<menuitem id="elsyg"><dfn id="elsyg"></dfn></menuitem>
  • <bdo id="elsyg"></bdo>
    Debt and Capital Securities InformationDebt and Capital Securities Information

    Debt and Capital Securities Information

    Senior Unsecured

    ISIN(note) Type
    (Issue#)
    Issue Date Maturity
    Date
    First Call
    Date
    Coupon Currency Issue
    Amount
    (mn)
    Outstanding
    Amount
    (mn)
    Tap
    US606822AB07 (PDF / 539KB) SEC 2016/3/1 2021/3/1 - 3m USD LIBOR
    +1.88%
    USD 900 750 yes
    US606822AA24 (PDF / 539KB) SEC 2016/3/1 2021/3/1 - 2.950% USD 3,100 2,250 yes
    US606822AD62 (PDF / 539KB) SEC 2016/3/1 2026/3/1 - 3.850% USD 3,000 3,000 yes
    US606822AF11 (PDF / 416KB) SEC 2016/9/13 2021/9/13 - 3m USD LIBOR
    +1.06%
    USD 1,000 1,000 -
    US606822AG93 (PDF / 416KB) SEC 2016/9/13 2021/9/13 - 2.190% USD 1,500 1,500 -
    US606822AH76 (PDF / 416KB) SEC 2016/9/13 2023/9/13 - 2.527% USD 500 500 -
    US606822AJ33 (PDF / 416KB) SEC 2016/9/13 2026/9/13 - 2.757% USD 1,000 1,000 -
    XS1558029366 (PDF / 104KB) RegS 2017/1/30 2021/1/30 - 0.400% EUR 200 200 -
    JP390290AHE6 (PDF / 260KB) #1 USD (PP) 2017/2/13 2022/2/14 - 2.845% USD 200 200 -
    US606822AK06 (PDF / 408KB) SEC 2017/2/22 2022/2/22 - 3m USD LIBOR
    +0.92%
    USD 500 500 -
    US606822AL88 (PDF / 408KB) SEC 2017/2/22 2022/2/22 - 2.998% USD 1,000 1,000 -
    US606822AN45 (PDF / 408KB) SEC 2017/2/22 2027/2/22 - 3.677% USD 1,000 1,000 -
    US606822AQ75 (PDF / 398KB) SEC 2017/7/25 2022/7/25 - 3m USD LIBOR
    +0.79%
    USD 1,000 1,000 -
    US606822AP92 (PDF / 398KB) SEC 2017/7/25 2022/7/25 - 2.665% USD 2,000 2,000 -
    US606822AR58 (PDF / 398KB) SEC 2017/7/25 2027/7/25 - 3.287% USD 1,000 1,000 -
    XS1650061192 (PDF / 132KB) RegS 2017/7/25 2027/7/25 - 4.050% AUD 92 92 -
    XS1675764945 (PDF / 321KB) RegS 2017/9/7 2024/9/7 - 0.872% EUR 750 750 -
    XS1693874197 (PDF / 144KB) RegS 2017/10/4 2032/10/4 - 1.748% EUR 100 100 -
    XS1707815541 (PDF / 144KB) RegS 2017/10/27 2029/10/27 - 1.496% EUR 50 50 -
    XS1713661277 (PDF / 144KB) RegS 2017/11/9 2032/11/9 - 1.638% EUR 80 80 -
    XS1720961074 (PDF / 104KB) RegS 2017/11/21 2029/11/21 - 1.467% EUR 50 50 -
    JP390290AHP2 (PDF / 256KB) #2 USD (PP) 2017/11/28 2027/11/28 - 3.413% USD 180 180 -
    XS1738986576 (PDF / 104KB) RegS 2017/12/21 2027/12/21 - 3.770% AUD 124 124 -
    XS1751072403 (PDF / 116KB) RegS 2018/1/16 2033/1/16 - 1.565% EUR 40 40 -
    XS1758752635 (PDF / 172KB) RegS 2018/1/26 2023/1/26 - 0.680% EUR 500 500 -
    US606822AS32 (PDF / 422KB) SEC 2018/3/2 2023/3/2 - 3m USD LIBOR
    +0.74%
    USD 750 750 -
    US606822AT15 (PDF / 422KB) SEC 2018/3/2 2023/3/2 - 3.455% USD 1,500 1,500 -
    US606822AU87 (PDF / 422KB) SEC 2018/3/2 2025/3/2 - 3.777% USD 750 750 -
    US606822AV60 (PDF / 422KB) SEC 2018/3/2 2028/3/2 - 3.961% USD 1,300 1,300 yes
    XS1807196792 (PDF / 1.06MB) RegS 2018/4/13 2028/4/13 - 1.565% EUR 50 50 -
    XS1814985872 (PDF / 296KB) RegS 2018/5/8 2025/5/8 - 3.550% HKD 302 302 -
    XS1828132735 (PDF / 71KB) RegS 2018/5/30 2023/5/30 - 3m EURIBOR
    +0.55%
    EUR 350 350 -
    US606822AX27 (PDF / 604KB) SEC 2018/7/26 2021/7/26 - 3m USD LIBOR
    +0.65%
    USD 750 750 -
    US606822AW44 (PDF / 604KB) SEC 2018/7/26 2021/7/26 - 3.535% USD 750 750 -
    US606822AZ74 (PDF / 604KB) SEC 2018/7/26 2023/7/26 - 3m USD LIBOR
    +0.86%
    USD 1,650 1,650 yes
    US606822BA15 (PDF / 604KB) SEC 2018/7/26 2023/7/26 - 3.761% USD 2,150 2,150 yes
    US606822BB97 (PDF / 604KB) SEC 2018/7/26 2038/7/26 - 4.286% USD 500 500 -
    US606822BC70 (PDF / 575KB) SEC 2018/9/11 2028/9/11 - 4.050% USD 1,000 1,000 -
    XS1890709774 (PDF / 202KB) RegS 2018/10/9 2023/10/9 - 0.980% EUR 500 500 -
    XS1897618135 (PDF / 204KB) RegS 2018/10/25 2028/10/25 - 1.710% EUR 100 100 -
    JP390290AJC6 (PDF / 132KB) #1 USD 2018/12/18 2028/12/18 - 4.127% USD 120 120 -
    US606822BF02 (PDF / 400KB) SEC 2019/3/7 2022/3/7 - 3m USD LIBOR
    +0.70%
    USD 500 500 -
    US606822BG84 (PDF / 400KB) SEC 2019/3/7 2022/3/7 - 3.218% USD 1,500 1,500 -
    US606822BD53 (PDF / 400KB) SEC 2019/3/7 2024/3/7 - 3.407% USD 1,500 1,500 -
    US606822BH67 (PDF / 400KB) SEC 2019/3/7 2029/3/7 - 3.741% USD 1,500 1,500 -
    US606822BE37 (PDF / 400KB) SEC 2019/3/7 2039/3/7 - 4.153% USD 500 500 -
    US606822BL79 (PDF / 408KB) SEC 2019/7/18 2022/7/18 - 2.623% USD 2,250 2,250 -
    US606822BJ24 (PDF / 408KB) SEC 2019/7/18 2024/7/18 - 2.801% USD 1,000 1,000 -
    US606822BM52 (PDF / 408KB) SEC 2019/7/18 2029/7/18 - 3.195% USD 1,750 1,750 -
    US606822BK96 (PDF / 408KB) SEC 2019/7/18 2039/7/18 - 3.751% USD 1,500 1,500 -
    XS2028899727 (PDF / 140KB) RegS 2019/7/19 2024/7/19 - 0.339% EUR 500 500 -
    XS2028900087 (PDF / 140KB) RegS 2019/7/19 2029/7/19 - 0.848% EUR 500 500 -

    Tier2

    ISIN(note) Type
    (Issue#)
    Issue Date Maturity
    Date
    First Call
    Date
    Coupon Currency Issue
    Amount
    (mn)
    Outstanding
    Amount
    (mn)
    Tap
    JP390290AE63 (PDF / 148KB) #1 2014/6/26 2024/6/26 - 0.940% JPY 40,000 40,000 -
    JP390290BE62 (PDF / 148KB) #2 2014/6/26 2024/6/26 2019/6/26 0.66% JPY 10,000 10,000 -
    JP390290AF39 (PDF / 132KB) #3 2015/3/5 2025/3/5 - 0.724% JPY 23,000 23,000 -
    JP390290BF38 (PDF / 132KB) #4 2015/3/5 2025/3/5 2020/3/5 0.58% JPY 17,000 17,000 -
    JP390290AF62 (PDF / 143KB) #5 2015/6/18 2025/6/18 - 0.972% JPY 30,000 30,000 -
    JP390290BF61 (PDF / 143KB) #6 2015/6/18 2025/6/18 2020/6/18 0.63% JPY 20,000 20,000 -
    JP390290CF60 (PDF / 143KB) #7 2015/6/18 2030/6/18 - 1.393% JPY 15,000 15,000 -
    JP390290AF70 (PDF / 112KB) #8 2015/7/30 2025/7/30 2020/7/30 0.61% JPY 80,000 80,000 -
    JP390290AG38 (PDF / 118KB) #9 2016/3/14 2026/7/13 2021/7/13 0.35% JPY 200,000 200,000 -
    JP390290AG46 (PDF / 110KB) #10 2016/4/28 2026/4/28 - 0.535% JPY 35,000 35,000 -
    JP390290AG79 (PDF / 157KB) #11 2016/7/29 2026/7/29 - 0.366% JPY 106,000 106,000 -
    JP390290BG78 (PDF / 157KB) #12 2016/7/29 2026/7/29 2021/7/29 0.30% JPY 114,000 114,000 -
    JP390290AH37 (PDF / 159KB) #13 2017/3/2 2027/7/26 - 0.652% JPY 50,000 50,000 -
    JP390290BH36 (PDF / 159KB) #14 2017/3/2 2027/7/26 2022/7/26 0.50% JPY 100,000 100,000 -
    JP390290AH94 (PDF / 158KB) #15 2017/9/15 2028/1/12 - 0.546% JPY 64,000 64,000 -
    JP390290BH93 (PDF / 158KB) #16 2017/9/15 2028/1/12 2023/1/12 0.44% JPY 256,000 256,000 -
    JP390290AJ50 (PDF / 156KB) #17 2018/5/31 2028/5/31 - 0.535% JPY 40,000 40,000 -
    JP390290BJ59 (PDF / 156KB) #18 2018/5/31 2028/5/31 2023/5/31 0.37% JPY 60,000 60,000 -
    JP390290AJA0 (PDF / 134KB) #19 2018/10/31 2028/10/31 2023/10/31 0.36% JPY 35,000 35,000 -

    Additional Tier1

    ISIN(note) Type
    (Issue#)
    Issue Date Maturity
    Date
    First Call
    Date
    Coupon Currency Issue
    Amount
    (mn)
    Outstanding
    Amount
    (mn)
    Tap
    JP390290AFA8 (PDF / 143KB) #2 2015/10/29 - 2026/1/15 2.50% JPY 150,000 150,000 -
    JP390290BG37 (PDF / 153KB) #3 2016/3/3 - 2026/7/15 1.94% JPY 300,000 300,000 -
    JP390290AGA6 (PDF / 215KB) #4 2016/10/24 - 2022/1/15 1.14% JPY 250,000 250,000 -
    JP390290BGA4 (PDF / 215KB) #5 2016/10/24 - 2027/7/15 1.40% JPY 150,000 150,000 -
    JP390290AHA4 (PDF / 216KB) #6 2017/10/23 - 2023/1/15 1.12% JPY 170,000 170,000 -
    JP390290BHA2 (PDF / 216KB) #7 2017/10/23 - 2028/7/15 1.34% JPY 150,000 150,000 -
    JP390290BJC4 (PDF / 221KB) #8 2018/12/18 - 2024/1/15 1.03% JPY 65,000 65,000 -
    JP390290CJC2 (PDF / 221KB) #9 2018/12/18 - 2029/1/15 1.23% JPY 90,000 90,000 -
    1. ISIN is linked to the Prospectus.

    Preferred Securities

    Table of Preferred Securities issued by subsidiaries of MUFG

    As of Jul. 25, 2019

    Date of issue Issuer Amount Maturity Dividend
    Jul. 29, 2009
    Issuer
    MUFG Capital Finance 9
    Limited
    (Cayman)
    Amount
    JPY
    240 bn
    (Sr.A JPY 130 bn
    Sr.B JPY 110 bn)
    Maturity
    Perpetual
    (Sr.A and B: callable after Jan. 2020)
    Dividend
    Sr. A and B: Noncumulative/Fixed and Variable

    Please refer to the following news releases for more details.

    MUFG Bank and Mitsubishi UFJ Trust and Banking
    Subordinated bonds (Eligible capital instruments for MUFG's Regulatory capital (not TLAC eligible))

    MUFG Bank

    ISIN(note) Type
    (Issue#)
    Issue Date Maturity
    Date
    First Call
    Date
    Coupon Currency Issue
    Amount
    (mn)
    Outstanding
    Amount
    (mn)
    Tap
    JP358920B4C3 (PDF / 44KB) #7 2004/12/22 2019/12/20 - 2.11% JPY 30,000 30,000 -
    JP358920B571 (PDF / 40KB) #9 2005/7/22 2020/7/22 - 2.01% JPY 20,000 20,000 -
    JP358920D9A4 (PDF / 381KB) #23 2009/10/16 2029/10/16 - 2.91% JPY 30,000 30,000 -
    JP358920AA96 (PDF / 307KB) #24 2010/9/27 2030/9/27 - 2.27% JPY 25,000 25,000 -
    JP358920AAB9 (PDF / 334KB) #25 2010/11/12 2020/11/12 - 1.31% JPY 55,000 55,000 -
    JP358920BAB7 (PDF / 334KB) #26 2010/11/12 2025/11/12 - 1.95% JPY 42,000 42,000 -
    JP358920CAB5 (PDF / 334KB) #27 2010/11/12 2030/11/12 - 2.28% JPY 23,000 23,000 -
    JP358920AB12 (PDF / 333KB) #28 2011/1/20 2021/1/20 - 1.56% JPY 65,000 65,000 -
    JP358920BB11 (PDF / 333KB) #29 2011/1/20 2026/1/20 - 2.16% JPY 20,000 20,000 -
    JP358920CB10 (PDF / 333KB) #30 2011/1/20 2031/1/20 - 2.46% JPY 16,000 16,000 -
    JP358920AB61 (PDF / 353KB) #32 2011/6/9 2021/6/9 - 1.62% JPY 50,000 50,000 -
    JP358920BB60 (PDF / 353KB) #33 2011/6/9 2026/6/9 - 2.21% JPY 20,000 20,000 -
    JP358920CC19 (PDF / 266KB) #35 2012/1/26 2022/1/26 - 1.52% JPY 65,000 65,000 -
    JP358920AC52 (PDF / 293KB) #37 2012/5/31 2022/5/31 - 1.39% JPY 60,000 60,000 -

    Mitsubishi UFJ Trust and Banking

    ISIN(note) Type
    (Issue#)
    Issue Date Maturity
    Date
    First Call
    Date
    Coupon Currency Issue
    Amount
    (mn)
    Outstanding
    Amount
    (mn)
    Tap
    JP389880AA32 (PDF / 411KB) #6 2010/3/2 2020/3/2 - 1.90% JPY 30,000 30,000 -
    JP389880AA65 (PDF / 396KB) #7 2010/6/8 2020/6/8 - 1.59% JPY 30,000 30,000 -
    JP389880AAA0 (PDF / 299KB) #8 2010/10/28 2025/10/28 - 1.92% JPY 20,000 20,000 -
    JP389880AB49 (PDF / 332KB) #9 2011/4/28 2021/4/28 - 1.68% JPY 30,000 30,000 -
    JP389880ABB6 (PDF / 390KB) #10 2011/11/11 2021/11/11 - 1.52% JPY 40,000 40,000 -
    JP389880BC62 (PDF / 458KB) #11 2012/6/27 2022/6/27 - 1.36% JPY 80,000 80,000 -
    1. ISIN is linked to the Prospectus.
    插逼视频