
          proceeds from issuance of new shares of preferred stock, net of stock issue expenses
               
          payments to acquire treasury stock
               
          dividends paid to noncontrolling interests
               
          payments related to privatization of unionbancal corporation
               
          cash and cash equivalents at beginning of fiscal year
               
          cash and cash equivalents at end of fiscal year
               
          cash paid during the fiscal year for:
               
          acquisition of noncontrolling interests in mitsubishi ufj securities co., ltd. in exchange for treasury stock
               
          acquisition of noncontrolling interests in mitsubishi ufj nicos co., ltd. in exchange for treasury stock
               
          transfer to securities from loans resulting from securitizations
               
          transfer to trading account assets from investment securities available for sale
               
          transfer to investment securities being held to maturity from trading account assets
               
          union bank’s term borrowing issued in its fiscal year ended december 31, 2008, but settled on january 2, 2009
               
          exchange of shares in senshu bank for shares in senshu ikeda holdings, inc.
               
          acquisition of shares of senshu ikeda holdings, inc. recorded at fair value
               
          deconsolidation of senshu bank at book value
               
          cash paid (refunded) during the period for:
               
          other
               
          proceeds from business divestitures
               
          proceeds from sales of treasury stock by consolidated subsidiaries
               
          net income
               
          adjustments to reconcile net income to net cash from operating activities:
               
          payments for redemption of preferred stock issued by a subsidiary
               
          dividends paid to minority interests
               
          acquisition of minority interests in mitsubishi ufj securities co., ltd. in exchange for treasury stock
               
          acquisition of minority interests in mitsubishi ufj nicos co., ltd. in exchange for treasury stock
               
          union bank's term borrowing issued in its fiscal year ended december 31, 2008, but settled on january 2, 2009
               
          net decrease in deposits
               
          increase in allowance for losses on investment securities
               
          increase in reserve for losses related to business restructuring
               
          interest income recognized on statements of income
               
          interest expenses recognized on statements of income
               
          losses on investment securities
               
          net increase in commercial paper
               
          net increase in issuance and redemption of short-term corporate bonds
               
          net increase in issuance and redemption of unsubordinated bonds and notes
               
          purchases of investment securities
               
          proceeds from sales of investment securities
               
          proceeds from redemption of investment securities
               
          additional purchases of equity of consolidated subsidiaries
               
          increase in subordinated bonds and notes and bonds with warrants
               
          decrease in subordinated bonds and notes and bonds with warrants
               
          purchases of common stock from minority shareholders
               
          decrease in redemption of preferred stock
               
          cash and cash equivalents at the beginning of the fiscal year
               
          increase in cash and cash equivalents due to consolidation of subsidiaries
               
          increase in cash and cash equivalents due to merger of consolidated subsidiaries
               
          cash and cash equivalents at the end of the fiscal period
               
          government grant for transfer of substitutional portion of employees’ pension fund plans
               
          cash acquired by the merger with ufj holdings, inc.—net
               
          cash acquired due to increase of consolidated subsidiaries
               
          proceeds from sales of preferred stock issued by a subsidiary
               
          payments for redemption of preferred stock
               
          merger with ufj holdings, inc. by stock-for-stock exchanges
               
          non-cash assets acquired at fair value
               
          liabilities assumed at fair value
               
          net
               
          stocks issued in connection with the merger with ufj holdings, inc.
               
          provision for deferred income taxes
               
          net decrease in other short-term borrowings
               
          increase in reserve for employees’ bonuses
               
          increase in reserve for bonuses to directors and corporate auditors
               
          increase in reserve for retirement benefits to directors and corporate auditors
               
          goodwill amortization
               
          increase in allowance for loan losses
               
          increase in reserve for bonuses for directors and corporate auditors
               
          increase in reserve for employees’ retirement benefits
               
          increase in reserve for expenses related to expo 2005 japan
               
          interest income recognized on statements of operations
               
          interest expenses recognized on statements of operations
               
          losses on sales of premises and equipment
               
          purchases of premises and equipment
               
          purchases of equity of subsidiaries that are added to consolidation
               
          proceeds from sales of equity of subsidiaries that are excluded from consolidation
               
          dividend paid by the parent
               
          increase in cash and cash equivalents due to merger
               
          cash and cash equivalents at the end of the fiscal year
               
          purchases of preferred stock investment in ufj bank limited
               
          purchases of common stock investment in acom co., ltd.
               
          decrease in debentures
               
          non-cash investing activities:
               
          issuance of new shares of common stock in exchange for the shares of diamond computer service co., ltd.
               
          non-cash financing activities:
               
          equity in loss (earnings) of affiliates
               
          increase in reserve for directors’ bonuses
               
          increase in reserve for possible losses related to land trust
               
          investment securities losses
               
          losses on fixed assets
               
          proceeds from maturities of investment securities
               
          proceeds from sales of equity of subsidiaries resulting exclusion from consolidation
               
          cash and cash equivalents at end of (interim) fiscal year
               
          increase in reserve for losses on supports of specific borrowers
               
          net increase in debentures
               
          decrease in transfer of operations by consolidated subsidiaries
               
          purchases of consolidated subsidiaries
               
          proceeds from issuance of common stock
               
          dividends paid by the parent
               
          dividends paid by subsidiaries to minority shareholders
               
          income from discontinued operations—net
               
          purchases of preferred stock investment in ex-ufj bank limited
               
          available-for-sale securities transferred to held-to-maturity category
               
          marketable equity securities transferred to employee retirement benefit trusts
               
          cumulative effect of change in accounting principle, net of taxes
               
          provision for loan losses
               
          decrease in trading account assets, including foreign exchange contracts
               
          decrease in trading account liabilities, including foreign exchange contracts
               
          decrease in accrued interest and other receivables
               
          increase in accrued interest and other payables
               
          net decrease in call loans, funds sold, and receivables under reverse repurchase agreements and securities borrowing transactions
               
          net decrease in call money, funds purchased, and payables under repurchase agreements and securities lending transactions
               
          proceeds from preferred stock issued by subsidiaries
               
          cash and cash equivalents due to the initial consolidation of variable interest entities pursuant to the adoption of fin 46r
               
          supplemental disclosure of cash flow information
               
          proceeds from issuance of new shares of common stock, net of stock issue expenses