Sumitomo Mitsui Trust Group, Inc. (CMTDF)
OTCMKTS · Delayed Price · Currency is USD
26.55
0.00 (0.00%)
May 14, 2025, 4:00 PM EDT

CMTDF Balance Sheet

Millions JPY. Fiscal year is Apr - Mar.
Fiscal Year
FY 2025 FY 2024 FY 2023 FY 2022 FY 2021 2016 - 2020
Period Ending
Mar '25 Mar '24 Mar '23 Mar '22 Mar '21 2016 - 2020
Cash & Equivalents
25,173,61122,831,65321,602,47318,223,36418,488,763
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Investment Securities
13,222,20911,727,1548,449,2219,536,6038,763,749
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Trading Asset Securities
2,291,5212,015,7521,514,603967,565433,766
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Total Investments
15,513,73013,742,9069,963,82410,504,1689,197,515
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Gross Loans
32,946,23433,445,91931,834,93230,881,50730,515,734
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Allowance for Loan Losses
-129,958-117,798-129,998-163,369-129,223
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Net Loans
32,816,27633,328,12131,704,93430,718,13830,386,511
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Property, Plant & Equipment
218,432226,714222,588224,535228,180
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Goodwill
8,08214,82021,72629,51037,292
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Other Intangible Assets
166,662134,352109,24396,15775,011
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Other Receivables
95,400----
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Restricted Cash
35,67722,59616,13616,30812,223
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Other Current Assets
693,868640,876609,968570,722537,178
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Long-Term Deferred Tax Assets
8,1977,92910,72915,61314,459
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Other Long-Term Assets
3,517,1674,926,9384,761,1254,234,7053,186,744
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Total Assets
78,247,10275,876,90569,022,74664,633,22062,163,876
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Accrued Expenses
44,50621,29719,53821,26818,679
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Interest Bearing Deposits
47,366,08446,639,27742,848,29239,818,10640,628,272
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Total Deposits
47,366,08446,639,27742,848,29239,818,10640,628,272
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Short-Term Borrowings
5,697,2935,967,6515,276,0354,672,1104,234,164
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Other Current Liabilities
2,732,8552,362,8042,035,1591,447,914833,358
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Long-Term Debt
16,120,71014,417,32312,873,77513,528,92912,243,415
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Pension & Post-Retirement Benefits
12,57613,96513,72013,55313,752
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Long-Term Deferred Tax Liabilities
137,947204,31567,96646,46983,982
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Other Long-Term Liabilities
3,007,8183,112,5893,065,6882,339,5841,385,699
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Total Liabilities
75,119,78972,739,22166,200,17361,887,93359,441,321
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Common Stock
261,608261,608261,608261,608261,608
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Additional Paid-In Capital
506,616526,318546,146576,114576,114
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Retained Earnings
1,968,1361,802,0861,803,0021,682,5191,581,096
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Treasury Stock
-36,444-23,635-22,933-2,714-2,815
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Comprehensive Income & Other
397,009540,804205,205199,035278,780
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Total Common Equity
3,096,9253,107,1812,793,0282,716,5622,694,783
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Minority Interest
30,38830,50329,54528,72527,772
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Shareholders' Equity
3,127,3133,137,6842,822,5732,745,2872,722,555
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Total Liabilities & Equity
78,247,10275,876,90569,022,74664,633,22062,163,876
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Total Debt
21,818,00320,384,97418,149,81018,201,03916,477,579
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Net Cash (Debt)
6,450,8515,106,2315,513,3621,793,1653,332,907
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Net Cash Growth
26.33%-7.38%207.47%-46.20%-
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Net Cash Per Share
8998.217033.787459.462392.194446.52
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Filing Date Shares Outstanding
710.96719.6726.04749.15749.09
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Total Common Shares Outstanding
710.96719.6726.49749.15749.09
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Book Value Per Share
4355.984317.963844.563626.203597.40
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Tangible Book Value
2,922,1812,958,0092,662,0592,590,8952,582,480
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Tangible Book Value Per Share
4110.194110.663664.283458.453447.48
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Source: S&P Global Market Intelligence. Banks template. Financial Sources.