Risk-Adjusted Capital Ratio Based on the Basel 3 Standards for the Third Quarter Ended December 31, 2016

TOKYO--()--

     

Mitsubishi UFJ Financial Group, Inc.

   

Risk-Adjusted Capital Ratio Based on the Basel 3 Standards for the Third Quarter Ended December 31, 2016

 
Tokyo, February 14, 2017 --- Mitsubishi UFJ Financial Group, Inc. hereby announces the risk-adjusted capital ratio
based on the Basel 3 standards for the third quarter ended December 31, 2016 as stated below.
 
Mitsubishi UFJ Financial Group, Inc. (Consolidated)
                                    (in billions of yen)

As of
December 31,2016
(A)

As of
March 31,2016
(B)

As of
September 30,
2016

 

 

 

 

Increase
(Decrease)
                      (A) - (B)
(1) Total capital ratio (4) / (7) 15.46% (0.54%) 16.01% 16.56%
(2) Tier 1 capital ratio (5) / (7) 12.74% (0.50%) 13.24% 13.50%
(3) Common Equity Tier 1 capital ratio (6) / (7) 11.22% (0.41%) 11.63% 12.20%
(4) Total capital 17,781.8 (159.9) 17,941.8 17,424.3
(5) Tier 1 capital 14,651.4 (187.7) 14,839.2 14,205.5
(6) Common Equity Tier 1 capital 12,906.2 (133.5) 13,039.8 12,839.4
(7) Risk weighted assets 114,991.0 2,926.6 112,064.3 105,206.2
(8) Required Capital (7) × 8%             9,199.2   234.1   8,965.1   8,416.4
 
The Bank of Tokyo-Mitsubishi UFJ, Ltd. (Consolidated)
                                    (in billions of yen)

As of
December 31,2016
(A)

As of
March 31,2016
(B)

As of
September 30,
2016

 

 

 

 

Increase
(Decrease)
                      (A) - (B)
(1) Total capital ratio (4) / (7) 14.95% (0.70%) 15.66% 16.20%
(2) Tier 1 capital ratio (5) / (7) 12.09% (0.62%) 12.71% 12.93%
(3) Common Equity Tier 1 capital ratio (6) / (7) 10.57% (0.51%) 11.08% 11.64%
(4) Total capital 13,935.4 (77.7) 14,013.2 13,545.6
(5) Tier 1 capital 11,265.8 (109.3) 11,375.2 10,816.6
(6) Common Equity Tier 1 capital 9,847.3 (70.3) 9,917.7 9,733.5
(7) Risk weighted assets 93,161.1 3,704.5 89,456.6 83,596.9
(8) Required Capital (7) × 8%             7,452.8   296.3   7,156.5   6,687.7
 
Mitsubishi UFJ Trust and Banking Corporation (Consolidated)
                                    (in billions of yen)

As of
December 31,2016
(A)

As of
March 31,2016
(B)

As of
September 30,
2016

 

 

 

 

Increase
(Decrease)
                      (A) - (B)
(1) Total capital ratio (4) / (7) 19.46% (0.51%) 19.97% 20.43%
(2) Tier 1 capital ratio (5) / (7) 16.39% (0.42%) 16.82% 17.15%
(3) Common Equity Tier 1 capital ratio (6) / (7) 15.36% (0.64%) 16.01% 16.38%
(4) Total capital 2,423.8 52.7 2,371.0 2,359.8
(5) Tier 1 capital 2,042.1 45.5 1,996.6 1,981.4
(6) Common Equity Tier 1 capital 1,913.7 13.1 1,900.6 1,891.9
(7) Risk weighted assets 12,452.5 584.2 11,868.3 11,549.4
(8) Required Capital (7) × 8%             996.2   46.7   949.4   923.9
 
The Bank of Tokyo-Mitsubishi UFJ, Ltd. (Non-Consolidated)
                                    (in billions of yen)

As of
December 31,2016
(A)

As of
March 31,2016
(B)

As of
September 30,
2016

 

 

 

 

Increase
(Decrease)
                      (A) - (B)
(1) Total capital ratio (4) / (7) 16.39% (1.11%) 17.51% 18.37%
(2) Tier 1 capital ratio (5) / (7) 13.27% (0.97%) 14.25% 14.73%
(3) Common Equity Tier 1 capital ratio (6) / (7) 11.35% (0.95%) 12.30% 12.97%
(4) Total capital 13,032.2 198.9 12,833.3 12,819.0
(5) Tier 1 capital 10,554.4 107.7 10,446.7 10,279.9
(6) Common Equity Tier 1 capital 9,024.5 5.0 9,019.4 9,050.2
(7) Risk weighted assets 79,489.8 6,211.9 73,277.9 69,770.1
(8) Required Capital (7) × 8%             6,359.1   496.9   5,862.2   5,581.6
 
Mitsubishi UFJ Trust and Banking Corporation (Non-Consolidated)
                                    (in billions of yen)
 

As of
December 31,2016
(A)

As of
March 31,2016
(B)

As of
September 30,
2016

 

 

 

 

Increase
(Decrease)
                      (A) - (B)
(1) Total capital ratio (4) / (7) 20.55% (0.52%) 21.08% 21.81%
(2) Tier 1 capital ratio (5) / (7) 17.12% (0.32%) 17.45% 18.07%
(3) Common Equity Tier 1 capital ratio (6) / (7) 15.92% (0.65%) 16.58% 17.17%
(4) Total capital 2,446.6 87.9 2,358.7 2,372.4
(5) Tier 1 capital 2,038.2 85.3 1,952.9 1,965.6
(6) Common Equity Tier 1 capital 1,895.6 40.1 1,855.5 1,867.7
(7) Risk weighted assets 11,901.2 713.1 11,188.1 10,874.5
(8) Required Capital (7) × 8%             952.0   57.0   895.0   869.9
 
Notes:
Risk-adjusted capital ratio of Mitsubishi UFJ Financial Group, Inc. is computed in accordance with the Notification
of the Financial Services Agency No.20, 2006.
Risk-adjusted capital ratio of The Bank of Tokyo-Mitsubishi UFJ, Ltd. and Mitsubishi UFJ Trust and Banking
Corporation are computed in accordance with the Notification of the Financial Services Agency No.19, 2006.
 
 
Contact:
Mitsubishi UFJ Financial Group, Inc.
Corporate Communications Division
Media Relations Office
81-3-3240-7651

Short Name: Bnk Tokyo-Mitsubishi
Category Code: MSCL
Sequence Number: 577516
Time of Receipt (offset from UTC): 20170214T071849+0000

Contacts

The Bank of Tokyo-Mitsubishi UFJ, Ltd

Contacts

The Bank of Tokyo-Mitsubishi UFJ, Ltd