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SMFG Sumitomo Mitsui Financial

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  • 11.320
  • +0.100+0.89%
Close Apr 29 16:00 ET
  • 11.325
  • +0.005+0.04%
Post 16:00 ET
74.69BMarket Cap12.75P/E (TTM)

Sumitomo Mitsui Financial Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Mar 31, 2023
(FY)Mar 31, 2022
(FY)Mar 31, 2021
(FY)Mar 31, 2020
(FY)Mar 31, 2019
(FY)Mar 31, 2018
(FY)Mar 31, 2017
(FY)Mar 31, 2016
(FY)Mar 31, 2015
(FY)Mar 31, 2014
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
-481.46%-5.9T
-91.78%1.55T
165.20%18.8T
54.20%7.09T
-50.80%4.6T
106.96%9.34T
500.46%4.51T
-113.68%-1.13T
-0.77%8.24T
249.83%8.3T
Net income from continuing operations
18.17%1.1T
38.28%929.59B
-24.35%672.24B
-20.91%888.65B
1.33%1.12T
13.23%1.11T
-0.09%979.31B
-25.14%980.17B
-7.96%1.31T
56.56%1.42T
Operating gains losses
2.85%-867.79B
3.04%-893.27B
-3,988.41%-921.28B
106.78%23.69B
-388.56%-349.69B
187.20%121.18B
-142.54%-138.97B
137.86%326.7B
-63.23%-863B
53.52%-528.72B
Depreciation and amortization
10.75%267.93B
6.49%241.92B
0.20%227.18B
-23.12%226.73B
-3.86%294.93B
0.82%306.76B
14.38%304.26B
6.96%266.02B
7.92%248.72B
15.91%230.45B
Other non cashItems
11.71%-1.62T
-19.93%-1.83T
-62.36%-1.53T
-11.55%-940.25B
60.95%-842.86B
-13.07%-2.16T
7.84%-1.91T
-46.04%-2.07T
-39.19%-1.42T
-1,386.39%-1.02T
Change in working capital
-450.90%-6.07T
-90.94%1.73T
228.76%19.09T
74.65%5.81T
-61.57%3.33T
106.21%8.65T
336.31%4.2T
-122.78%-1.78T
10.11%7.8T
206.19%7.08T
-Change in receivables
-20.68%20.82B
776.84%26.25B
-122.40%-3.88B
132.07%17.31B
-302.98%-53.98B
149.38%26.59B
-29.30%-53.85B
30.29%-41.65B
47.34%-59.74B
---113.45B
-Change in loans
-1,763.44%-17.31T
-146.70%-928.72B
-48.95%1.99T
367.59%3.9T
-141.18%-1.46T
303.62%3.53T
74.10%-1.74T
-1,199.67%-6.7T
-18.33%-515.65B
92.79%-435.76B
-Change in other current assets
270.35%857.89B
-225.95%-503.62B
256.76%399.85B
-76.19%112.08B
253.92%470.64B
-433.37%-305.77B
-83.05%91.72B
723.15%541.12B
-115.10%-86.84B
--574.93B
-Change in other current liabilities
145.22%244.71B
128.25%99.79B
-218.97%-353.21B
-0.56%296.89B
62.69%298.55B
145.88%183.5B
-1,667.10%-400B
-103.62%-22.64B
728.40%624.71B
--75.41B
-Change in other working capital
233.24%10.12T
-82.21%3.04T
1,048.54%17.06T
-63.47%1.49T
-22.03%4.07T
-17.16%5.21T
41.47%6.29T
-43.20%4.45T
12.25%7.83T
-16.45%6.98T
Cash from discontinued operating activities
Operating cash flow
-481.46%-5.9T
-91.78%1.55T
165.20%18.8T
54.20%7.09T
-50.80%4.6T
106.96%9.34T
500.46%4.51T
-113.68%-1.13T
-0.77%8.24T
249.83%8.3T
Investing cash flow
Cash flow from continuing investing activities
346.43%5.93T
68.66%-2.41T
-155.00%-7.68T
-399.29%-3.01T
129.64%1.01T
-684.04%-3.4T
-88.91%581.35B
459.66%5.24T
-110.04%-1.46T
931.36%14.52T
Net investment purchase and sale
429.43%6.23T
74.35%-1.89T
-164.45%-7.38T
-294.71%-2.79T
177.85%1.43T
-247.32%-1.84T
-64.54%1.25T
480.84%3.52T
-106.17%-924.93B
797.30%15T
Net PPE purchase and sale
0.28%-91.16B
23.51%-91.41B
-42.54%-119.51B
79.34%-83.85B
1.08%-405.76B
-25.67%-410.2B
14.39%-326.4B
2.40%-381.27B
-28.37%-390.66B
-58.92%-304.32B
Net intangibles purchase and sale
-1.80%-199.11B
-9.42%-195.6B
-20.96%-178.77B
-6.07%-147.78B
-2.39%-139.33B
5.93%-136.08B
8.77%-144.65B
-9.30%-158.56B
-13.63%-145.06B
-20.47%-127.66B
Net business purchase and sale
----
-5,180.39%-227.32B
-144.58%-4.31B
-91.78%9.66B
111.63%117.52B
-409.00%-1.01T
-108.80%-198.56B
3,890,258.62%2.26T
99.88%-58M
-4,834.77%-46.83B
Net other investing changes
-1,310,100.00%-13.1B
-102.33%-1M
10.26%43M
-96.43%39M
-44.22%1.09B
12.16%1.96B
-9.36%1.74B
-45.42%1.92B
647.36%3.53B
-101.86%-644M
Cash from discontinued investing activities
Investing cash flow
346.43%5.93T
68.66%-2.41T
-155.00%-7.68T
-399.29%-3.01T
129.64%1.01T
-684.04%-3.4T
-88.91%581.35B
459.66%5.24T
-110.04%-1.46T
931.36%14.52T
Financing cash flow
Cash flow from continuing financing activities
26.28%-357.78B
13.73%-485.34B
45.09%-562.58B
-61.90%-1.02T
-80.56%-632.82B
-110.46%-350.47B
-197.39%-166.52B
81.49%-56B
70.87%-302.59B
-40.41%-1.04T
Net issuance payments of debt
139.81%84B
28.36%-211.02B
-1,700.31%-294.54B
151.79%18.41B
-154.92%-35.54B
445.88%64.71B
-96.82%11.86B
409.31%372.83B
119.27%73.2B
21.80%-379.8B
Net commonstock issuance
-56,403.66%-138.51B
11.82%246M
100.22%220M
-42.70%-99.61B
-18,516.89%-69.8B
-99.79%379M
131,236.50%179.66B
4.86%-137M
-100.24%-144M
25,236.67%60.33B
Cash dividends paid
-10.05%-301.6B
-2.60%-274.06B
-4.44%-267.12B
-4.14%-255.77B
-12.36%-245.59B
-6.58%-218.57B
3.24%-205.08B
-24.01%-211.95B
-0.55%-170.92B
-25.72%-169.98B
Net other financing activities
-228.29%-1.67B
55.51%-509M
99.83%-1.14B
-143.92%-687.58B
-43.10%-281.89B
-28.79%-196.99B
29.43%-152.96B
-5.86%-216.74B
62.73%-204.73B
-417.22%-549.36B
Cash from discontinued financing activities
Financing cash flow
26.28%-357.78B
13.73%-485.34B
45.09%-562.58B
-61.90%-1.02T
-80.56%-632.82B
-110.46%-350.47B
-197.39%-166.52B
81.49%-56B
70.87%-302.59B
-40.41%-1.04T
Net cash flow
Beginning cash position
-1.47%65.83T
19.10%66.81T
5.60%56.1T
10.71%53.12T
12.96%47.98T
13.10%42.48T
11.78%37.56T
24.47%33.6T
418.89%26.99T
-26.27%5.2T
Current changes in cash
76.10%-321.9B
-112.76%-1.35T
245.87%10.55T
-38.60%3.05T
-11.21%4.97T
13.55%5.6T
21.48%4.93T
-37.39%4.06T
-70.25%6.48T
616.22%21.79T
Effect of exchange rate changes
-3.67%354.08B
129.87%367.58B
314.70%159.91B
-144.69%-74.48B
277.52%166.65B
-789.38%-93.87B
89.40%-10.56B
-156.04%-99.58B
3,082.98%177.71B
-99.11%5.58B
End cash position
0.05%65.86T
-1.47%65.83T
19.10%66.81T
5.60%56.1T
10.71%53.12T
12.96%47.98T
13.10%42.48T
11.78%37.56T
24.47%33.6T
151.76%26.99T
Free cash flow
-592.69%-6.19T
-93.19%1.26T
170.18%18.47T
73.22%6.84T
-53.54%3.95T
119.30%8.49T
313.36%3.87T
-124.15%-1.82T
-2.53%7.52T
289.60%7.71T
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
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
(FY)Mar 31, 2023(FY)Mar 31, 2022(FY)Mar 31, 2021(FY)Mar 31, 2020(FY)Mar 31, 2019(FY)Mar 31, 2018(FY)Mar 31, 2017(FY)Mar 31, 2016(FY)Mar 31, 2015(FY)Mar 31, 2014
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities -481.46%-5.9T-91.78%1.55T165.20%18.8T54.20%7.09T-50.80%4.6T106.96%9.34T500.46%4.51T-113.68%-1.13T-0.77%8.24T249.83%8.3T
Net income from continuing operations 18.17%1.1T38.28%929.59B-24.35%672.24B-20.91%888.65B1.33%1.12T13.23%1.11T-0.09%979.31B-25.14%980.17B-7.96%1.31T56.56%1.42T
Operating gains losses 2.85%-867.79B3.04%-893.27B-3,988.41%-921.28B106.78%23.69B-388.56%-349.69B187.20%121.18B-142.54%-138.97B137.86%326.7B-63.23%-863B53.52%-528.72B
Depreciation and amortization 10.75%267.93B6.49%241.92B0.20%227.18B-23.12%226.73B-3.86%294.93B0.82%306.76B14.38%304.26B6.96%266.02B7.92%248.72B15.91%230.45B
Other non cashItems 11.71%-1.62T-19.93%-1.83T-62.36%-1.53T-11.55%-940.25B60.95%-842.86B-13.07%-2.16T7.84%-1.91T-46.04%-2.07T-39.19%-1.42T-1,386.39%-1.02T
Change in working capital -450.90%-6.07T-90.94%1.73T228.76%19.09T74.65%5.81T-61.57%3.33T106.21%8.65T336.31%4.2T-122.78%-1.78T10.11%7.8T206.19%7.08T
-Change in receivables -20.68%20.82B776.84%26.25B-122.40%-3.88B132.07%17.31B-302.98%-53.98B149.38%26.59B-29.30%-53.85B30.29%-41.65B47.34%-59.74B---113.45B
-Change in loans -1,763.44%-17.31T-146.70%-928.72B-48.95%1.99T367.59%3.9T-141.18%-1.46T303.62%3.53T74.10%-1.74T-1,199.67%-6.7T-18.33%-515.65B92.79%-435.76B
-Change in other current assets 270.35%857.89B-225.95%-503.62B256.76%399.85B-76.19%112.08B253.92%470.64B-433.37%-305.77B-83.05%91.72B723.15%541.12B-115.10%-86.84B--574.93B
-Change in other current liabilities 145.22%244.71B128.25%99.79B-218.97%-353.21B-0.56%296.89B62.69%298.55B145.88%183.5B-1,667.10%-400B-103.62%-22.64B728.40%624.71B--75.41B
-Change in other working capital 233.24%10.12T-82.21%3.04T1,048.54%17.06T-63.47%1.49T-22.03%4.07T-17.16%5.21T41.47%6.29T-43.20%4.45T12.25%7.83T-16.45%6.98T
Cash from discontinued operating activities
Operating cash flow -481.46%-5.9T-91.78%1.55T165.20%18.8T54.20%7.09T-50.80%4.6T106.96%9.34T500.46%4.51T-113.68%-1.13T-0.77%8.24T249.83%8.3T
Investing cash flow
Cash flow from continuing investing activities 346.43%5.93T68.66%-2.41T-155.00%-7.68T-399.29%-3.01T129.64%1.01T-684.04%-3.4T-88.91%581.35B459.66%5.24T-110.04%-1.46T931.36%14.52T
Net investment purchase and sale 429.43%6.23T74.35%-1.89T-164.45%-7.38T-294.71%-2.79T177.85%1.43T-247.32%-1.84T-64.54%1.25T480.84%3.52T-106.17%-924.93B797.30%15T
Net PPE purchase and sale 0.28%-91.16B23.51%-91.41B-42.54%-119.51B79.34%-83.85B1.08%-405.76B-25.67%-410.2B14.39%-326.4B2.40%-381.27B-28.37%-390.66B-58.92%-304.32B
Net intangibles purchase and sale -1.80%-199.11B-9.42%-195.6B-20.96%-178.77B-6.07%-147.78B-2.39%-139.33B5.93%-136.08B8.77%-144.65B-9.30%-158.56B-13.63%-145.06B-20.47%-127.66B
Net business purchase and sale -----5,180.39%-227.32B-144.58%-4.31B-91.78%9.66B111.63%117.52B-409.00%-1.01T-108.80%-198.56B3,890,258.62%2.26T99.88%-58M-4,834.77%-46.83B
Net other investing changes -1,310,100.00%-13.1B-102.33%-1M10.26%43M-96.43%39M-44.22%1.09B12.16%1.96B-9.36%1.74B-45.42%1.92B647.36%3.53B-101.86%-644M
Cash from discontinued investing activities
Investing cash flow 346.43%5.93T68.66%-2.41T-155.00%-7.68T-399.29%-3.01T129.64%1.01T-684.04%-3.4T-88.91%581.35B459.66%5.24T-110.04%-1.46T931.36%14.52T
Financing cash flow
Cash flow from continuing financing activities 26.28%-357.78B13.73%-485.34B45.09%-562.58B-61.90%-1.02T-80.56%-632.82B-110.46%-350.47B-197.39%-166.52B81.49%-56B70.87%-302.59B-40.41%-1.04T
Net issuance payments of debt 139.81%84B28.36%-211.02B-1,700.31%-294.54B151.79%18.41B-154.92%-35.54B445.88%64.71B-96.82%11.86B409.31%372.83B119.27%73.2B21.80%-379.8B
Net commonstock issuance -56,403.66%-138.51B11.82%246M100.22%220M-42.70%-99.61B-18,516.89%-69.8B-99.79%379M131,236.50%179.66B4.86%-137M-100.24%-144M25,236.67%60.33B
Cash dividends paid -10.05%-301.6B-2.60%-274.06B-4.44%-267.12B-4.14%-255.77B-12.36%-245.59B-6.58%-218.57B3.24%-205.08B-24.01%-211.95B-0.55%-170.92B-25.72%-169.98B
Net other financing activities -228.29%-1.67B55.51%-509M99.83%-1.14B-143.92%-687.58B-43.10%-281.89B-28.79%-196.99B29.43%-152.96B-5.86%-216.74B62.73%-204.73B-417.22%-549.36B
Cash from discontinued financing activities
Financing cash flow 26.28%-357.78B13.73%-485.34B45.09%-562.58B-61.90%-1.02T-80.56%-632.82B-110.46%-350.47B-197.39%-166.52B81.49%-56B70.87%-302.59B-40.41%-1.04T
Net cash flow
Beginning cash position -1.47%65.83T19.10%66.81T5.60%56.1T10.71%53.12T12.96%47.98T13.10%42.48T11.78%37.56T24.47%33.6T418.89%26.99T-26.27%5.2T
Current changes in cash 76.10%-321.9B-112.76%-1.35T245.87%10.55T-38.60%3.05T-11.21%4.97T13.55%5.6T21.48%4.93T-37.39%4.06T-70.25%6.48T616.22%21.79T
Effect of exchange rate changes -3.67%354.08B129.87%367.58B314.70%159.91B-144.69%-74.48B277.52%166.65B-789.38%-93.87B89.40%-10.56B-156.04%-99.58B3,082.98%177.71B-99.11%5.58B
End cash position 0.05%65.86T-1.47%65.83T19.10%66.81T5.60%56.1T10.71%53.12T12.96%47.98T13.10%42.48T11.78%37.56T24.47%33.6T151.76%26.99T
Free cash flow -592.69%-6.19T-93.19%1.26T170.18%18.47T73.22%6.84T-53.54%3.95T119.30%8.49T313.36%3.87T-124.15%-1.82T-2.53%7.52T289.60%7.71T
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified Opinion

Analysis

Analyst Rating

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Price Target

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