Sumitomo Mitsui Financial Group, Inc. (SMFG)
NYSE: SMFG · Real-Time Price · USD
24.05
+0.47 (1.99%)
At close: Jul 1, 2026, 4:00 PM EDT
24.05
0.00 (0.00%)
After-hours: Jul 1, 2026, 7:00 PM EDT

SMFG Balance Sheet

Millions JPY. Fiscal year is Apr - Mar.
Fiscal Year
FY 2026FY 2025FY 2024FY 2023FY 2022
Period Ending
Mar '26 Mar '25 Mar '24 Mar '23 Mar '22
Cash & Equivalents
74,362,10075,590,60078,143,10075,914,00074,792,100
Securities and Investments
33,537,90040,793,20037,166,60033,226,10038,539,000
Short-Term Interbank Lending and Reverse Repurchase Agreements
33,353,80027,203,60020,659,10017,047,40013,650,300
Trading Assets
19,688,40011,976,40011,540,1008,751,2007,351,880
Other Earning Assets
-5,850,1806,310,7405,784,5905,598,990
Gross Loans
130,516,000111,136,000107,014,00098,404,10090,834,100
Allowance for Loan Losses
--925,931-817,578-750,369-817,784
Net Loans
130,516,000110,210,000106,196,00097,653,80090,016,300
Net Property, Plant & Equipment
1,370,5701,006,5601,006,8801,494,5301,457,250
Accrued Interest and Accounts Receivable
-17,852,40016,938,40015,636,50014,534,300
Other Intangible Assets
1,242,4601,017,320976,706897,848898,817
Goodwill
-230,070268,833--
Long-Term Investments
1,913,920----
Other Non-Earning Assets
13,218,20014,781,50016,298,80014,022,60010,865,600
Total Assets
309,204,000306,282,000295,237,000270,429,000257,705,000
Interest-bearing deposits
201,930,000188,674,000179,512,000171,796,000161,655,000
Total Deposits
201,930,000188,674,000179,512,000171,796,000161,655,000
Short-Term Interbank Borrowing and Repurchase Agreements
27,833,30032,359,10024,500,90020,863,00022,070,500
Short-Term Borrowings
10,551,7003,414,6803,292,1802,773,9602,308,370
Trading Liabilities
16,264,5009,726,6209,689,4308,066,7506,377,970
Accounts Payable
-2,813,5004,118,7603,879,3103,660,770
Accrued Expenses
-170,794158,341136,143135,909
Long-Term Debt
16,576,40024,707,60027,825,50024,039,80028,686,100
Other Liabilities
17,758,40029,574,20031,340,00026,082,60020,612,400
Total Liabilities
290,915,000291,441,000280,437,000257,637,000245,507,000
Common Stock
2,346,8902,345,9602,344,0402,342,5402,341,880
Treasury Stock
-48,851-38,512-167,671-151,798-13,402
Additional Paid-in Capital
635,731611,423610,143694,052693,664
Accumulated Other Comprehensive Income
4,337,9303,495,1604,031,0602,373,2202,161,080
Retained Earnings
8,585,2008,290,1707,843,4707,423,6006,916,470
Total Common Shareholders' Equity
15,856,90011,209,00010,630,00010,308,4009,938,610
Minority Interest
2,432,100137,306138,925109,49597,641
Shareholders' Equity
18,289,00014,841,50014,800,00012,791,10012,197,300
Total Liabilities & Equity
309,204,000306,282,000295,237,000270,429,000257,705,000
Total Debt
16,576,40024,707,60027,825,50024,039,80028,686,100
Net Cash (Debt)
-16,576,400-24,707,600-27,825,500-24,039,800-28,686,100
Net Cash Per Share
-2587.90-3793.97-4186.14-3521.71-4183.78
Book Value
15,856,90011,209,00010,630,00010,308,4009,938,610
Book Value Per Share
2475.571721.201599.201510.131449.52
Tangible Book Value
14,614,4009,961,6509,384,4409,410,5409,039,790
Tangible Book Value Per Share
2281.601529.661411.821378.601318.43
SEC Filings: 10-K · 10-Q