Sumitomo Mitsui Financial Group Inc
TSE:8316

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Sumitomo Mitsui Financial Group Inc
TSE:8316
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Price: 3 599 JPY -2.94% Market Closed
Market Cap: 14T JPY
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Balance Sheet

Balance Sheet Decomposition
Sumitomo Mitsui Financial Group Inc

Net Loans 104.2T
Investments 117.4T
PP&E 996B
Intangibles 991.1B
Other Assets 66.4T
Total Deposits 176.9T
Short Term Debt 32.6T
Long Term Debt 27.4T
Other Liabilities 38.4T

Balance Sheet
Sumitomo Mitsui Financial Group Inc

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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
Net Loans
72 396 992
74 441 061
79 591 107
72 409 846
77 510 382
82 038 412
84 473 721
90 016 272
97 653 768
106 196 329
Investments
70 470 755
68 760 121
70 609 119
73 254 854
74 785 872
82 663 188
94 730 079
100 696 261
101 632 114
114 061 944
PP&E Net
2 770 853
2 919 424
3 101 642
3 475 131
1 504 703
1 450 323
1 458 991
1 457 254
1 494 527
1 006 883
Intangible Assets
467 594
539 080
627 928
593 381
576 104
559 290
591 251
578 177
620 537
707 873
Goodwill
351 966
339 185
318 578
272 203
193 127
194 289
147 508
320 640
277 311
268 833
Long-Term Investments
583 718
610 422
604 548
683 151
975 849
944 641
961 681
1 186 971
1 348 634
1 764 503
Customer Acceptances Liabilities
0
0
0
0
0
0
0
0
0
0
Other Long-Term Assets
504 096
329 106
377 923
411 027
369 679
256 887
595 374
689 765
778 738
985 218
Other Assets
8 424 292
9 034 163
10 073 467
10 608 931
7 748 664
8 712 776
8 974 999
10 725 439
13 760 474
15 813 781
Total Assets
183 442 585
N/A
186 585 842
+2%
197 791 611
+6%
199 049 128
+1%
203 659 146
+2%
219 863 518
+8%
242 584 308
+10%
257 704 625
+6%
270 428 564
+5%
295 236 701
+9%
Liabilities
Accrued Liabilities
76 703
70 922
80 420
87 907
73 442
77 230
93 930
93 958
99 561
119 899
Short-Term Debt
21 249 416
14 607 976
17 549 796
19 722 808
19 477 384
24 424 971
25 416 635
28 039 676
27 516 309
31 911 798
Current Portion of Long-Term Debt
0
0
0
0
0
0
0
7 951
9 125
10 372
Total Deposits
114 873 816
124 919 262
129 711 147
127 697 818
133 490 524
137 222 652
154 596 773
161 655 256
171 795 808
179 511 632
Other Interest Bearing Liabilities
7 267 713
7 519 635
8 090 111
8 575 499
9 564 993
9 308 882
9 978 396
11 722 239
13 693 771
14 869 558
Total Current Liabilities
21 326 119
14 678 898
17 630 216
19 810 715
19 550 826
24 502 201
25 510 565
28 141 585
27 624 995
32 042 069
Long-Term Debt
16 102 853
15 683 275
18 915 945
19 886 931
19 884 264
24 446 533
26 722 721
28 707 176
24 059 738
27 848 506
Deferred Income Tax
635 943
380 393
367 504
485 773
408 479
287 495
561 796
304 763
293 306
725 948
Minority Interest
1 671 738
1 531 022
1 499 264
1 219 604
678 540
62 869
70 836
97 641
109 495
138 925
Other Liabilities
12 539 870
12 956 710
11 842 402
10 979 500
9 308 449
13 310 852
13 315 011
14 976 275
20 169 840
25 439 021
Total Liabilities
174 418 052
N/A
177 669 195
+2%
188 056 589
+6%
188 655 840
+0%
192 886 075
+2%
209 141 484
+8%
230 756 098
+10%
245 604 935
+6%
257 746 953
+5%
280 575 659
+9%
Equity
Common Stock
2 337 895
2 337 895
2 337 895
2 338 743
2 339 443
2 339 964
2 341 274
2 341 878
2 342 537
2 344 038
Retained Earnings
4 100 709
4 537 356
5 040 238
5 555 396
5 996 997
6 338 375
6 494 377
6 917 943
7 424 745
7 844 401
Additional Paid In Capital
757 329
757 306
757 346
758 215
739 047
692 003
693 205
693 664
694 052
610 143
Unrealized Security Profit/Loss
1 830 063
1 387 105
1 580 417
1 725 939
1 725 399
1 408 285
2 130 856
1 668 400
1 408 526
2 441 819
Treasury Stock
175 261
175 381
12 913
12 493
16 302
13 983
13 698
13 402
151 798
167 671
Other Equity
173 798
72 366
32 039
27 488
11 513
42 610
182 196
491 207
963 549
1 588 312
Total Equity
9 024 533
N/A
8 916 647
-1%
9 735 022
+9%
10 393 288
+7%
10 773 071
+4%
10 722 034
0%
11 828 210
+10%
12 099 690
+2%
12 681 611
+5%
14 661 042
+16%
Total Liabilities & Equity
183 442 585
N/A
186 585 842
+2%
197 791 611
+6%
199 049 128
+1%
203 659 146
+2%
219 863 518
+8%
242 584 308
+10%
257 704 625
+6%
270 428 564
+5%
295 236 701
+9%
Shares Outstanding
Common Shares Outstanding
1 367
1 367
1 410
1 411
1 396
1 370
1 370
4 113
4 034
3 942

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