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JP:CO:SMFG

Sumitomo Mitsui Financial Group (SMFG)

  • Stock

Last Close

10,440.00

26/07 06:15

Market Cap

14.32T

Beta: -

Volume Today

6.31M

Avg: -

Preview

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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)