Sumitomo Corp
TSE:8053

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Sumitomo Corp
TSE:8053
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Price: 3 282 JPY 1.39% Market Closed
Market Cap: 4T JPY
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Balance Sheet

Balance Sheet Decomposition
Sumitomo Corp

Current Assets 5.5T
Cash & Short-Term Investments 920.9B
Receivables 2.3T
Other Current Assets 2.3T
Non-Current Assets 6T
Long-Term Investments 4.1T
PP&E 1.3T
Intangibles 375.2B
Other Non-Current Assets 288.6B
Current Liabilities 3.3T
Accounts Payable 1.7T
Accrued Liabilities 110.6B
Other Current Liabilities 1.5T
Non-Current Liabilities 3.6T
Long-Term Debt 3T
Other Non-Current Liabilities 606.9B

Balance Sheet
Sumitomo Corp

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Balance Sheet
Currency: JPY
Mar-2015 Mar-2016 Mar-2017 Mar-2018 Mar-2019 Mar-2020 Mar-2021 Mar-2022 Mar-2023 Mar-2024
Assets
Cash & Cash Equivalents
903 741
880 685
790 460
682 339
670 851
720 633
611 764
747 671
667 642
678 299
Cash Equivalents
903 741
880 685
790 460
682 339
670 851
720 633
611 764
747 671
667 642
678 299
Short-Term Investments
111 328
137 634
71 197
68 246
64 681
114 737
116 662
253 200
125 568
189 830
Total Receivables
1 569 214
1 204 650
1 206 398
1 266 782
1 340 451
1 231 088
1 492 433
1 922 401
2 105 364
2 284 718
Accounts Receivables
1 569 214
1 204 650
1 206 398
1 266 782
1 340 451
1 231 088
1 492 433
1 922 401
2 105 364
2 284 718
Other Receivables
0
0
0
0
0
0
0
0
0
0
Inventory
994 404
807 371
830 871
877 808
925 204
929 981
793 279
1 058 003
1 390 559
1 486 770
Other Current Assets
369 997
356 732
422 249
582 111
546 463
539 952
483 446
664 208
583 824
596 087
Total Current Assets
3 948 684
3 387 072
3 321 175
3 477 286
3 547 650
3 536 391
3 497 584
4 645 483
4 872 957
5 235 704
PP&E Net
884 766
785 009
795 857
750 226
746 647
1 054 042
1 050 648
1 063 974
1 083 207
1 225 419
PP&E Gross
884 766
785 009
795 857
750 226
746 647
1 054 042
1 050 648
1 063 974
0
1 225 419
Accumulated Depreciation
881 830
891 918
813 162
673 897
712 449
986 280
1 064 461
1 114 205
0
1 260 803
Intangible Assets
208 845
190 062
183 427
156 664
149 434
165 625
146 165
149 456
284 790
208 046
Goodwill
156 593
120 727
173 932
107 813
110 325
123 288
109 796
105 510
0
141 783
Note Receivable
780 781
0
472 462
381 120
371 420
331 871
239 348
215 941
207 201
201 356
Long-Term Investments
2 390 978
2 279 128
2 273 987
2 352 606
2 481 366
2 476 080
2 530 012
3 317 402
3 567 574
3 933 585
Other Long-Term Assets
650 723
516 965
540 954
544 917
509 681
441 299
506 431
84 400
89 651
86 690
Other Assets
156 593
120 727
173 932
107 813
110 325
123 288
109 796
105 510
0
141 783
Total Assets
9 021 370
N/A
7 817 818
-13%
7 761 794
-1%
7 770 632
+0%
7 916 523
+2%
8 128 596
+3%
8 079 984
-1%
9 582 166
+19%
10 105 380
+5%
11 032 583
+9%
Liabilities
Accounts Payable
1 051 081
933 147
1 029 294
1 038 657
1 190 259
1 079 099
1 269 631
1 612 480
1 648 976
1 713 936
Accrued Liabilities
127 982
103 967
105 164
89 778
94 019
95 318
95 926
119 979
137 190
147 383
Short-Term Debt
439 354
193 301
189 264
197 498
236 480
388 958
188 407
263 715
0
285 983
Current Portion of Long-Term Debt
508 643
544 156
469 993
405 751
445 869
431 609
360 661
418 136
761 414
536 854
Other Current Liabilities
352 560
345 548
382 204
426 465
312 079
301 562
353 782
662 480
417 575
456 427
Total Current Liabilities
2 479 620
2 120 119
2 175 919
2 158 149
2 278 706
2 296 546
2 268 407
3 076 790
2 965 155
3 140 583
Long-Term Debt
3 543 055
2 977 870
2 799 668
2 600 616
2 415 606
2 860 776
2 864 542
2 823 370
2 888 492
2 884 004
Deferred Income Tax
169 008
121 253
116 840
111 720
96 707
84 253
79 100
77 595
98 491
158 168
Minority Interest
135 818
140 436
120 470
136 161
134 716
148 454
167 599
183 469
197 894
226 810
Other Liabilities
212 437
206 631
182 412
205 826
219 305
194 434
172 385
223 126
176 655
177 524
Total Liabilities
6 539 938
N/A
5 566 309
-15%
5 395 309
-3%
5 212 472
-3%
5 145 040
-1%
5 584 463
+9%
5 552 033
-1%
6 384 350
+15%
6 326 687
-1%
6 587 089
+4%
Equity
Common Stock
219 279
219 279
219 279
219 279
219 449
219 613
219 781
219 894
220 047
220 423
Retained Earnings
1 474 522
1 467 194
1 577 288
1 827 987
2 061 306
2 073 884
1 871 411
2 269 661
2 706 557
2 898 056
Additional Paid In Capital
260 009
256 500
263 937
265 126
258 292
256 966
251 781
255 996
254 114
252 709
Unrealized Security Profit/Loss
182 195
0
173 005
189 834
158 996
106 377
170 264
156 806
146 112
211 423
Treasury Stock
3 721
0
3 113
2 796
2 501
2 276
2 063
1 871
39 563
2 733
Other Equity
349 148
169 300
136 089
58 730
75 941
110 431
16 777
297 330
491 426
865 616
Total Equity
2 481 432
N/A
2 251 509
-9%
2 366 485
+5%
2 558 160
+8%
2 771 483
+8%
2 544 133
-8%
2 527 951
-1%
3 197 816
+26%
3 778 693
+18%
4 445 494
+18%
Total Liabilities & Equity
9 021 370
N/A
7 817 818
-13%
7 761 794
-1%
7 770 632
+0%
7 916 523
+2%
8 128 596
+3%
8 079 984
-1%
9 582 166
+19%
10 105 380
+5%
11 032 583
+9%
Shares Outstanding
Common Shares Outstanding
1 248
1 248
1 248
1 249
1 249
1 249
1 250
1 250
1 234
1 222

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