US Stock MarketDetailed Quotes

SMFG Sumitomo Mitsui Financial

Watchlist
  • 10.780
  • +0.110+1.03%
Close 02/20 16:00 ET
  • 10.700
  • -0.080-0.74%
Post 19:55 ET
71.13BMarket Cap12.15P/E (TTM)

Sumitomo Mitsui Financial Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)2023/12/31
(Q2)2023/09/30
(Q1)2023/06/30
(FY)2023/03/31
(Q4)2023/03/31
(Q3)2022/12/31
(Q2)2022/09/30
(Q1)2022/06/30
(FY)2022/03/31
(Q4)2022/03/31
Assets
Cash cash equivalents and federal funds sold
17.54%85.71T
12.46%85.18T
6.28%84.9T
0.98%81.96T
0.98%81.96T
-7.04%72.92T
-8.83%75.74T
2.92%79.89T
3.48%81.17T
3.48%81.17T
-Cash and cash equivalents
13.09%76.6T
9.35%77.41T
2.80%76.73T
1.50%75.91T
1.50%75.91T
-7.47%67.73T
-2.28%70.79T
2.70%74.65T
3.06%74.79T
3.06%74.79T
-Money market investments
75.83%9.1T
56.95%7.75T
55.82%8.15T
-4.13%5.79T
-4.13%5.79T
-1.32%5.18T
-53.56%4.94T
5.97%5.23T
8.45%6.04T
8.45%6.04T
-Restricted cash and investments
15.70%14.07B
35.58%13.15B
93.20%13.16B
-23.72%258.41B
-23.72%258.41B
3,823.55%12.16B
--9.7B
2,103.88%6.81B
11.30%338.77B
11.30%338.77B
Receivables
10.53%262.19B
10.93%257.74B
11.04%251.78B
-1.01%226.3B
-1.01%226.3B
3.55%237.21B
1,538.79%232.35B
-2.44%226.75B
-3.29%228.61B
-3.29%228.61B
-Other receivables
10.53%262.19B
10.93%257.74B
11.04%251.78B
-1.01%226.3B
-1.01%226.3B
3.55%237.21B
1,538.79%232.35B
-2.44%226.75B
-3.29%228.61B
-3.29%228.61B
Net loan
0.86%107.69T
0.72%107.81T
10.44%108.31T
12.35%103.34T
12.35%103.34T
16.08%106.77T
6.18%107.04T
13.45%98.07T
5.69%91.98T
5.69%91.98T
-Gross loan
0.86%108.41T
0.65%108.54T
10.42%109.07T
12.17%104.09T
12.17%104.09T
15.88%107.48T
6.98%107.84T
13.44%98.78T
5.83%92.8T
5.83%92.8T
-Allowance for loans and lease losses
1.13%718.48B
-9.59%725.47B
7.22%762.79B
-8.24%750.37B
-8.24%750.37B
-7.25%710.44B
--802.45B
12.49%711.41B
24.09%817.78B
24.09%817.78B
Securities and investments
13.48%52.48T
19.32%56.99T
-7.29%49.51T
-9.16%43.27T
-9.16%43.27T
-5.92%46.25T
30.57%47.76T
13.99%53.41T
7.45%47.63T
7.45%47.63T
-Trading securities
5.79%9.81T
17.65%11.13T
24.91%10.36T
20.80%4.5T
20.80%4.5T
25.16%9.27T
124.90%9.46T
36.40%8.3T
19.47%3.72T
19.47%3.72T
-Available for sale securities
15.41%42.67T
19.73%45.86T
-13.21%39.15T
-11.70%38.77T
-11.70%38.77T
-11.44%36.97T
18.32%38.3T
10.65%45.11T
6.54%43.91T
6.54%43.91T
Security borrowed
14.37%5.73T
16.79%6.03T
15.50%5.52T
-1.29%5.58T
-1.29%5.58T
-2.45%5.01T
--5.16T
-3.23%4.78T
-3.05%5.65T
-3.05%5.65T
Derivative assets
----
----
----
17.22%4.26T
17.22%4.26T
----
----
----
3.90%3.63T
3.90%3.63T
Customer acceptances
5.04%14.21T
1.24%14.61T
11.97%14.67T
16.82%13.69T
16.82%13.69T
24.80%13.53T
--14.43T
30.91%13.1T
17.48%11.72T
17.48%11.72T
Net PPE
-7.27%1.45T
0.37%1.55T
0.62%1.5T
2.56%1.49T
2.56%1.49T
5.77%1.57T
-12.05%1.55T
0.67%1.49T
-0.12%1.46T
-0.12%1.46T
-Gross PPE
----
----
----
2.56%1.49T
2.56%1.49T
----
----
----
-0.12%1.46T
-0.12%1.46T
Goodwill and other intangible assets
3.71%935.28B
1.23%939.14B
0.43%924.58B
-0.11%897.85B
-0.11%897.85B
-3.44%901.86B
11.84%927.68B
24.36%920.66B
21.67%898.82B
21.67%898.82B
-Goodwill
----
----
----
-13.51%277.31B
-13.51%277.31B
----
----
----
117.37%320.64B
117.37%320.64B
-Other intangible assets
----
----
----
7.33%620.54B
7.33%620.54B
----
----
----
-2.21%578.18B
-2.21%578.18B
Defined pension benefit
12.71%732.22B
12.90%725.07B
12.93%716.34B
13.10%704.65B
13.10%704.65B
9.83%649.63B
--642.2B
10.13%634.33B
10.17%623.05B
10.17%623.05B
Other assets
-1.48%16.47T
7.56%19.55T
6.67%18.25T
18.12%14.94T
18.12%14.94T
41.62%16.72T
239.89%18.18T
52.77%17.11T
20.93%12.65T
20.93%12.65T
Total assets
7.99%285.78T
8.09%293.73T
5.54%284.63T
4.94%270.43T
4.94%270.43T
5.58%264.64T
16.12%271.75T
12.32%269.69T
6.23%257.7T
6.23%257.7T
Liabilities
Total deposits
4.15%176.53T
2.70%176.22T
4.85%175.06T
6.27%171.8T
6.27%171.8T
6.50%169.48T
11.31%171.6T
8.34%166.96T
4.57%161.66T
4.57%161.66T
Federal funds purchased and securities sold under agreement to repurchase
19.28%18.59T
38.12%22.67T
4.65%19.93T
-13.36%16.77T
-13.36%16.77T
-9.50%15.59T
0.91%16.41T
26.82%19.05T
21.60%19.36T
21.60%19.36T
Payables
-32.37%1.54T
-10.33%2.11T
0.54%2.41T
-1.24%2.41T
-1.24%2.41T
-2.39%2.28T
3,489.66%2.35T
5.04%2.4T
5.28%2.44T
5.28%2.44T
-Other payable
-32.37%1.54T
-10.33%2.11T
0.54%2.41T
-1.24%2.41T
-1.24%2.41T
-2.39%2.28T
--2.35T
5.04%2.4T
5.28%2.44T
5.28%2.44T
Current debt and capital lease obligation
25.58%4.79T
28.22%4.26T
37.52%4.14T
64.17%4.92T
64.17%4.92T
20.03%3.81T
-20.92%3.32T
-24.33%3.01T
-1.92%3T
-1.92%3T
-Current debt
25.58%4.79T
28.22%4.26T
37.52%4.14T
64.17%4.92T
64.17%4.92T
20.03%3.81T
-20.92%3.32T
-24.33%3.01T
-1.92%3T
-1.92%3T
Trading liabilities
-5.04%8.53T
21.38%10.48T
38.59%9.87T
3.44%3.29T
3.44%3.29T
79.67%8.98T
200.04%8.63T
73.96%7.12T
53.03%3.18T
53.03%3.18T
Long term provisions
-0.76%150.73B
3.34%156.86B
1.58%163.66B
1.20%171.78B
1.20%171.78B
2.59%151.88B
-29.00%151.79B
-4.36%161.1B
-5.32%169.75B
-5.32%169.75B
Long term debt and capital lease obligation
30.04%28.19T
19.78%27.42T
-9.75%26.11T
-16.01%24.46T
-16.01%24.46T
-24.45%21.67T
-22.09%22.89T
5.60%28.93T
6.67%29.13T
6.67%29.13T
-Long term debt
30.04%28.19T
19.78%27.42T
-9.75%26.11T
-16.01%24.46T
-16.01%24.46T
-24.45%21.67T
-21.12%22.89T
5.60%28.93T
6.67%29.13T
6.67%29.13T
Non current deferred liabilities
279.96%494.11B
191.71%387.23B
128.48%443.48B
-3.76%293.31B
-3.76%293.31B
-77.20%130.04B
-75.11%132.74B
-66.09%194.1B
-45.75%304.76B
-45.75%304.76B
Employee benefits
26.03%107.2B
12.53%106.11B
1.39%74.43B
0.17%136.14B
0.17%136.14B
-13.16%85.06B
--94.3B
4.99%73.41B
4.27%135.91B
4.27%135.91B
Derivative product liabilities
----
----
----
49.35%4.78T
49.35%4.78T
----
----
----
-2.46%3.2T
-2.46%3.2T
Other liabilities
9.88%31.7T
7.62%34.71T
13.22%31.66T
26.83%27.08T
26.83%27.08T
38.20%28.85T
246.45%32.25T
46.01%27.96T
13.39%21.35T
13.39%21.35T
Securities loaned
11.92%1.26T
20.62%1.39T
-3.19%1.34T
-3.75%1.52T
-3.75%1.52T
4.79%1.12T
--1.16T
9.72%1.39T
-34.72%1.58T
-34.72%1.58T
Total liabilities
7.82%271.87T
8.08%279.9T
5.43%271.21T
4.94%257.64T
4.94%257.64T
5.80%252.16T
17.10%258.99T
12.78%257.25T
6.43%245.51T
6.43%245.51T
Shareholders'equity
Share capital
0.06%2.34T
0.06%2.34T
0.03%2.34T
0.03%2.34T
0.03%2.34T
0.03%2.34T
0.03%2.34T
0.03%2.34T
0.03%2.34T
0.03%2.34T
-common stock
0.06%2.34T
0.06%2.34T
0.03%2.34T
0.03%2.34T
0.03%2.34T
0.03%2.34T
0.03%2.34T
0.03%2.34T
0.03%2.34T
0.03%2.34T
Paid-in capital
-1.21%685.71B
-1.21%685.66B
0.04%694.06B
0.06%694.05B
0.06%694.05B
0.06%694.1B
-4.65%694.05B
0.11%693.81B
0.07%693.66B
0.07%693.66B
Retained earnings
3.95%7.67T
3.96%7.59T
4.03%7.31T
7.33%7.42T
7.33%7.42T
8.00%7.38T
15.00%7.3T
7.13%7.02T
6.53%6.92T
6.53%6.92T
Less: Treasury stock
39.54%90.62B
35.11%17.72B
35.32%17.75B
1,032.65%151.8B
1,032.65%151.8B
383.74%64.94B
-2.19%13.12B
-2.42%13.12B
-2.16%13.4B
-2.16%13.4B
Gains losses not affecting retained earnings
57.40%3.17T
32.80%3.1T
30.00%2.99T
9.84%2.37T
9.84%2.37T
-15.15%2.01T
-14.41%2.33T
-2.97%2.3T
-6.63%2.16T
-6.63%2.16T
Other equity interest
-16.37%991M
-16.57%1B
-14.85%1.04B
-22.37%1.15B
-22.37%1.15B
-20.89%1.19B
-99.82%1.2B
-21.26%1.23B
-17.64%1.48B
-17.64%1.48B
Total stockholders'equity
11.43%13.78T
8.23%13.7T
7.85%13.31T
4.81%12.68T
4.81%12.68T
1.11%12.37T
-0.97%12.65T
3.34%12.35T
2.30%12.1T
2.30%12.1T
Non controlling interests
14.33%123.96B
17.35%125.4B
14.49%113.54B
12.14%109.5B
12.14%109.5B
19.41%108.42B
52.72%106.86B
37.44%99.17B
37.84%97.64B
37.84%97.64B
Total equity
11.46%13.91T
8.31%13.82T
7.90%13.43T
4.87%12.79T
4.87%12.79T
1.25%12.48T
-0.68%12.76T
3.54%12.45T
2.51%12.2T
2.51%12.2T
Currency Unit
JPY
JPY
JPY
JPY
JPY
JPY
JPY
JPY
JPY
JPY
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
(Q3)2023/12/31(Q2)2023/09/30(Q1)2023/06/30(FY)2023/03/31(Q4)2023/03/31(Q3)2022/12/31(Q2)2022/09/30(Q1)2022/06/30(FY)2022/03/31(Q4)2022/03/31
Assets
Cash cash equivalents and federal funds sold 17.54%85.71T12.46%85.18T6.28%84.9T0.98%81.96T0.98%81.96T-7.04%72.92T-8.83%75.74T2.92%79.89T3.48%81.17T3.48%81.17T
-Cash and cash equivalents 13.09%76.6T9.35%77.41T2.80%76.73T1.50%75.91T1.50%75.91T-7.47%67.73T-2.28%70.79T2.70%74.65T3.06%74.79T3.06%74.79T
-Money market investments 75.83%9.1T56.95%7.75T55.82%8.15T-4.13%5.79T-4.13%5.79T-1.32%5.18T-53.56%4.94T5.97%5.23T8.45%6.04T8.45%6.04T
-Restricted cash and investments 15.70%14.07B35.58%13.15B93.20%13.16B-23.72%258.41B-23.72%258.41B3,823.55%12.16B--9.7B2,103.88%6.81B11.30%338.77B11.30%338.77B
Receivables 10.53%262.19B10.93%257.74B11.04%251.78B-1.01%226.3B-1.01%226.3B3.55%237.21B1,538.79%232.35B-2.44%226.75B-3.29%228.61B-3.29%228.61B
-Other receivables 10.53%262.19B10.93%257.74B11.04%251.78B-1.01%226.3B-1.01%226.3B3.55%237.21B1,538.79%232.35B-2.44%226.75B-3.29%228.61B-3.29%228.61B
Net loan 0.86%107.69T0.72%107.81T10.44%108.31T12.35%103.34T12.35%103.34T16.08%106.77T6.18%107.04T13.45%98.07T5.69%91.98T5.69%91.98T
-Gross loan 0.86%108.41T0.65%108.54T10.42%109.07T12.17%104.09T12.17%104.09T15.88%107.48T6.98%107.84T13.44%98.78T5.83%92.8T5.83%92.8T
-Allowance for loans and lease losses 1.13%718.48B-9.59%725.47B7.22%762.79B-8.24%750.37B-8.24%750.37B-7.25%710.44B--802.45B12.49%711.41B24.09%817.78B24.09%817.78B
Securities and investments 13.48%52.48T19.32%56.99T-7.29%49.51T-9.16%43.27T-9.16%43.27T-5.92%46.25T30.57%47.76T13.99%53.41T7.45%47.63T7.45%47.63T
-Trading securities 5.79%9.81T17.65%11.13T24.91%10.36T20.80%4.5T20.80%4.5T25.16%9.27T124.90%9.46T36.40%8.3T19.47%3.72T19.47%3.72T
-Available for sale securities 15.41%42.67T19.73%45.86T-13.21%39.15T-11.70%38.77T-11.70%38.77T-11.44%36.97T18.32%38.3T10.65%45.11T6.54%43.91T6.54%43.91T
Security borrowed 14.37%5.73T16.79%6.03T15.50%5.52T-1.29%5.58T-1.29%5.58T-2.45%5.01T--5.16T-3.23%4.78T-3.05%5.65T-3.05%5.65T
Derivative assets ------------17.22%4.26T17.22%4.26T------------3.90%3.63T3.90%3.63T
Customer acceptances 5.04%14.21T1.24%14.61T11.97%14.67T16.82%13.69T16.82%13.69T24.80%13.53T--14.43T30.91%13.1T17.48%11.72T17.48%11.72T
Net PPE -7.27%1.45T0.37%1.55T0.62%1.5T2.56%1.49T2.56%1.49T5.77%1.57T-12.05%1.55T0.67%1.49T-0.12%1.46T-0.12%1.46T
-Gross PPE ------------2.56%1.49T2.56%1.49T-------------0.12%1.46T-0.12%1.46T
Goodwill and other intangible assets 3.71%935.28B1.23%939.14B0.43%924.58B-0.11%897.85B-0.11%897.85B-3.44%901.86B11.84%927.68B24.36%920.66B21.67%898.82B21.67%898.82B
-Goodwill -------------13.51%277.31B-13.51%277.31B------------117.37%320.64B117.37%320.64B
-Other intangible assets ------------7.33%620.54B7.33%620.54B-------------2.21%578.18B-2.21%578.18B
Defined pension benefit 12.71%732.22B12.90%725.07B12.93%716.34B13.10%704.65B13.10%704.65B9.83%649.63B--642.2B10.13%634.33B10.17%623.05B10.17%623.05B
Other assets -1.48%16.47T7.56%19.55T6.67%18.25T18.12%14.94T18.12%14.94T41.62%16.72T239.89%18.18T52.77%17.11T20.93%12.65T20.93%12.65T
Total assets 7.99%285.78T8.09%293.73T5.54%284.63T4.94%270.43T4.94%270.43T5.58%264.64T16.12%271.75T12.32%269.69T6.23%257.7T6.23%257.7T
Liabilities
Total deposits 4.15%176.53T2.70%176.22T4.85%175.06T6.27%171.8T6.27%171.8T6.50%169.48T11.31%171.6T8.34%166.96T4.57%161.66T4.57%161.66T
Federal funds purchased and securities sold under agreement to repurchase 19.28%18.59T38.12%22.67T4.65%19.93T-13.36%16.77T-13.36%16.77T-9.50%15.59T0.91%16.41T26.82%19.05T21.60%19.36T21.60%19.36T
Payables -32.37%1.54T-10.33%2.11T0.54%2.41T-1.24%2.41T-1.24%2.41T-2.39%2.28T3,489.66%2.35T5.04%2.4T5.28%2.44T5.28%2.44T
-Other payable -32.37%1.54T-10.33%2.11T0.54%2.41T-1.24%2.41T-1.24%2.41T-2.39%2.28T--2.35T5.04%2.4T5.28%2.44T5.28%2.44T
Current debt and capital lease obligation 25.58%4.79T28.22%4.26T37.52%4.14T64.17%4.92T64.17%4.92T20.03%3.81T-20.92%3.32T-24.33%3.01T-1.92%3T-1.92%3T
-Current debt 25.58%4.79T28.22%4.26T37.52%4.14T64.17%4.92T64.17%4.92T20.03%3.81T-20.92%3.32T-24.33%3.01T-1.92%3T-1.92%3T
Trading liabilities -5.04%8.53T21.38%10.48T38.59%9.87T3.44%3.29T3.44%3.29T79.67%8.98T200.04%8.63T73.96%7.12T53.03%3.18T53.03%3.18T
Long term provisions -0.76%150.73B3.34%156.86B1.58%163.66B1.20%171.78B1.20%171.78B2.59%151.88B-29.00%151.79B-4.36%161.1B-5.32%169.75B-5.32%169.75B
Long term debt and capital lease obligation 30.04%28.19T19.78%27.42T-9.75%26.11T-16.01%24.46T-16.01%24.46T-24.45%21.67T-22.09%22.89T5.60%28.93T6.67%29.13T6.67%29.13T
-Long term debt 30.04%28.19T19.78%27.42T-9.75%26.11T-16.01%24.46T-16.01%24.46T-24.45%21.67T-21.12%22.89T5.60%28.93T6.67%29.13T6.67%29.13T
Non current deferred liabilities 279.96%494.11B191.71%387.23B128.48%443.48B-3.76%293.31B-3.76%293.31B-77.20%130.04B-75.11%132.74B-66.09%194.1B-45.75%304.76B-45.75%304.76B
Employee benefits 26.03%107.2B12.53%106.11B1.39%74.43B0.17%136.14B0.17%136.14B-13.16%85.06B--94.3B4.99%73.41B4.27%135.91B4.27%135.91B
Derivative product liabilities ------------49.35%4.78T49.35%4.78T-------------2.46%3.2T-2.46%3.2T
Other liabilities 9.88%31.7T7.62%34.71T13.22%31.66T26.83%27.08T26.83%27.08T38.20%28.85T246.45%32.25T46.01%27.96T13.39%21.35T13.39%21.35T
Securities loaned 11.92%1.26T20.62%1.39T-3.19%1.34T-3.75%1.52T-3.75%1.52T4.79%1.12T--1.16T9.72%1.39T-34.72%1.58T-34.72%1.58T
Total liabilities 7.82%271.87T8.08%279.9T5.43%271.21T4.94%257.64T4.94%257.64T5.80%252.16T17.10%258.99T12.78%257.25T6.43%245.51T6.43%245.51T
Shareholders'equity
Share capital 0.06%2.34T0.06%2.34T0.03%2.34T0.03%2.34T0.03%2.34T0.03%2.34T0.03%2.34T0.03%2.34T0.03%2.34T0.03%2.34T
-common stock 0.06%2.34T0.06%2.34T0.03%2.34T0.03%2.34T0.03%2.34T0.03%2.34T0.03%2.34T0.03%2.34T0.03%2.34T0.03%2.34T
Paid-in capital -1.21%685.71B-1.21%685.66B0.04%694.06B0.06%694.05B0.06%694.05B0.06%694.1B-4.65%694.05B0.11%693.81B0.07%693.66B0.07%693.66B
Retained earnings 3.95%7.67T3.96%7.59T4.03%7.31T7.33%7.42T7.33%7.42T8.00%7.38T15.00%7.3T7.13%7.02T6.53%6.92T6.53%6.92T
Less: Treasury stock 39.54%90.62B35.11%17.72B35.32%17.75B1,032.65%151.8B1,032.65%151.8B383.74%64.94B-2.19%13.12B-2.42%13.12B-2.16%13.4B-2.16%13.4B
Gains losses not affecting retained earnings 57.40%3.17T32.80%3.1T30.00%2.99T9.84%2.37T9.84%2.37T-15.15%2.01T-14.41%2.33T-2.97%2.3T-6.63%2.16T-6.63%2.16T
Other equity interest -16.37%991M-16.57%1B-14.85%1.04B-22.37%1.15B-22.37%1.15B-20.89%1.19B-99.82%1.2B-21.26%1.23B-17.64%1.48B-17.64%1.48B
Total stockholders'equity 11.43%13.78T8.23%13.7T7.85%13.31T4.81%12.68T4.81%12.68T1.11%12.37T-0.97%12.65T3.34%12.35T2.30%12.1T2.30%12.1T
Non controlling interests 14.33%123.96B17.35%125.4B14.49%113.54B12.14%109.5B12.14%109.5B19.41%108.42B52.72%106.86B37.44%99.17B37.84%97.64B37.84%97.64B
Total equity 11.46%13.91T8.31%13.82T7.90%13.43T4.87%12.79T4.87%12.79T1.25%12.48T-0.68%12.76T3.54%12.45T2.51%12.2T2.51%12.2T
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--

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