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SUTNY Sumitomo Mitsui Trust Holdings (ADR)

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  • 4.240
  • -0.035-0.82%
15min DelayClose Apr 30 16:00 ET
15.28BMarket Cap25.85P/E (TTM)

Sumitomo Mitsui Trust Holdings (ADR) 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
Net income from continuing operations
19.03%271.39B
14.00%228B
-16.92%200B
-0.26%240.72B
1.05%241.34B
24.95%238.82B
-30.02%191.14B
17.44%273.14B
-5.71%232.58B
8.02%246.65B
Other non cashItems
128.85%151.12B
-108.33%-523.84B
26.76%-251.45B
3.85%-343.35B
-36.28%-357.09B
5.26%-262.02B
-24.15%-276.58B
8.69%-222.77B
-22.34%-243.98B
-69.09%-199.44B
Change in working capital
3,508.60%2.25T
-99.02%62.39B
366.84%6.38T
-678.85%-2.39T
-84.47%412.98B
-63.90%2.66T
-22.52%7.36T
569.62%9.5T
-32.50%1.42T
572.32%2.1T
-Change in receivables
-111.25%-791M
184.47%7.03B
-550.82%-8.32B
97.89%-1.28B
70.27%-60.73B
4.26%-204.27B
-240.35%-213.37B
-121.99%-62.69B
58.81%-28.24B
64.43%-68.56B
-Change in loans
-166.85%-984.07B
-23.06%1.47T
462.26%1.91T
49.02%-528.13B
-148.18%-1.04T
198.84%2.15T
-130.24%-2.18T
4,700.87%7.19T
-14.82%149.83B
135.39%175.89B
-Change in other current assets
-253.98%-54.57B
129.34%35.44B
-324.41%-120.78B
255.65%53.82B
134.60%15.13B
-246.73%-43.74B
-113.46%-12.62B
243.76%93.71B
-258.40%-65.18B
182.09%41.15B
-Change in other current liabilities
-161.17%-427M
126.48%698M
-195.68%-2.64B
280.54%2.76B
-187.30%-1.53B
8,045.45%1.75B
-118.64%-22M
686.67%118M
-16.67%15M
100.21%18M
Cash from discontinued operating activities
Operating cash flow
2,275.41%2.62T
-101.84%-120.26B
373.58%6.55T
-739.91%-2.4T
-86.82%374.32B
-62.29%2.84T
-22.75%7.53T
622.60%9.75T
-40.25%1.35T
336.07%2.26T
Investing cash flow
Cash flow from continuing investing activities
Net investment purchase and sale
227.78%1T
-89.92%-783.05B
29.22%-412.31B
-233.92%-582.54B
76.14%-174.46B
-185.70%-731.23B
6.35%-255.95B
-116.27%-273.31B
113.14%1.68T
4.47%788.08B
Net PPE purchase and sale
-19.76%-8.3B
74.37%-6.93B
-188.49%-27.05B
12.53%-9.38B
-172.08%-10.72B
260.25%14.87B
42.20%-9.28B
-86.69%-16.06B
27.38%-8.6B
-11.57%-11.84B
Net intangibles purchase and sale
-26.33%-54.24B
-25.96%-42.93B
-8.22%-34.09B
-8.44%-31.5B
-15.86%-29.05B
49.61%-25.07B
2.94%-49.75B
-41.98%-51.26B
24.34%-36.1B
-15.34%-47.72B
Net business purchase and sale
152.99%22.2B
-85,379.59%-41.89B
95.71%-49M
89.77%-1.14B
-144.33%-11.18B
81.24%-4.58B
38.66%-24.38B
---39.75B
----
----
Net other investing changes
----
-119.94%-4.4B
71.00%-2B
-690,200.00%-6.9B
-99.33%1M
14,900.00%150M
100.40%1M
-102.08%-249M
112.30%12B
755.07%5.65B
Cash from discontinued investing activities
Investing cash flow
209.22%960.28B
-84.90%-879.21B
24.70%-475.49B
-180.15%-631.46B
69.78%-225.4B
-119.78%-745.85B
10.84%-339.36B
-123.11%-380.63B
124.33%1.65T
4.84%734.17B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
-44.46%-96.21B
55.66%-66.6B
-604.33%-150.22B
-62.51%29.79B
7.16%79.45B
-21.24%74.14B
1,136.31%94.13B
103.51%7.61B
-50.28%-217.15B
-126.88%-144.5B
Net commonstock issuance
-239,723.81%-50.36B
-16.67%-21M
99.89%-18M
-77.96%-16.01B
-10.24%-9B
-17.19%-8.16B
30.63%-6.97B
92.00%-10.04B
-239.78%-125.47B
144.98%89.76B
Cash dividends paid
-21.34%-70.52B
-3.33%-58.12B
0.48%-56.24B
-14.52%-56.51B
0.50%-49.34B
0.51%-49.59B
0.51%-49.85B
-9.93%-50.1B
-9.52%-45.58B
-1.77%-41.61B
Net other financing activities
3,900.00%40M
100.01%1M
69.19%-12.66B
72.98%-41.07B
-82.52%-152.01B
-48,320.93%-83.28B
60.46%-172M
95.65%-435M
93.33%-10B
-445.45%-150B
Cash from discontinued financing activities
Financing cash flow
-73.90%-217.51B
43.07%-125.08B
-157.52%-219.72B
37.61%-85.32B
-77.92%-136.77B
-395.35%-76.87B
140.59%26.03B
84.34%-64.12B
-55.80%-409.45B
24.86%-262.8B
Net cash flow
Beginning cash position
-6.34%15.73T
53.28%16.8T
-22.16%10.96T
-46.95%14.08T
8.19%26.54T
41.60%24.53T
115.95%17.32T
48.54%8.02T
106.96%5.4T
51.13%2.61T
Current changes in cash
398.70%3.36T
-119.20%-1.12T
288.23%5.86T
-25,707.57%-3.11T
-99.40%12.15B
-72.05%2.02T
-22.43%7.22T
259.76%9.31T
-5.23%2.59T
214.34%2.73T
Effect of exchange rate changes
35.48%80.01B
414.97%59.05B
-144.96%-18.75B
-4.86%-7.65B
17.77%-7.3B
29.20%-8.88B
-116.89%-12.54B
-116.83%-5.78B
-43.72%34.34B
326.11%61.02B
End cash position
21.86%19.17T
-6.34%15.73T
53.28%16.8T
-22.16%10.96T
-46.95%14.08T
8.19%26.54T
41.60%24.53T
115.95%17.32T
48.54%8.02T
106.96%5.4T
Free cash flow
1,583.80%2.55T
-102.65%-172.08B
365.65%6.49T
-836.22%-2.44T
-88.17%331.9B
-62.45%2.81T
-22.82%7.47T
645.39%9.68T
-40.87%1.3T
382.62%2.2T
Currency Unit
JPY
JPY
JPY
JPY
JPY
JPY
JPY
JPY
JPY
JPY
(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
Net income from continuing operations 19.03%271.39B14.00%228B-16.92%200B-0.26%240.72B1.05%241.34B24.95%238.82B-30.02%191.14B17.44%273.14B-5.71%232.58B8.02%246.65B
Other non cashItems 128.85%151.12B-108.33%-523.84B26.76%-251.45B3.85%-343.35B-36.28%-357.09B5.26%-262.02B-24.15%-276.58B8.69%-222.77B-22.34%-243.98B-69.09%-199.44B
Change in working capital 3,508.60%2.25T-99.02%62.39B366.84%6.38T-678.85%-2.39T-84.47%412.98B-63.90%2.66T-22.52%7.36T569.62%9.5T-32.50%1.42T572.32%2.1T
-Change in receivables -111.25%-791M184.47%7.03B-550.82%-8.32B97.89%-1.28B70.27%-60.73B4.26%-204.27B-240.35%-213.37B-121.99%-62.69B58.81%-28.24B64.43%-68.56B
-Change in loans -166.85%-984.07B-23.06%1.47T462.26%1.91T49.02%-528.13B-148.18%-1.04T198.84%2.15T-130.24%-2.18T4,700.87%7.19T-14.82%149.83B135.39%175.89B
-Change in other current assets -253.98%-54.57B129.34%35.44B-324.41%-120.78B255.65%53.82B134.60%15.13B-246.73%-43.74B-113.46%-12.62B243.76%93.71B-258.40%-65.18B182.09%41.15B
-Change in other current liabilities -161.17%-427M126.48%698M-195.68%-2.64B280.54%2.76B-187.30%-1.53B8,045.45%1.75B-118.64%-22M686.67%118M-16.67%15M100.21%18M
Cash from discontinued operating activities
Operating cash flow 2,275.41%2.62T-101.84%-120.26B373.58%6.55T-739.91%-2.4T-86.82%374.32B-62.29%2.84T-22.75%7.53T622.60%9.75T-40.25%1.35T336.07%2.26T
Investing cash flow
Cash flow from continuing investing activities
Net investment purchase and sale 227.78%1T-89.92%-783.05B29.22%-412.31B-233.92%-582.54B76.14%-174.46B-185.70%-731.23B6.35%-255.95B-116.27%-273.31B113.14%1.68T4.47%788.08B
Net PPE purchase and sale -19.76%-8.3B74.37%-6.93B-188.49%-27.05B12.53%-9.38B-172.08%-10.72B260.25%14.87B42.20%-9.28B-86.69%-16.06B27.38%-8.6B-11.57%-11.84B
Net intangibles purchase and sale -26.33%-54.24B-25.96%-42.93B-8.22%-34.09B-8.44%-31.5B-15.86%-29.05B49.61%-25.07B2.94%-49.75B-41.98%-51.26B24.34%-36.1B-15.34%-47.72B
Net business purchase and sale 152.99%22.2B-85,379.59%-41.89B95.71%-49M89.77%-1.14B-144.33%-11.18B81.24%-4.58B38.66%-24.38B---39.75B--------
Net other investing changes -----119.94%-4.4B71.00%-2B-690,200.00%-6.9B-99.33%1M14,900.00%150M100.40%1M-102.08%-249M112.30%12B755.07%5.65B
Cash from discontinued investing activities
Investing cash flow 209.22%960.28B-84.90%-879.21B24.70%-475.49B-180.15%-631.46B69.78%-225.4B-119.78%-745.85B10.84%-339.36B-123.11%-380.63B124.33%1.65T4.84%734.17B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt -44.46%-96.21B55.66%-66.6B-604.33%-150.22B-62.51%29.79B7.16%79.45B-21.24%74.14B1,136.31%94.13B103.51%7.61B-50.28%-217.15B-126.88%-144.5B
Net commonstock issuance -239,723.81%-50.36B-16.67%-21M99.89%-18M-77.96%-16.01B-10.24%-9B-17.19%-8.16B30.63%-6.97B92.00%-10.04B-239.78%-125.47B144.98%89.76B
Cash dividends paid -21.34%-70.52B-3.33%-58.12B0.48%-56.24B-14.52%-56.51B0.50%-49.34B0.51%-49.59B0.51%-49.85B-9.93%-50.1B-9.52%-45.58B-1.77%-41.61B
Net other financing activities 3,900.00%40M100.01%1M69.19%-12.66B72.98%-41.07B-82.52%-152.01B-48,320.93%-83.28B60.46%-172M95.65%-435M93.33%-10B-445.45%-150B
Cash from discontinued financing activities
Financing cash flow -73.90%-217.51B43.07%-125.08B-157.52%-219.72B37.61%-85.32B-77.92%-136.77B-395.35%-76.87B140.59%26.03B84.34%-64.12B-55.80%-409.45B24.86%-262.8B
Net cash flow
Beginning cash position -6.34%15.73T53.28%16.8T-22.16%10.96T-46.95%14.08T8.19%26.54T41.60%24.53T115.95%17.32T48.54%8.02T106.96%5.4T51.13%2.61T
Current changes in cash 398.70%3.36T-119.20%-1.12T288.23%5.86T-25,707.57%-3.11T-99.40%12.15B-72.05%2.02T-22.43%7.22T259.76%9.31T-5.23%2.59T214.34%2.73T
Effect of exchange rate changes 35.48%80.01B414.97%59.05B-144.96%-18.75B-4.86%-7.65B17.77%-7.3B29.20%-8.88B-116.89%-12.54B-116.83%-5.78B-43.72%34.34B326.11%61.02B
End cash position 21.86%19.17T-6.34%15.73T53.28%16.8T-22.16%10.96T-46.95%14.08T8.19%26.54T41.60%24.53T115.95%17.32T48.54%8.02T106.96%5.4T
Free cash flow 1,583.80%2.55T-102.65%-172.08B365.65%6.49T-836.22%-2.44T-88.17%331.9B-62.45%2.81T-22.82%7.47T645.39%9.68T-40.87%1.3T382.62%2.2T
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY

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