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SMFG Sumitomo Mitsui Financial
6.040+0.080+1.34%
YOY
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(FY)2022/03/31(Q4)2022/03/31(Q3)2021/12/31(Q2)2021/09/30
Assets
Cash cash equivalents and federal funds sold
3.05% 80,827.94B 3.45% 80,827.94B 6.44% 78,445.83B 14.66% 83,079.44B
-Cash and cash equivalents
3.06% 74,792.12B 3.06% 74,792.12B 5.63% 73,199.22B 5.79% 72,441.78B
-Money market investments
8.45% 6,035.51B 8.45% 6,035.51B 19.15% 5,246.3B 167.14% 10,637.66B
-Restricted cash and investments
-99.9% 310M 0.32% 310M 0% 310M -- --
Receivables
-3.29% 228.61B -3.29% 228.61B 2.75% 229.08B -93.73% 14.18B
-Other receivables
-3.29% 228.61B -3.29% 228.61B 2.75% 229.08B -93.73% 14.18B
Net loan
5.69% 91,981.41B 5.69% 91,981.41B 7.04% 91,981.2B 16.81% 100,807.69B
-Gross loan
5.83% 92,799.19B 5.83% 92,799.19B 7.22% 92,747.19B 16.05% 100,807.69B
-Allowance for loans and lease losses
24.09% 817.78B 24.09% 817.78B 33.74% 766B -- --
Securities and investments
15.64% 51,260.98B 7.19% 51,260.98B 8.1% 49,157.69B -8.41% 36,577.76B
-Trading securities
135.99% 7,351.88B 11.24% 7,351.88B 9.53% 7,408.75B -36.76% 4,205.41B
-Available for sale securities
6.54% 43,909.1B 6.54% 43,909.1B 7.85% 41,748.94B -2.75% 32,372.35B
Long term equity investment
-- -- -- -- -- -- -- 895.97B
Security borrowed
-3.05% 5,649.63B -3.05% 5,649.63B 2.83% 5,132.04B -- --
Derivative assets
-- -- -- -- -- -- -- 4,675.36B
Customer acceptances
17.48% 11,722.24B 17.48% 11,722.24B 17.75% 10,843.75B -- --
Net PPE
-0.12% 1,457.25B -0.12% 1,457.25B 0.82% 1,483.06B 23.19% 1,757.36B
-Gross PPE
-0.12% 1,457.25B -0.12% 1,457.25B -- -- -- --
Goodwill and other intangible assets
21.67% 898.82B 21.67% 898.82B 24.64% 934B 10.88% 829.44B
-Goodwill
117.37% 320.64B 117.37% 320.64B -- -- -- --
-Other intangible assets
-2.21% 578.18B -2.21% 578.18B -- -- -- --
Defined pension benefit
10.17% 623.05B 10.17% 623.05B 55.24% 591.51B -- --
Other assets
24.17% 12,987.99B 20.66% 12,987.99B 8.81% 11,804.62B -46.82% 5,347.87B
Total assets
6.23% 257,704.63B 6.23% 257,704.63B 7.57% 250,648.16B 3.66% 234,014.92B
Liabilities
Total deposits
4.57% 161,655.26B 4.57% 161,655.26B 5.97% 159,138.63B 4.05% 154,153.85B
Federal funds purchased and securities sold under agreement to repurchase
21.6% 19,359.97B 21.6% 19,359.97B 33.23% 17,220.65B 48.84% 16,260.97B
Payables
5.28% 2,443.87B 5.28% 2,443.87B 11.21% 2,333.68B -96.67% 65.6B
-Total tax payable
-- -- -- -- -- -- -- 65.6B
-Other payable
5.28% 2,443.87B 5.28% 2,443.87B 11.21% 2,333.68B -- --
Current debt and capital lease obligation
-1.92% 2,996.37B 77.68% 2,996.37B -8.08% 3,178.31B 33.82% 4,196.64B
-Current debt
-1.92% 2,996.37B 77.68% 2,996.37B -8.08% 3,178.31B 33.82% 4,196.64B
Trading liabilities
207.14% 6,377.97B 19.04% 6,377.97B -9.28% 4,999.6B -47.37% 2,876.6B
Long term provisions
-5.32% 169.75B -5.32% 169.75B 1.43% 148.04B 35.27% 213.8B
Long term debt and capital lease obligation
6.67% 29,128.1B 1.58% 29,128.1B 7.64% 28,690.5B 13.25% 29,380.03B
-Long term debt
6.67% 29,128.1B 1.58% 29,128.1B 7.64% 28,690.5B 11.86% 29,019.46B
-Long term capital lease obligation
-- -- -- -- -- -- -- 360.57B
Non current deferred liabilities
-45.75% 304.76B -45.75% 304.76B 0.26% 570.46B 14.82% 533.36B
Employee benefits
4.27% 135.91B 4.27% 135.91B 13.65% 97.94B -- --
Derivative product liabilities
-- -- -- -- -- -- -- 4,176.34B
Other liabilities
13.39% 21,354.77B 13.39% 21,354.77B 17.67% 20,875.46B -41.32% 9,309.78B
Securities loaned
-34.72% 1,580.58B -34.72% 1,580.58B -49.74% 1,073.19B -- --
Total liabilities
6.43% 245,507.3B 6.43% 245,507.3B 7.6% 238,326.46B 3.13% 221,166.97B
Shareholders'equity
Share capital
0.03% 2,341.88B 0.03% 2,341.88B 0.03% 2,341.88B 0.03% 2,341.88B
-common stock
0.03% 2,341.88B 0.03% 2,341.88B 0.03% 2,341.88B 0.03% 2,341.88B
Paid-in capital
0.07% 693.66B 0.07% 693.66B 0.07% 693.71B 5.02% 727.91B
Retained earnings
6.53% 6,916.47B 6.53% 6,916.47B 6.58% 6,834.72B -1.27% 6,345.83B
Less: Treasury stock
-2.16% 13.4B -2.16% 13.4B -1.92% 13.42B -2.07% 13.41B
Gains losses not affecting retained earnings
-6.63% 2,159.61B -6.63% 2,159.61B 18.03% 2,372.53B 52.64% 2,723.89B
Other equity interest
-17.64% 1.48B -17.64% 1.48B -16.69% 1.5B 35954.98% 651.87B
Total stockholders'equity
2.3% 12,099.69B 2.3% 12,099.69B 6.86% 12,230.91B 13.74% 12,777.98B
Non controlling interests
37.84% 97.64B 37.84% 97.64B 33.31% 90.8B 7.27% 69.97B
Total equity
2.51% 12,197.33B 2.51% 12,197.33B 7.02% 12,321.7B 13.7% 12,847.95B
Currency Unit
JPYJPYJPYJPY
Accounting Standards
US-GAAPUS-GAAPUS-GAAPUS-GAAP

FY: Financial Year Annual Report, which is equivalent to the 10-K file disclosed by the listed company to the SEC.

Q: Quarterly report, which is equivalent to the 10-Q file disclosed by the listed company to the SEC, where Q1, Q2, Q3, and Q4 are single quarterly reports with a span of 3 months; Q6 and Q9 are cumulative quarterly reports, and Q6 is 6 months , Q9 is 9 months.

The MOM data from the Quarterly report,MOM=(current period - last period)/last period *100%