av/sumitomo-mitsui--big.svg

JP:CO:SMFG

Sumitomo Mitsui Financial Group (SMFG)

  • Stock

Last Close

3,599.00

22/11 06:45

Market Cap

14.32T

Beta: -

Volume Today

12.31M

Avg: -

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Mar '14
Mar '15
Mar '16
Mar '17
Mar '18
Mar '19
Mar '20
Mar '21
Mar '22
Mar '23
Mar '24
net income
1.31T
-
1.31T
0.24%
980.17B
25.14%
979.30B
0.09%
1.11T
13.23%
1.12T
1.33%
888.65B
20.91%
672.24B
24.35%
929.59B
38.28%
1.10T
18.17%
962.95B
12.34%
depreciation and amortization
219.09B
-
248.72B
13.52%
266.02B
6.96%
304.26B
14.38%
306.76B
0.82%
294.93B
3.86%
226.73B
23.12%
227.18B
0.20%
241.92B
6.49%
267.93B
10.75%
293.07B
9.38%
deferred income tax
695.24B
-
969.88B
39.50%
331.34B
65.84%
474.29B
43.14%
420.75B
11.29%
stock based compensation
304M
-
316M
3.95%
383M
21.20%
1.30B
238.38%
1.44B
10.96%
change in working capital
6.49T
-
7.80T
20.03%
-1.78T
122.78%
4.20T
336.31%
8.65T
106.21%
3.33T
61.57%
5.91T
77.87%
19.09T
222.79%
1.73T
90.94%
-6.07T
450.90%
4.45T
173.33%
accounts receivables
inventory
accounts payables
other working capital
6.49T
-
7.80T
20.03%
-1.78T
122.78%
4.20T
336.31%
8.65T
106.21%
3.33T
61.57%
5.91T
77.87%
19.09T
222.79%
1.73T
90.94%
-6.07T
450.90%
4.18T
168.91%
other non cash items
-1.04T
-
-1.11T
7.53%
-597.76B
46.32%
-965.49B
61.52%
-725.80B
24.83%
-842.86B
16.13%
-912.54B
8.27%
-1.53T
67.29%
-1.83T
19.93%
-1.62T
11.71%
-259.16B
83.97%
net cash provided by operating activities
6.98T
-
8.24T
17.98%
-1.13T
113.68%
4.51T
500.46%
9.34T
106.96%
4.60T
50.80%
7.09T
54.20%
18.80T
165.20%
1.55T
91.78%
-5.90T
481.46%
4.86T
182.44%
investments in property plant and equipment
-590.53B
-
-724.06B
22.61%
-688.04B
4.97%
-641.11B
6.82%
-848.64B
32.37%
-649.54B
23.46%
-250.84B
61.38%
-324.71B
29.45%
-288.19B
11.25%
-299.13B
3.80%
-391.88B
31.01%
acquisitions net
37.60B
-
-58M
100.15%
2.26T
3,890,258.62%
-198.56B
108.80%
-1.01T
409.00%
117.52B
111.63%
9.66B
91.78%
-4.30B
144.58%
-227.32B
5,180.39%
-190.26B
16.31%
-17.39B
90.86%
purchases of investments
-18.70T
-
-36.62T
95.89%
-27.01T
26.26%
-21.22T
21.44%
-23.73T
11.83%
-26.62T
12.18%
-35.54T
33.55%
-41.81T
17.62%
-36.94T
11.65%
-32.36T
12.41%
-41.03T
26.82%
sales maturities of investments
33.97T
-
35.70T
5.10%
30.53T
14.48%
22.46T
26.42%
21.89T
2.58%
28.05T
28.16%
32.75T
16.78%
34.43T
5.11%
35.05T
1.79%
38.59T
10.11%
36.03T
6.64%
other investing activites
158.74B
-
191.86B
20.86%
150.14B
21.74%
171.80B
14.43%
304.32B
77.13%
105.54B
65.32%
19.25B
81.77%
26.48B
37.58%
1.18B
95.55%
186.01B
15,677.10%
72.04B
61.27%
net cash used for investing activites
14.88T
-
-1.46T
109.80%
5.24T
459.66%
581.35B
88.91%
-3.40T
684.04%
1.01T
129.64%
-3.01T
399.29%
-7.68T
155.00%
-2.41T
68.66%
5.93T
346.43%
-15.80T
366.47%
debt repayment
-381.88B
-
-293.16B
23.23%
-222.31B
24.17%
-382.64B
72.12%
-190.03B
50.34%
-35.54B
81.30%
-121B
240.47%
-488.64B
303.83%
-395.06B
19.15%
-133B
66.33%
-4.70T
3,435.83%
common stock issued
62.28B
-
17M
99.97%
54M
217.65%
179.76B
332,783.33%
521M
99.71%
294M
43.57%
483M
64.29%
381M
21.12%
320M
16.01%
332M
3.75%
216M
34.94%
common stock repurchased
-451.46B
-
-161M
99.96%
-191M
18.63%
-100M
47.64%
-142M
42%
-70.09B
49,261.97%
-100.09B
42.79%
-61M
99.94%
-74M
21.31%
-138.84B
187,520.27%
-211.43B
52.29%
dividends paid
-169.98B
-
-170.92B
0.55%
-211.95B
24.01%
-205.08B
3.24%
-218.57B
6.58%
-245.59B
12.36%
-255.77B
4.14%
-267.12B
4.44%
-274.06B
2.60%
-301.60B
10.05%
-348.01B
15.39%
other financing activites
-97.03B
-
161.63B
266.58%
378.41B
134.12%
241.54B
36.17%
57.76B
76.09%
-281.89B
588.07%
-548.18B
94.47%
192.86B
135.18%
183.54B
4.83%
215.33B
17.32%
-111.74B
151.89%
net cash used provided by financing activities
-1.04T
-
-302.59B
70.85%
-55.99B
81.49%
-166.52B
197.39%
-350.47B
110.46%
-632.82B
80.56%
-1.02T
61.90%
-562.58B
45.09%
-485.34B
13.73%
-357.78B
26.28%
10.52T
3,040.56%
effect of forex changes on cash
654.35B
-
177.71B
72.84%
-99.58B
156.04%
-10.55B
89.40%
-93.87B
789.38%
166.65B
277.52%
-74.48B
144.69%
159.91B
314.70%
367.58B
129.87%
354.08B
3.67%
511.43B
44.44%
net change in cash
21.48T
-
6.61T
69.24%
3.96T
40.08%
4.92T
24.34%
5.50T
11.85%
5.14T
6.66%
2.98T
42.06%
10.71T
259.89%
-979.14B
109.14%
32.18B
103.29%
516.08B
1,503.93%
cash at beginning of period
10.72T
-
26.99T
151.76%
33.60T
24.47%
37.56T
11.78%
42.48T
13.10%
47.98T
12.96%
53.12T
10.71%
56.10T
5.60%
66.81T
19.10%
65.83T
1.47%
65.86T
0.05%
cash at end of period
32.20T
-
33.60T
4.35%
37.56T
11.78%
42.48T
13.10%
47.98T
12.96%
53.12T
10.71%
56.10T
5.60%
66.81T
19.10%
65.83T
1.47%
65.86T
0.05%
66.38T
0.78%
operating cash flow
6.98T
-
8.24T
17.98%
-1.13T
113.68%
4.51T
500.46%
9.34T
106.96%
4.60T
50.80%
7.09T
54.20%
18.80T
165.20%
1.55T
91.78%
-5.90T
481.46%
4.86T
182.44%
capital expenditure
-590.53B
-
-724.06B
22.61%
-688.04B
4.97%
-641.11B
6.82%
-848.64B
32.37%
-649.54B
23.46%
-250.84B
61.38%
-324.71B
29.45%
-288.19B
11.25%
-299.13B
3.80%
-391.88B
31.01%
free cash flow
6.39T
-
7.52T
17.55%
-1.82T
124.15%
3.87T
313.36%
8.49T
119.30%
3.95T
53.54%
6.84T
73.22%
18.47T
170.18%
1.26T
93.19%
-6.19T
592.69%
4.47T
172.13%

All numbers in (except ratios and percentages)