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
24.38
+0.33 (1.37%)
After-hours: Jul 1, 2026, 4:20 PM EDT

SMFG Cash Flow Statement

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
Net Income
1,555,030654,2461,207,7901,261,880676,464
Depreciation & Amortization
339,438336,904338,521322,337321,205
Provision for Credit Losses
384,150378,791222,894138,176269,060
Other Adjustments
-1,458,280-72,397-1,841,690-750,046-725,289
Changes in Trading Assets
-542,537-1,113,750198,1491,018,6301,646,830
Changes in Securities Borrowed
-2,804,460-7,710,500-2,693,140568,865696,588
Changes in Other Operating Activities
2,273,34017,790,90014,757,800-5,045,7904,507,200
Operating Cash Flow
-6,461,1003,066,1301,036,630-5,239,9105,101,190
Operating Cash Flow Growth
-195.78%---72.86%
Net Change in Short-Term Interbank Lending and Reverse Repurchase Agreements
10,873,8008,051,9707,921,3409,574,8306,097,720
Net Change in Loans Held-for-Investment
-5,701,100-4,046,040-9,099,520-6,895,670-6,144,510
Net Change in Securities and Investments
3,165,090-4,169,560-517,3856,077,640-2,171,770
Payments for Business Acquisitions
42,813-14,563-9,993--215,694
Proceeds from Business Divestments
-1,27271,451--
Capital Expenditures
-171,518-98,498-119,710-87,989-81,367
Purchases of Intangible Assets
-287,886-256,446-242,877-199,122-194,836
Sale of Property, Plant & Equipment
11,5527,0161,9648,740280
Other Investing Activities
--4-4-2-1
Investing Cash Flow
2,760,050-4,530,780-816,5545,799,260-2,663,390
Long-Term Debt Issued
982,729662,478973,103216,924175,488
Long-Term Debt Repaid
-344,758-569,678-124,574-223,601-493,416
Net Long-Term Debt Issued (Repaid)
637,97192,800848,529-6,677-317,928
Repurchase of Common Stock
-250,365-251,448-211,217-138,507246
Net Common Stock Issued (Repurchased)
-250,365-251,448-211,217-138,507246
Common Dividends Paid
-540,071-412,120-348,010-301,600-274,058
Preferred Share Dividends Paid
-54,928-37,593-18,375-13,937-11,360
Other Financing Activities
16,373-3,939-104,7431,1735,239
Financing Cash Flow
-191,020-612,300166,184-459,548-597,861
Effect of Exchange Rate Changes on Cash and Cash Equivalents
1,279,160-110,7251,707,310900,472955,315
Net Cash Flow
-2,612,900-2,187,6802,093,5701,000,2802,795,260
Free Cash Flow
-6,632,6102,967,630916,920-5,327,9005,019,830
Free Cash Flow Growth
-223.65%---73.08%
FCF Margin
-156.90%96.48%26.67%-171.13%175.31%
Free Cash Flow Per Share
-1035.48455.69137.94-780.51732.13
SEC Filings: 10-K · 10-Q