Sumitomo Mitsui Trust Holdings Inc
TSE:8309

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Sumitomo Mitsui Trust Holdings Inc Logo
Sumitomo Mitsui Trust Holdings Inc
TSE:8309
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Price: 3 600 JPY -1.18%
Market Cap: 2.6T JPY
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Cash Flow Statement

Cash Flow Statement
Sumitomo Mitsui Trust Holdings Inc

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Cash Flow Statement
Currency: JPY
Dec-2009 Jun-2010 Sep-2010 Dec-2010 Mar-2011 Sep-2011 Mar-2012 Sep-2012 Mar-2013 Sep-2013 Mar-2014 Sep-2014 Mar-2015 Sep-2015 Mar-2016 Sep-2016 Mar-2017 Sep-2017 Mar-2018 Sep-2018 Mar-2019 Sep-2019 Mar-2020 Sep-2020 Mar-2021 Sep-2021 Mar-2022 Sep-2022 Mar-2023 Sep-2023 Mar-2024
Operating Cash Flow
Net Income
31 864
11 639
38 289
34 631
36 966
226 373
294 967
198 298
228 334
254 035
246 650
228 722
232 578
264 171
273 136
271 881
191 135
175 433
238 822
255 950
241 340
255 313
240 721
202 395
200 003
238 512
227 999
221 035
271 387
181 541
97 977
Depreciation & Amortization
(1 596)
39
3 542
559
4 527
30 484
46 408
48 469
49 939
47 436
44 910
44 573
42 278
38 904
38 877
40 839
41 800
43 402
44 614
47 057
46 058
42 944
44 664
44 339
42 427
40 177
38 723
39 831
40 842
42 522
44 582
Other Non-Cash Items
17 919
28 423
24 484
43 484
(4 278)
(59 862)
(234 705)
(297 025)
(324 276)
(431 121)
(351 816)
(384 663)
(460 588)
(367 680)
(162 825)
(20 017)
(202 910)
(344 702)
(139 956)
(177 942)
(163 043)
(29 079)
(77 151)
(150 975)
(272 505)
(342 160)
(462 580)
(701 853)
(267 314)
(110 363)
(203 352)
Cash Taxes Paid
(19 166)
3 582
343
5 708
5 242
32 031
48 259
18 751
29 070
22 821
2 471
26 464
36 717
50 899
60 571
80 197
94 387
58 754
48 199
71 232
86 343
65 864
61 252
73 156
36 865
38 262
55 931
59 284
77 212
60 043
41 481
Cash Interest Paid
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
124 349
249 778
301 759
361 941
387 542
376 605
269 986
162 409
128 709
104 641
187 941
506 204
834 079
1 047 108
Change in Working Capital
(1 143 701)
(1 052 028)
(714 853)
(792 886)
(140 563)
(1 456 157)
(1 602 000)
(408 904)
563 969
2 700 057
2 318 958
1 453 691
1 535 363
2 643 309
9 603 239
10 503 106
7 503 319
4 226 148
2 696 976
4 156 191
(12 215 370)
(12 825 086)
(2 603 541)
2 215 453
6 583 162
1 799 066
75 594
370 099
2 571 299
3 665 307
4 355 339
Cash from Operating Activities
(1 095 514)
N/A
(1 011 927)
+8%
(648 538)
+36%
(714 212)
-10%
(103 348)
+86%
(1 259 162)
-1 118%
(1 495 330)
-19%
(459 162)
+69%
517 966
N/A
2 570 407
+396%
2 258 702
-12%
1 342 323
-41%
1 349 631
+1%
2 578 704
+91%
9 752 427
+278%
10 795 809
+11%
7 533 344
-30%
4 100 281
-46%
2 840 456
-31%
4 281 256
+51%
(12 091 015)
N/A
(12 555 908)
-4%
(2 395 307)
+81%
2 311 212
N/A
6 553 087
+184%
1 735 595
-74%
(120 264)
N/A
(70 888)
+41%
2 616 214
N/A
3 779 007
+44%
4 294 546
+14%
Investing Cash Flow
Capital Expenditures
5 686
(488)
(4 358)
(3 179)
(6 412)
(36 431)
(59 032)
(62 437)
(62 847)
(62 784)
(62 229)
(53 700)
(50 886)
(58 928)
(71 667)
(72 576)
(62 180)
(55 539)
(35 324)
(27 392)
(42 414)
(50 874)
(48 253)
(40 584)
(61 886)
(66 579)
(51 816)
(56 188)
(62 897)
(64 959)
(76 473)
Other Items
496 210
1 216 819
812 079
676 616
459 126
1 361 768
2 183 327
432 141
763 121
1 817 853
796 398
1 026 673
1 697 877
(140 449)
(308 960)
56 580
(277 178)
113 440
(710 530)
(938 564)
(182 985)
154 831
(583 206)
(656 884)
(413 608)
(340 407)
(827 389)
131 449
1 023 172
(647 751)
(2 507 721)
Cash from Investing Activities
501 896
N/A
1 216 331
+142%
807 721
-34%
673 437
-17%
452 714
-33%
1 325 337
+193%
2 124 295
+60%
369 704
-83%
700 274
+89%
1 755 069
+151%
734 169
-58%
972 973
+33%
1 646 991
+69%
(199 377)
N/A
(380 627)
-91%
(15 996)
+96%
(339 358)
-2 022%
57 901
N/A
(745 854)
N/A
(965 956)
-30%
(225 399)
+77%
103 957
N/A
(631 459)
N/A
(697 468)
-10%
(475 494)
+32%
(406 986)
+14%
(879 205)
-116%
75 261
N/A
960 275
+1 176%
(712 710)
N/A
(2 584 194)
-263%
Financing Cash Flow
Net Issuance of Common Stock
127 405
2
(1)
(1)
(5)
(103)
(100)
(13)
(199 570)
(109 754)
89 764
(57)
(125 472)
(135 488)
(10 040)
(6 943)
(6 965)
(8 178)
(8 162)
(9 009)
(8 998)
(16 016)
(16 013)
(12)
(18)
(21)
(21)
(30 024)
(50 363)
(21 412)
(21 080)
Net Issuance of Debt
138 726
(53 095)
(53 095)
(55 726)
(55 726)
82 779
37 855
(43 610)
(63 689)
(118 503)
(144 500)
(180 150)
(217 150)
(65 220)
7 614
34 184
94 133
104 527
74 143
113 840
79 452
9 796
29 785
(10 216)
(150 216)
0
(66 602)
(142 702)
(96 212)
(9 331)
15 781
Cash Paid for Dividends
3 161
(5 499)
(5 499)
(12 131)
(12 131)
(28 964)
(41 258)
(39 869)
(40 891)
(39 784)
(41 613)
(43 577)
(45 575)
(48 880)
(50 102)
(49 980)
(49 847)
(49 717)
(49 594)
(49 473)
(49 344)
(53 000)
(56 511)
(56 240)
(56 241)
(56 241)
(58 115)
(63 735)
(70 518)
(76 801)
(80 020)
Other
(42 155)
0
(7 626)
(3 744)
(7 460)
(12 519)
(19 156)
(47 291)
(45 578)
(97 754)
(166 451)
(93 197)
(21 255)
(11 643)
(11 594)
(11 263)
(11 295)
(94 467)
(93 256)
(160 922)
(157 876)
(43 704)
(42 584)
(1 421)
(13 248)
(12 171)
(341)
(455)
(416)
(392)
(432)
Cash from Financing Activities
227 137
N/A
(58 592)
N/A
(62 339)
-6%
(67 720)
-9%
(71 440)
-5%
41 193
N/A
(22 659)
N/A
(130 783)
-477%
(349 728)
-167%
(365 795)
-5%
(262 800)
+28%
(316 981)
-21%
(409 452)
-29%
(261 231)
+36%
(64 122)
+75%
(34 002)
+47%
26 026
N/A
(47 835)
N/A
(76 869)
-61%
(105 564)
-37%
(136 766)
-30%
(102 924)
+25%
(85 323)
+17%
(67 889)
+20%
(219 723)
-224%
(208 433)
+5%
(125 079)
+40%
(236 916)
-89%
(217 509)
+8%
(107 936)
+50%
(85 751)
+21%
Change in Cash
Effect of Foreign Exchange Rates
1 093
(305)
(450)
(518)
(636)
(1 958)
(5 322)
(1 224)
14 321
39 691
61 023
24 776
34 344
49 526
(5 780)
(69 581)
(12 536)
32 589
(8 876)
(4 980)
(7 299)
(8 867)
(7 654)
(4 483)
(18 749)
16 318
59 053
125 816
80 007
35 237
40 612
Net Change in Cash
(365 388)
N/A
145 507
N/A
96 394
-34%
(109 013)
N/A
277 290
N/A
105 410
-62%
600 984
+470%
(221 465)
N/A
882 833
N/A
3 999 372
+353%
2 791 094
-30%
2 023 091
-28%
2 621 514
+30%
2 167 622
-17%
9 301 898
+329%
10 676 230
+15%
7 207 476
-32%
4 142 936
-43%
2 008 857
-52%
3 204 756
+60%
(12 460 479)
N/A
(12 563 742)
-1%
(3 119 743)
+75%
1 541 372
N/A
5 839 121
+279%
1 136 494
-81%
(1 065 495)
N/A
(106 727)
+90%
3 438 987
N/A
2 993 598
-13%
1 665 213
-44%

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