cache/7163a4d7db844d851dc7377aca2f1494406def97d333f4cf3f77015d5604cffb

JP:SMTH

三井住友トラスト・ホールディングス

  • Stock

Last Close

3,690.00

22/11 00:15

Market Cap

2.73T

Beta: -

Volume Today

469.40K

Avg: -

Preview

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Dec '13
Mar '14
Jun '14
Sep '14
Dec '14
Mar '15
Jun '15
Sep '15
Dec '15
Mar '16
Jun '16
Sep '16
Dec '16
Mar '17
Jun '17
Sep '17
Dec '17
Mar '18
Jun '18
Sep '18
Dec '18
Mar '19
Jun '19
Sep '19
Dec '19
Mar '20
Jun '20
Sep '20
Dec '20
Mar '21
Jun '21
Sep '21
Dec '21
Mar '22
Jun '22
Sep '22
Dec '22
Mar '23
Jun '23
Sep '23
Dec '23
Mar '24
Jun '24
net income
39.96B
-
28.50B
28.66%
39.32B
37.95%
44.43B
12.97%
42.76B
3.75%
33.15B
22.47%
42.22B
27.35%
43.78B
3.70%
43.22B
1.28%
37.69B
12.81%
32.26B
14.40%
55.66B
72.55%
42.23B
24.13%
-8.71B
120.62%
40.12B
560.71%
35.30B
12.01%
47.39B
34.23%
31.17B
34.22%
44.49B
42.72%
47.02B
5.69%
42.82B
8.93%
39.56B
7.62%
42.60B
7.68%
63.44B
48.94%
47.93B
24.45%
9.05B
81.11%
28.51B
214.82%
51.58B
80.95%
46.52B
9.81%
15.58B
66.50%
50.75B
225.68%
60.28B
18.77%
30.84B
48.84%
27.21B
11.76%
64.56B
137.24%
39.48B
38.85%
41.66B
5.53%
45.31B
8.77%
36.74B
18.92%
7.33B
80.05%
5.22B
28.78%
29.92B
473.36%
66.70B
122.94%
depreciation and amortization
9.93B
-
10.23B
3.04%
10.60B
3.63%
10.78B
1.66%
10.91B
1.23%
11.07B
1.46%
deferred income tax
stock based compensation
165M
-
-165M
200%
change in working capital
accounts receivables
inventory
accounts payables
other working capital
other non cash items
-39.96B
-
-28.50B
28.66%
-39.32B
37.95%
-44.43B
12.97%
-42.76B
3.75%
-33.15B
22.47%
-42.22B
27.35%
-43.78B
3.70%
-43.22B
1.28%
-37.69B
12.81%
-32.26B
14.40%
-55.83B
73.06%
-42.07B
24.65%
8.71B
120.70%
-40.12B
560.71%
-35.30B
12.01%
-47.39B
34.23%
-31.17B
34.22%
-44.49B
42.72%
-47.02B
5.69%
-42.82B
8.93%
-39.56B
7.62%
-42.60B
7.68%
-63.44B
48.94%
-47.93B
24.45%
-9.05B
81.11%
-28.51B
214.82%
-51.58B
80.95%
-46.52B
9.81%
-15.58B
66.50%
-50.75B
225.68%
-60.28B
18.77%
-30.84B
48.84%
-27.21B
11.76%
-64.56B
137.24%
-29.55B
54.23%
-31.43B
6.36%
-34.71B
10.44%
-25.96B
25.21%
3.58B
113.81%
5.85B
63.28%
-29.92B
611.24%
-66.70B
122.94%
net cash provided by operating activities
165M
-
-165M
200%
19.86B
-
20.46B
3.04%
21.20B
3.63%
21.56B
1.66%
21.82B
1.23%
22.14B
1.46%
investments in property plant and equipment
acquisitions net
purchases of investments
sales maturities of investments
other investing activites
net cash used for investing activites
debt repayment
common stock issued
common stock repurchased
dividends paid
other financing activites
net cash used provided by financing activities
effect of forex changes on cash
net change in cash
165M
-
-165M
200%
19.86B
-
20.46B
3.04%
21.20B
3.63%
21.56B
1.66%
21.82B
1.23%
22.14B
1.46%
cash at beginning of period
cash at end of period
165M
-
-165M
200%
19.86B
-
20.46B
3.04%
21.20B
3.63%
21.56B
1.66%
21.82B
1.23%
22.14B
1.46%
operating cash flow
165M
-
-165M
200%
19.86B
-
20.46B
3.04%
21.20B
3.63%
21.56B
1.66%
21.82B
1.23%
22.14B
1.46%
capital expenditure
free cash flow
165M
-
-165M
200%
19.86B
-
20.46B
3.04%
21.20B
3.63%
21.56B
1.66%
21.82B
1.23%
22.14B
1.46%

All numbers in (except ratios and percentages)