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Mitsubishi UFJ Financial Group Inc ADR
Mitsubishi UFJ Financial Group Inc ADR

Mitsubishi UFJ Financial Group Inc ADR (MUFG)

24HВысокий$22.6824HНизкий$22.52
$22.63
+0.00%

Последнее обновление: 2026-07-24 10:23:27

Симуляция графика K-линий, фактические данные указаны на торговой странице

Ключевые данные

Открытие вчера
$22.63
Пред. закрытие
$22.63
Вчерашний диапазон
$22.52 - $22.68
Диапазон 52 нед.
$13.26 - $22.83
Объем торговли
3.285M
МС
$252.715B
P/E
16.9x
EPS
$1.33

Обзор компании

NYSE

Mitsubishi UFJ Financial Group, Inc., a banking holding company, offers financial services in Japan, the United States, and Asia / Oceania. The company is headquartered in Tokyo, Japan.

СекторFINANCIAL SERVICES
ОтрасльBANKS - DIVERSIFIED
Штаб-квартира1-4-5, MARUNOUCHI, CHIYODA, JAPAN, 100-8330
СтранаUSA
Дата листинга2001-04-01
Конец финансового года2026-03-31
Акции в обращении11.277B
Код CIK67088

Финансовые показатели

Индикатор2026-03-312025-12-312025-09-302025-06-30
Доход$3590.292B$3401.897B$3261.395B$2953.079B
Операционные расходы$1498.478B$1646.062B$1441.396B$1378.756B
Чистая прибыль$624.995B$520.553B$746.887B$546.068B
Чистая рентабельность17.4%15.3%22.9%18.5%
Прибыль на акцию--------
EBITDA$841.385B$725.436B$1041.903B$728.615B
Эффективная налоговая ставка22.0%23.9%24.9%20.2%

Часто задаваемые вопросы

MUFG stands for Mitsubishi UFJ Financial Group, a leading financial institution headquartered in Japan. It operates in the financial services sector, providing a range of banking, investment, and asset management services to individuals, corporations, and governments globally. The company is one of the largest banks in the world by assets and has a significant presence in international markets, including the United States.
MUFG serves sectors including corporate banking, retail banking, investment banking, and asset management. It generates revenue from interest income on loans, fees from financial services, and market-related activities such as securities trading. While it has a global footprint, a significant portion of its revenue is derived from operations in Japan, the United States, and Asia.
MUFG's growth opportunities include expansion in emerging markets, leveraging digital banking technologies, and increasing its presence in investment banking and wealth management. Additionally, its strong capital base allows it to pursue strategic acquisitions. However, risks such as regulatory changes, low global interest rates, and economic uncertainty in key regions could impact its growth.
MUFG competes with other major global banks such as JPMorgan Chase, HSBC, and Bank of America. It differentiates itself through its extensive presence in Asia and a focus on risk management, but it may face challenges in achieving the same profitability levels as some U.S. peers due to Japan's low-interest-rate environment.
Yes, MUFG pays dividends to its shareholders. Its dividend policy aims to provide stable and sustainable payouts while maintaining financial stability and supporting growth initiatives. Dividend amounts vary based on profitability and market conditions, and investors may refer to the company’s recent earnings reports for detailed information.
Key risks for MUFG include exposure to global economic uncertainty, currency fluctuations, and low interest rates in its primary markets, particularly Japan. Additionally, regulatory challenges and competition in the financial services sector could impact its profitability. Investors should also consider geopolitical risks that may affect its operations in international markets.
MUFG has invested in digital banking initiatives, partnering with fintech companies and enhancing its online banking platform to meet evolving customer demands. Its focus on technology helps improve efficiency and customer experience, but it also competes with innovative digital-first competitors, requiring ongoing investments in this area.
MUFG’s valuation is influenced by factors such as interest rate trends, its profitability metrics including return on equity, and macroeconomic conditions in Japan and other key markets. Additionally, investor sentiment regarding global financial institutions and the relative performance of competitors in the sector play a role in determining market valuation.
Предупреждение о рисках
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