SEC Filing Summary: Form 13F Information Table
Business Context and Reporting Period
Company: MITSUBISHI UFJ FINANCIAL GROUP INC
Filing Type: Form 13F Information Table
Reporting Period: The filing metadata indicates a period of 2026 Jun 30. However, the provided text content does not explicitly state the reporting period date, only the form type and issuer details.
Context: This filing discloses the equity securities held by the reporting manager (Mitsubishi UFJ Financial Group Inc) as of the end of the reporting period. It is a regulatory disclosure of investment holdings, not a financial performance report.
Key Financial Metrics
The Form 13F filing does not contain the company's own financial performance metrics (revenue, profit, cash flow, margins, debt, or liquidity). Instead, it lists specific investment holdings. The only financial data present in the provided text relates to a single holding:
| Issuer | Title of Class | Value (USD) | Shares/Principal Amount | Voting Authority |
|---|---|---|---|---|
| Morgan Stanley | COM | $78,825,883,310 | 377,085,167 | Sole |
Note: The filing text does not provide a clear value for the total portfolio value or other holdings beyond the single entry shown.
Material Changes
The provided text contains only a snapshot of holdings for the current period. It does not include comparative data from the prior period; therefore, material changes in holdings or values cannot be determined from this source text.
Guidance, Outlook, and Risks
Guidance and Outlook: Not applicable. Form 13F filings are historical disclosures of holdings and do not contain forward-looking guidance or management commentary on business strategy.
Risks and Contingencies: The filing includes a standard disclaimer stating that the SEC has not reviewed the information and has not determined if it is accurate or complete. No specific business risks or contingencies are detailed in the provided text.
Unusual Items: The filing lists a significant position in Morgan Stanley with sole voting authority. No other unusual items are described in the text.
Key Facts for Investor Verification
- Verify the actual reporting period date, as the text content does not explicitly confirm the "2026 Jun 30" date found in the metadata.
- Confirm if the single holding listed (Morgan Stanley) represents the entire portfolio or if the provided text is an excerpt of a larger table.
- Check the total value of the portfolio against the single disclosed value of $78.8 billion to assess the completeness of the data provided.
- Review the full Form 13F filing to identify any other significant holdings not included in this text snippet.