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SMFGSumitomo Mitsui Financial Group, Inc.
$25.31$98.1B
Overview & Verdict
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HomeStocksSMFGQuarterly Balance Sheet

Sumitomo Mitsui Financial Group, Inc. (SMFG) Quarterly Balance Sheet

120+ quarters historyFree accessUpdated daily

Sumitomo Mitsui Financial Group, Inc. (SMFG) quarterly balance sheet — complete assets, liabilities & equity history

SMFG Balance Sheet

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ4'26Q3'26Q2'26Q1'26Q4'25Q3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q3'23Q2'23Q1'23Q4'22Q3'22Q2'22Q1'22
Cash & Short Term Investments74.05T84.57T84.95T83.08T103.77T74.54T97.66T77.11T-78.17T95.51T77.41T95.25T86.2T82.18T85.19T88.18T84.55T85.85T64.42T83.7T
Cash & Due from Banks74.05T69.26T72.6T72.27T75.59T74.54T73.61T77.11T78.14T76.6T77.41T76.73T75.91T67.73T70.79T74.65T74.79T73.2T72.44T72.68T
Short Term Investments015.31T12.35T10.8T28.18T12.22T24.04T039.8T18.91T18.88T18.52T10.28T14.45T14.4T13.53T9.76T12.66T-8.02T11.02T
Total Investments216.57T184.99T175.5T173.08T190.9T164.73T177.79T161.32T49.73T169.99T56.99T166.74T157.4T158.9T160.54T157.42T150.1T147.15T29.45T138.87T
Investments Growth %13.45%12.29%-1.29%7.29%283.85%-3.09%211.99%-3.25%-68.4%6.98%-64.5%5.92%4.86%7.99%445.08%13.36%12.62%7.9%-54.14%1.86%
Long-Term Investments216.57T169.68T163.15T162.27T162.71T165.53T153.75T161.32T9.94T151.08T56.99T148.22T147.12T144.45T146.14T143.89T140.34T134.5T37.47T127.85T
Accounts Receivables00000000000000000000
Goodwill & Intangibles1.16T1.08T1.05T1T1.02T1.02T991.1B1T976.71B6.63B939.14B6.4B897.85B6.84B6.41B6.78B898.82B8.11B829.44B740.33B
Goodwill243.44B1.07T1.05T994.39B230.07B000268.83B0-34.73B0277.31B000320.64B085.28B0
Intangible Assets912.59B6.84B7.08B6.88B787.25B1.02T991.1B1T707.87B6.63B973.87B6.4B620.54B6.84B6.41B6.78B578.18B8.11B744.16B740.33B
PP&E (Net)1.08T1.05T1.02T1.01T1.01T1T996.01B1.01T1.01T1.45T1.55T1.5T1.49T1.57T1.55T1.49T1.46T1.48T1.76T1.48T
Other Assets20.19T54.47T48.95T46.66T37.47T68.46T36.32T61.24T151.91T36.44T-88.7B38.4T34.42T35.21T37.62T34.91T30.17T27.61T-2.22T26.08T
Total Current Assets90.83T90.36T91.66T87.89T104T74.54T97.91T77.11T131.34T95.77T77.67T95.5T86.42T82.42T85.42T88.4T84.78T86.08T64.42T83.93T
Total Non-Current Assets239.11T226.37T214.25T211.03T202.28T236.08T192.12T224.64T163.9T190.01T59.48T189.13T184.01T182.22T186.33T181.29T172.93T164.56T2.22T156.19T
Total Assets329.94T316.73T305.91T298.92T306.28T310.85T290.02T301.99T295.24T285.78T293.73T284.63T270.43T264.64T271.75T269.69T257.7T250.65T234.01T240.12T
Asset Growth %7.72%1.89%5.48%-1.02%3.74%8.77%-1.26%6.1%9.17%7.99%8.09%5.54%4.94%5.58%16.12%12.32%6.23%7.57%3.66%6.18%
Return on Assets (ROA)0.06%0.45%0.18%0.12%0.01%0.14%0.12%0.12%0.06%0.09%0.1%0.09%0.01%0.09%0.1%0.1%0.03%0.11%0.07%0.08%
Accounts Payable00000000000000000000
Total Debt58.66T57.71T58.32T55.63T58.3T57.4T55.28T56.72T34.26T51.57T31.68T50.18T46.16T41.07T42.62T50.99T51.48T49.09T33.58T46.39T
Net Debt-15.39T-11.55T-14.28T-16.64T-17.29T-17.14T-18.33T-20.39T-21.28T-25.03T-45.74T-26.55T-29.76T-26.66T-28.17T-23.66T-23.31T-24.11T-38.87T-26.29T
Long-Term Debt25.81T24.77T24.72T25.25T25.44T29.28T28.41T28.52T28.69T28.19T27.42T26.11T24.46T21.67T22.89T28.93T29.13T28.69T29.02T27.39T
Short-Term Debt32.85T32.94T33.59T30.38T32.86T28.12T26.87T28.2T5.57T23.38T4.26T24.07T21.69T19.4T19.73T22.06T22.36T20.4T20.46T19T
Other Liabilities254.62T35.63T34.25T32.36T34.29T39.04T33.85T38.42T60.92T34.76T-27.81T35.65T36.11T32.49T36.01T31.98T28.89T24.53T13.77T22.94T
Total Current Liabilities32.85T239.85T231.01T226.15T231.26T226.58T212.27T219.32T190.1T208.44T4.26T209T196.77T197.87T199.95T196.14T187.19T184.54T59.18B177.2T
Total Non-Current Liabilities281.08T61.09T59.59T58.16T60.18T68.99T62.86T67.58T90.33T63.44T27.81T62.2T60.86T54.29T59.03T61.11T58.32T53.79T43.67T50.9T
Total Liabilities313.93T300.95T290.6T284.31T291.44T295.57T275.13T286.9T280.44T271.87T279.9T271.21T257.64T252.16T258.99T257.25T245.51T238.33T221.17T228.1T
Total Equity16T15.79T15.3T14.61T14.84T15.28T14.89T15.09T14.8T13.91T13.82T13.43T12.79T12.48T12.76T12.45T12.2T12.32T12.85T12.02T
Equity Growth %7.82%3.3%2.76%-3.2%0.28%9.9%7.75%12.38%15.71%11.46%8.31%7.9%4.87%1.25%-0.68%3.54%2.51%7.02%13.7%9.69%
Equity / Assets (Capital Ratio)4.85%4.98%5%4.89%4.85%4.92%5.14%5%5.01%4.87%4.71%4.72%4.73%4.71%4.7%4.61%4.73%4.92%5.49%5.01%
Return on Equity (ROE)1.21%8.96%3.72%2.56%0.28%2.72%2.36%2.48%1.19%1.92%2.04%1.89%0.32%1.91%2.17%2.05%0.67%2.05%1.32%1.7%
Book Value per Share2538.894103.053977.663769.883830.163882.223783.393833.563710.913484.723451.193353.133170.933043.313101.043025.092964.972994.933122.642922.28
Tangible BV per Share2355.483822.683703.933511.483567.623622.513531.613578.563466.013483.063216.693351.542948.353041.643099.483023.442746.482992.952921.052742.29
Common Stock2.36T2.35T2.35T2.35T2.35T2.35T2.35T2.34T2.34T2.34T2.34T2.34T2.34T2.34T2.34T2.34T2.34T2.34T2.34T2.34T
Additional Paid-in Capital585.44B586.97B612.35B611.42B611.42B611.61B611.83B609.91B610.14B685.71B685.66B694.06B694.05B694.1B694.05B693.81B693.66B693.71B727.91B693.06B
Retained Earnings8.91T8.82T8.66T8.2T8.29T8.39T8.22T7.95T7.84T7.67T7.59T7.31T7.42T7.38T7.3T7.02T6.92T6.83T6.35T6.56T
Accumulated OCI4.02T4.02T3.58T3.42T3.49T3.92T3.62T4.09T4T3.17T3.1T2.99T2.37T2.01T2.33T2.3T2.16T2.37T2.72T2.37T
Treasury Stock-49.06B-127.29B-38.64B-102.15B-38.51B-131.15B-34.1B-80.99B-167.67B-90.61B-17.72B-17.75B-151.8B-64.94B-13.12B-13.12B-13.4B-13.42B-13.41B-13.44B
Preferred Stock00000000000000000000