JP Stock MarketDetailed Quotes

8316 Sumitomo Mitsui Financial Group

Watchlist
  • 3651.0
  • -93.0-2.48%
20min DelayMarket Closed Dec 20 15:30 JST
14.33TMarket Cap15.12P/E (Static)

Sumitomo Mitsui Financial Group Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Sep 30, 2024
(Q1)Jun 30, 2024
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
(Q3)Dec 31, 2023
(Q2)Sep 30, 2023
(Q1)Jun 30, 2023
(FY)Mar 31, 2023
(Q4)Mar 31, 2023
(Q3)Dec 31, 2022
Assets
Cash, cash equivalents and federal funds sold
2.23%87.08T
3.67%88.01T
6.07%86.93T
6.07%86.93T
17.54%85.71T
12.46%85.18T
6.28%84.9T
0.98%81.96T
0.98%81.96T
-7.04%72.92T
-Cash and cash equivalents
-4.91%73.61T
0.49%77.11T
2.94%78.14T
2.94%78.14T
13.09%76.6T
9.35%77.41T
2.80%76.73T
1.50%75.91T
1.50%75.91T
-7.47%67.73T
-Money market investments
73.22%13.43T
33.38%10.87T
47.35%8.53T
47.35%8.53T
75.83%9.1T
56.95%7.75T
55.82%8.15T
-4.13%5.79T
-4.13%5.79T
-1.32%5.18T
-Restricted cash and investments
150.23%32.9B
143.00%31.97B
1.70%262.82B
1.70%262.82B
15.70%14.07B
35.58%13.15B
93.20%13.16B
-23.72%258.41B
-23.72%258.41B
3,823.55%12.16B
Securities and investments
-3.50%54.99T
17.52%58.19T
14.94%49.73T
14.94%49.73T
13.48%52.48T
19.32%56.99T
-7.29%49.51T
-9.16%43.27T
-9.16%43.27T
-5.92%46.25T
-Trading securities
-4.61%10.61T
6.41%11.03T
44.26%6.49T
44.26%6.49T
5.79%9.81T
17.65%11.13T
24.91%10.36T
20.80%4.5T
20.80%4.5T
25.16%9.27T
-Available for sale securities
-3.22%44.38T
20.46%47.16T
11.54%43.25T
11.54%43.25T
15.41%42.67T
19.73%45.86T
-13.21%39.15T
-11.70%38.77T
-11.70%38.77T
-11.44%36.97T
Security borrowed
-1.63%5.93T
2.96%5.68T
21.93%6.8T
21.93%6.8T
14.37%5.73T
16.79%6.03T
15.50%5.52T
-1.29%5.58T
-1.29%5.58T
-2.45%5.01T
Derivative assets
----
----
18.77%5.05T
18.77%5.05T
----
----
----
17.22%4.26T
17.22%4.26T
----
Customer acceptances
-2.47%14.24T
2.71%15.06T
8.59%14.87T
8.59%14.87T
5.04%14.21T
1.24%14.61T
11.97%14.67T
16.82%13.69T
16.82%13.69T
24.80%13.53T
Net loan
0.70%108.57T
4.65%113.34T
7.93%111.53T
7.93%111.53T
0.86%107.69T
0.72%107.81T
10.44%108.31T
12.35%103.34T
12.35%103.34T
16.08%106.77T
-Gross loan
0.77%109.37T
4.66%114.16T
7.93%112.35T
7.93%112.35T
0.86%108.41T
0.65%108.54T
10.42%109.07T
12.17%104.09T
12.17%104.09T
15.88%107.48T
-Allowance for loans and lease losses
9.78%796.4B
6.82%814.83B
8.96%817.58B
8.96%817.58B
1.13%718.48B
-9.59%725.47B
7.22%762.79B
-8.24%750.37B
-8.24%750.37B
-7.25%710.44B
Receivables
-2.93%250.18B
-1.95%246.87B
-8.24%207.65B
-8.24%207.65B
10.53%262.19B
10.93%257.74B
11.04%251.78B
-1.01%226.3B
-1.01%226.3B
3.55%237.21B
-Other receivables
-2.93%250.18B
-1.95%246.87B
-8.24%207.65B
-8.24%207.65B
10.53%262.19B
10.93%257.74B
11.04%251.78B
-1.01%226.3B
-1.01%226.3B
3.55%237.21B
Net PPE
-35.80%996.01B
-32.87%1.01T
-32.63%1.01T
-32.63%1.01T
-7.27%1.45T
0.37%1.55T
0.62%1.5T
2.56%1.49T
2.56%1.49T
5.77%1.57T
-Gross PPE
----
----
-32.63%1.01T
-32.63%1.01T
----
----
----
2.56%1.49T
2.56%1.49T
----
Goodwill and other intangible assets
5.53%991.1B
8.56%1T
8.78%976.71B
8.78%976.71B
3.71%935.28B
1.23%939.14B
0.43%924.58B
-0.11%897.85B
-0.11%897.85B
-3.44%901.86B
-Goodwill
----
----
-3.06%268.83B
-3.06%268.83B
----
----
----
-13.51%277.31B
-13.51%277.31B
----
-Other intangible assets
----
----
14.07%707.87B
14.07%707.87B
----
----
----
7.33%620.54B
7.33%620.54B
----
Defined pension benefit
29.09%936.01B
29.33%926.45B
29.68%913.79B
29.68%913.79B
12.71%732.22B
12.90%725.07B
12.93%716.34B
13.10%704.65B
13.10%704.65B
9.83%649.63B
Deferred assets
-35.46%57.25B
-20.03%68.91B
-3.59%71.43B
-3.59%71.43B
16.72%98.41B
-6.30%88.7B
13.83%86.18B
11.04%74.08B
11.04%74.08B
85.76%84.31B
Other assets
-18.30%15.97T
1.09%18.45T
14.74%17.14T
14.74%17.14T
-1.48%16.47T
7.56%19.55T
6.67%18.25T
18.12%14.94T
18.12%14.94T
41.62%16.72T
Total assets
-1.26%290.02T
6.10%301.99T
9.17%295.24T
9.17%295.24T
7.99%285.78T
8.09%293.73T
5.54%284.63T
4.94%270.43T
4.94%270.43T
5.58%264.64T
Liabilities
Total deposits
0.37%176.88T
3.10%180.48T
4.49%179.51T
4.49%179.51T
4.15%176.53T
2.70%176.22T
4.85%175.06T
6.27%171.8T
6.27%171.8T
6.50%169.48T
Federal funds purchased and securities sold under agreement to repurchase
-8.84%20.66T
10.29%21.98T
17.01%19.63T
17.01%19.63T
19.28%18.59T
38.12%22.67T
4.65%19.93T
-13.36%16.77T
-13.36%16.77T
-9.50%15.59T
Current debt and capital lease obligation
45.77%6.2T
50.09%6.22T
13.18%5.57T
13.18%5.57T
25.58%4.79T
28.22%4.26T
37.52%4.14T
64.17%4.92T
64.17%4.92T
20.03%3.81T
-Current debt
45.77%6.2T
50.09%6.22T
13.18%5.57T
13.18%5.57T
25.58%4.79T
28.22%4.26T
37.52%4.14T
64.17%4.92T
64.17%4.92T
20.03%3.81T
Trading liabilities
-18.61%8.53T
7.88%10.64T
49.71%4.92T
49.71%4.92T
-5.04%8.53T
21.38%10.48T
38.59%9.87T
3.44%3.29T
3.44%3.29T
79.67%8.98T
Securities loaned
2.23%1.42T
24.22%1.67T
14.18%1.74T
14.18%1.74T
11.92%1.26T
20.62%1.39T
-3.19%1.34T
-3.75%1.52T
-3.75%1.52T
4.79%1.12T
Derivative product liabilities
----
----
-0.24%4.77T
-0.24%4.77T
----
----
----
49.35%4.78T
49.35%4.78T
----
Payables
-48.14%1.1T
-43.42%1.36T
-48.36%1.25T
-48.36%1.25T
-32.37%1.54T
-10.33%2.11T
0.54%2.41T
-1.24%2.41T
-1.24%2.41T
-2.39%2.28T
-Other payable
-48.14%1.1T
-43.42%1.36T
-48.36%1.25T
-48.36%1.25T
-32.37%1.54T
-10.33%2.11T
0.54%2.41T
-1.24%2.41T
-1.24%2.41T
-2.39%2.28T
Long term debt and capital lease obligation
3.62%28.41T
9.23%28.52T
17.27%28.69T
17.27%28.69T
30.04%28.19T
19.78%27.42T
-9.75%26.11T
-16.01%24.46T
-16.01%24.46T
-24.45%21.67T
-Long term debt
3.62%28.41T
9.23%28.52T
17.27%28.69T
17.27%28.69T
30.04%28.19T
19.78%27.42T
-9.75%26.11T
-16.01%24.46T
-16.01%24.46T
-24.45%21.67T
Long term provisions
60.82%252.27B
-3.94%157.2B
-0.21%171.43B
-0.21%171.43B
-0.76%150.73B
3.34%156.86B
1.58%163.66B
1.20%171.78B
1.20%171.78B
2.59%151.88B
Employee benefits
14.35%121.34B
19.98%89.29B
16.30%158.34B
16.30%158.34B
26.03%107.2B
12.53%106.11B
1.39%74.43B
0.17%136.14B
0.17%136.14B
-13.16%85.06B
Non current deferred liabilities
55.00%600.23B
42.61%632.45B
147.51%725.95B
147.51%725.95B
279.96%494.11B
191.71%387.23B
128.48%443.48B
-3.76%293.31B
-3.76%293.31B
-77.20%130.04B
Other liabilities
-10.83%30.95T
11.00%35.14T
23.01%33.32T
23.01%33.32T
9.88%31.7T
7.62%34.71T
13.22%31.66T
26.83%27.08T
26.83%27.08T
38.20%28.85T
Total liabilities
-1.71%275.13T
5.79%286.9T
8.85%280.44T
8.85%280.44T
7.82%271.87T
8.08%279.9T
5.43%271.21T
4.94%257.64T
4.94%257.64T
5.80%252.16T
Shareholders'equity
Share capital
0.08%2.35T
0.06%2.34T
0.06%2.34T
0.06%2.34T
0.06%2.34T
0.06%2.34T
0.03%2.34T
0.03%2.34T
0.03%2.34T
0.03%2.34T
-common stock
0.08%2.35T
0.06%2.34T
0.06%2.34T
0.06%2.34T
0.06%2.34T
0.06%2.34T
0.03%2.34T
0.03%2.34T
0.03%2.34T
0.03%2.34T
Additional paid-in capital
-10.77%611.83B
-12.12%609.91B
-12.09%610.14B
-12.09%610.14B
-1.21%685.71B
-1.21%685.66B
0.04%694.06B
0.06%694.05B
0.06%694.05B
0.06%694.1B
Retained earnings
8.30%8.22T
8.84%7.95T
5.66%7.84T
5.66%7.84T
3.95%7.67T
3.96%7.59T
4.03%7.31T
7.33%7.42T
7.33%7.42T
8.00%7.38T
Less: treasury stock
92.43%34.1B
356.31%80.99B
10.46%167.67B
10.46%167.67B
39.54%90.62B
35.11%17.72B
35.32%17.75B
1,032.65%151.8B
1,032.65%151.8B
383.74%64.94B
Gains losses not affecting retained earnings
16.77%3.62T
38.13%4.13T
69.90%4.03T
69.90%4.03T
57.40%3.17T
32.80%3.1T
30.00%2.99T
9.84%2.37T
9.84%2.37T
-15.15%2.01T
Other equity interest
-21.16%790M
-18.01%856M
-18.69%931M
-18.69%931M
-16.37%991M
-16.57%1B
-14.85%1.04B
-22.37%1.15B
-22.37%1.15B
-20.89%1.19B
Total stockholders'equity
7.74%14.76T
12.31%14.95T
15.61%14.66T
15.61%14.66T
11.43%13.78T
8.23%13.7T
7.85%13.31T
4.81%12.68T
4.81%12.68T
1.11%12.37T
Noncontrolling interests
9.02%136.71B
20.51%136.83B
26.88%138.93B
26.88%138.93B
14.33%123.96B
17.35%125.4B
14.49%113.54B
12.14%109.5B
12.14%109.5B
19.41%108.42B
Total equity
7.75%14.89T
12.38%15.09T
15.71%14.8T
15.71%14.8T
11.46%13.91T
8.31%13.82T
7.90%13.43T
4.87%12.79T
4.87%12.79T
1.25%12.48T
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
--
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--
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Unqualified Opinion
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(Q2)Sep 30, 2024(Q1)Jun 30, 2024(FY)Mar 31, 2024(Q4)Mar 31, 2024(Q3)Dec 31, 2023(Q2)Sep 30, 2023(Q1)Jun 30, 2023(FY)Mar 31, 2023(Q4)Mar 31, 2023(Q3)Dec 31, 2022
Assets
Cash, cash equivalents and federal funds sold 2.23%87.08T3.67%88.01T6.07%86.93T6.07%86.93T17.54%85.71T12.46%85.18T6.28%84.9T0.98%81.96T0.98%81.96T-7.04%72.92T
-Cash and cash equivalents -4.91%73.61T0.49%77.11T2.94%78.14T2.94%78.14T13.09%76.6T9.35%77.41T2.80%76.73T1.50%75.91T1.50%75.91T-7.47%67.73T
-Money market investments 73.22%13.43T33.38%10.87T47.35%8.53T47.35%8.53T75.83%9.1T56.95%7.75T55.82%8.15T-4.13%5.79T-4.13%5.79T-1.32%5.18T
-Restricted cash and investments 150.23%32.9B143.00%31.97B1.70%262.82B1.70%262.82B15.70%14.07B35.58%13.15B93.20%13.16B-23.72%258.41B-23.72%258.41B3,823.55%12.16B
Securities and investments -3.50%54.99T17.52%58.19T14.94%49.73T14.94%49.73T13.48%52.48T19.32%56.99T-7.29%49.51T-9.16%43.27T-9.16%43.27T-5.92%46.25T
-Trading securities -4.61%10.61T6.41%11.03T44.26%6.49T44.26%6.49T5.79%9.81T17.65%11.13T24.91%10.36T20.80%4.5T20.80%4.5T25.16%9.27T
-Available for sale securities -3.22%44.38T20.46%47.16T11.54%43.25T11.54%43.25T15.41%42.67T19.73%45.86T-13.21%39.15T-11.70%38.77T-11.70%38.77T-11.44%36.97T
Security borrowed -1.63%5.93T2.96%5.68T21.93%6.8T21.93%6.8T14.37%5.73T16.79%6.03T15.50%5.52T-1.29%5.58T-1.29%5.58T-2.45%5.01T
Derivative assets --------18.77%5.05T18.77%5.05T------------17.22%4.26T17.22%4.26T----
Customer acceptances -2.47%14.24T2.71%15.06T8.59%14.87T8.59%14.87T5.04%14.21T1.24%14.61T11.97%14.67T16.82%13.69T16.82%13.69T24.80%13.53T
Net loan 0.70%108.57T4.65%113.34T7.93%111.53T7.93%111.53T0.86%107.69T0.72%107.81T10.44%108.31T12.35%103.34T12.35%103.34T16.08%106.77T
-Gross loan 0.77%109.37T4.66%114.16T7.93%112.35T7.93%112.35T0.86%108.41T0.65%108.54T10.42%109.07T12.17%104.09T12.17%104.09T15.88%107.48T
-Allowance for loans and lease losses 9.78%796.4B6.82%814.83B8.96%817.58B8.96%817.58B1.13%718.48B-9.59%725.47B7.22%762.79B-8.24%750.37B-8.24%750.37B-7.25%710.44B
Receivables -2.93%250.18B-1.95%246.87B-8.24%207.65B-8.24%207.65B10.53%262.19B10.93%257.74B11.04%251.78B-1.01%226.3B-1.01%226.3B3.55%237.21B
-Other receivables -2.93%250.18B-1.95%246.87B-8.24%207.65B-8.24%207.65B10.53%262.19B10.93%257.74B11.04%251.78B-1.01%226.3B-1.01%226.3B3.55%237.21B
Net PPE -35.80%996.01B-32.87%1.01T-32.63%1.01T-32.63%1.01T-7.27%1.45T0.37%1.55T0.62%1.5T2.56%1.49T2.56%1.49T5.77%1.57T
-Gross PPE ---------32.63%1.01T-32.63%1.01T------------2.56%1.49T2.56%1.49T----
Goodwill and other intangible assets 5.53%991.1B8.56%1T8.78%976.71B8.78%976.71B3.71%935.28B1.23%939.14B0.43%924.58B-0.11%897.85B-0.11%897.85B-3.44%901.86B
-Goodwill ---------3.06%268.83B-3.06%268.83B-------------13.51%277.31B-13.51%277.31B----
-Other intangible assets --------14.07%707.87B14.07%707.87B------------7.33%620.54B7.33%620.54B----
Defined pension benefit 29.09%936.01B29.33%926.45B29.68%913.79B29.68%913.79B12.71%732.22B12.90%725.07B12.93%716.34B13.10%704.65B13.10%704.65B9.83%649.63B
Deferred assets -35.46%57.25B-20.03%68.91B-3.59%71.43B-3.59%71.43B16.72%98.41B-6.30%88.7B13.83%86.18B11.04%74.08B11.04%74.08B85.76%84.31B
Other assets -18.30%15.97T1.09%18.45T14.74%17.14T14.74%17.14T-1.48%16.47T7.56%19.55T6.67%18.25T18.12%14.94T18.12%14.94T41.62%16.72T
Total assets -1.26%290.02T6.10%301.99T9.17%295.24T9.17%295.24T7.99%285.78T8.09%293.73T5.54%284.63T4.94%270.43T4.94%270.43T5.58%264.64T
Liabilities
Total deposits 0.37%176.88T3.10%180.48T4.49%179.51T4.49%179.51T4.15%176.53T2.70%176.22T4.85%175.06T6.27%171.8T6.27%171.8T6.50%169.48T
Federal funds purchased and securities sold under agreement to repurchase -8.84%20.66T10.29%21.98T17.01%19.63T17.01%19.63T19.28%18.59T38.12%22.67T4.65%19.93T-13.36%16.77T-13.36%16.77T-9.50%15.59T
Current debt and capital lease obligation 45.77%6.2T50.09%6.22T13.18%5.57T13.18%5.57T25.58%4.79T28.22%4.26T37.52%4.14T64.17%4.92T64.17%4.92T20.03%3.81T
-Current debt 45.77%6.2T50.09%6.22T13.18%5.57T13.18%5.57T25.58%4.79T28.22%4.26T37.52%4.14T64.17%4.92T64.17%4.92T20.03%3.81T
Trading liabilities -18.61%8.53T7.88%10.64T49.71%4.92T49.71%4.92T-5.04%8.53T21.38%10.48T38.59%9.87T3.44%3.29T3.44%3.29T79.67%8.98T
Securities loaned 2.23%1.42T24.22%1.67T14.18%1.74T14.18%1.74T11.92%1.26T20.62%1.39T-3.19%1.34T-3.75%1.52T-3.75%1.52T4.79%1.12T
Derivative product liabilities ---------0.24%4.77T-0.24%4.77T------------49.35%4.78T49.35%4.78T----
Payables -48.14%1.1T-43.42%1.36T-48.36%1.25T-48.36%1.25T-32.37%1.54T-10.33%2.11T0.54%2.41T-1.24%2.41T-1.24%2.41T-2.39%2.28T
-Other payable -48.14%1.1T-43.42%1.36T-48.36%1.25T-48.36%1.25T-32.37%1.54T-10.33%2.11T0.54%2.41T-1.24%2.41T-1.24%2.41T-2.39%2.28T
Long term debt and capital lease obligation 3.62%28.41T9.23%28.52T17.27%28.69T17.27%28.69T30.04%28.19T19.78%27.42T-9.75%26.11T-16.01%24.46T-16.01%24.46T-24.45%21.67T
-Long term debt 3.62%28.41T9.23%28.52T17.27%28.69T17.27%28.69T30.04%28.19T19.78%27.42T-9.75%26.11T-16.01%24.46T-16.01%24.46T-24.45%21.67T
Long term provisions 60.82%252.27B-3.94%157.2B-0.21%171.43B-0.21%171.43B-0.76%150.73B3.34%156.86B1.58%163.66B1.20%171.78B1.20%171.78B2.59%151.88B
Employee benefits 14.35%121.34B19.98%89.29B16.30%158.34B16.30%158.34B26.03%107.2B12.53%106.11B1.39%74.43B0.17%136.14B0.17%136.14B-13.16%85.06B
Non current deferred liabilities 55.00%600.23B42.61%632.45B147.51%725.95B147.51%725.95B279.96%494.11B191.71%387.23B128.48%443.48B-3.76%293.31B-3.76%293.31B-77.20%130.04B
Other liabilities -10.83%30.95T11.00%35.14T23.01%33.32T23.01%33.32T9.88%31.7T7.62%34.71T13.22%31.66T26.83%27.08T26.83%27.08T38.20%28.85T
Total liabilities -1.71%275.13T5.79%286.9T8.85%280.44T8.85%280.44T7.82%271.87T8.08%279.9T5.43%271.21T4.94%257.64T4.94%257.64T5.80%252.16T
Shareholders'equity
Share capital 0.08%2.35T0.06%2.34T0.06%2.34T0.06%2.34T0.06%2.34T0.06%2.34T0.03%2.34T0.03%2.34T0.03%2.34T0.03%2.34T
-common stock 0.08%2.35T0.06%2.34T0.06%2.34T0.06%2.34T0.06%2.34T0.06%2.34T0.03%2.34T0.03%2.34T0.03%2.34T0.03%2.34T
Additional paid-in capital -10.77%611.83B-12.12%609.91B-12.09%610.14B-12.09%610.14B-1.21%685.71B-1.21%685.66B0.04%694.06B0.06%694.05B0.06%694.05B0.06%694.1B
Retained earnings 8.30%8.22T8.84%7.95T5.66%7.84T5.66%7.84T3.95%7.67T3.96%7.59T4.03%7.31T7.33%7.42T7.33%7.42T8.00%7.38T
Less: treasury stock 92.43%34.1B356.31%80.99B10.46%167.67B10.46%167.67B39.54%90.62B35.11%17.72B35.32%17.75B1,032.65%151.8B1,032.65%151.8B383.74%64.94B
Gains losses not affecting retained earnings 16.77%3.62T38.13%4.13T69.90%4.03T69.90%4.03T57.40%3.17T32.80%3.1T30.00%2.99T9.84%2.37T9.84%2.37T-15.15%2.01T
Other equity interest -21.16%790M-18.01%856M-18.69%931M-18.69%931M-16.37%991M-16.57%1B-14.85%1.04B-22.37%1.15B-22.37%1.15B-20.89%1.19B
Total stockholders'equity 7.74%14.76T12.31%14.95T15.61%14.66T15.61%14.66T11.43%13.78T8.23%13.7T7.85%13.31T4.81%12.68T4.81%12.68T1.11%12.37T
Noncontrolling interests 9.02%136.71B20.51%136.83B26.88%138.93B26.88%138.93B14.33%123.96B17.35%125.4B14.49%113.54B12.14%109.5B12.14%109.5B19.41%108.42B
Total equity 7.75%14.89T12.38%15.09T15.71%14.8T15.71%14.8T11.46%13.91T8.31%13.82T7.90%13.43T4.87%12.79T4.87%12.79T1.25%12.48T
Currency Unit JPYJPYJPYJPYJPYJPYJPYJPYJPYJPY
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----
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