Sumitomo Mitsui Financial Group, Inc. (SMFG)
NYSE: SMFG · Real-Time Price · USD
15.41
+0.29 (1.92%)
At close: May 30, 2025, 4:00 PM
15.40
-0.01 (-0.06%)
After-hours: May 30, 2025, 7:59 PM EDT

SMFG 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
66,187,67475,432,84073,213,25672,193,14569,657,335
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Investment Securities
68,385,53345,982,54639,986,68547,100,84145,300,317
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Trading Asset Securities
11,976,37513,527,68410,604,6497,846,5476,697,294
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Mortgage-Backed Securities
-3,548,2682,379,2501,006,0511,658,732
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Total Investments
80,361,90863,058,49852,970,58455,953,43953,656,343
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Gross Loans
116,565,416128,522,400118,828,639107,918,834101,379,023
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Allowance for Loan Losses
-925,931-979,000-864,114-993,054-849,287
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Other Adjustments to Gross Loans
--490,655-388,579-324,830-261,330
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Net Loans
115,639,485127,052,745117,575,946106,600,950100,268,406
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Property, Plant & Equipment
1,006,5541,347,0931,832,2411,762,9961,754,661
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Goodwill
230,070304,564272,006396,279203,891
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Other Intangible Assets
787,252720,984633,022596,570615,829
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Accrued Interest Receivable
-802,738577,707353,673308,024
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Other Receivables
9,402,9092,552,1981,007,2871,550,3001,327,983
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Restricted Cash
32,2724,937,0125,161,1154,771,4733,891,584
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Other Current Assets
17,852,3723,118,5982,828,3042,507,1832,126,374
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Long-Term Deferred Tax Assets
71,26158,08065,81058,98128,958
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Other Long-Term Assets
14,710,2581,886,2871,549,7601,415,8581,185,599
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Total Assets
306,282,015281,271,637257,687,038248,160,847235,024,987
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Accrued Expenses
135,8973,987,1221,947,3881,894,0832,825,272
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Interest Bearing Deposits
188,674,042144,558,156139,377,747131,625,614127,224,439
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Non-Interest Bearing Deposits
-37,539,16333,550,06330,967,87828,269,215
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Total Deposits
188,674,042182,097,319172,927,810162,593,492155,493,654
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Short-Term Borrowings
4,456,34317,060,91715,290,33511,852,6559,646,411
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Current Portion of Long-Term Debt
25,797,13629,263,65323,204,70529,867,44827,705,394
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Current Portion of Leases
-84,55576,92976,06882,237
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Current Income Taxes Payable
-170,28441,64951,51353,718
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Other Current Liabilities
24,866,4146,254,3464,359,4044,067,0142,824,340
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Long-Term Debt
31,269,53220,694,00921,792,72920,871,63720,199,283
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Long-Term Leases
-338,088340,068307,639298,404
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Long-Term Unearned Revenue
-72,96964,82186,519105,510
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Pension & Post-Retirement Benefits
34,89739,42937,02144,62238,881
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Long-Term Deferred Tax Liabilities
448,474680,339315,930259,280399,535
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Other Long-Term Liabilities
15,757,7734,249,5093,751,2843,407,1853,076,198
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Total Liabilities
291,440,508264,992,539244,150,073235,379,155222,748,837
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Common Stock
2,345,9602,344,0382,342,5372,341,8782,341,274
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Additional Paid-In Capital
611,423663,265645,774645,382722,595
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Retained Earnings
8,290,1707,769,2227,199,4796,434,6056,078,208
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Treasury Stock
-38,512-167,671-151,799-13,403-13,699
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Comprehensive Income & Other
3,495,1605,533,1783,394,8023,279,9053,079,393
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Total Common Equity
14,704,20116,142,03213,430,79312,688,36712,207,771
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Minority Interest
137,306137,066106,17293,32568,379
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Shareholders' Equity
14,841,50716,279,09813,536,96512,781,69212,276,150
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Total Liabilities & Equity
306,282,015281,271,637257,687,038248,160,847235,024,987
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Total Debt
61,523,01167,441,22260,704,76662,975,44757,931,729
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Net Cash (Debt)
38,646,61836,980,60635,258,49929,721,74331,703,091
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Net Cash Growth
4.50%4.88%18.63%-6.25%18.64%
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Net Cash Per Share
9890.649272.428608.667224.727708.74
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Filing Date Shares Outstanding
3,8743,9424,0344,1124,111
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Total Common Shares Outstanding
3,8743,9424,0344,1124,111
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Book Value Per Share
3795.813724.093139.672906.962969.33
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Tangible Book Value
13,686,87915,116,48412,525,76511,695,51811,388,051
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Tangible Book Value Per Share
3533.203463.912915.312665.542769.95
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Updated Feb 18, 2025. Source: S&P Global Market Intelligence. Banks template. Financial Sources.
SEC Filings: 10-K · 10-Q