Sumitomo Mitsui Financial...

OTC: SMFNF · Real-Time Price · USD
26.95
-0.20 (-0.74%)
At close: Aug 15, 2025, 12:36 PM

Sumitomo Mitsui Financial Balance Sheet Statement

Financials in JPY. Fiscal year is undefined.
Fiscal Year Q1 2026 Q4 2025 Q3 2025 Q2 2025 Q1 2025 Q4 2024 Q3 2024 Q2 2024 Q1 2024 Q4 2023 Q3 2023 Q2 2023 Q1 2023 Q4 2022 Q3 2022 Q2 2022 Q1 2022 Q4 2021 Q3 2021 Q2 2021 Q1 2021
Period Ending Jun 30, 2025 Mar 31, 2025 Dec 31, 2024 Sep 30, 2024 Jun 30, 2024 Mar 31, 2024 Dec 31, 2023 Sep 30, 2023 Jun 30, 2023 Mar 31, 2023 Dec 31, 2022 Sep 30, 2022 Jun 30, 2022 Mar 31, 2022 Dec 31, 2021 Sep 30, 2021 Jun 30, 2021 Mar 31, 2021 Dec 31, 2020 Sep 30, 2020 Jun 30, 2020
Cash & Equivalents
72,273.6B 75,590.6B 74,543.7B 73,612.6B 77,106.3B 78,143.1B 76,597.8B 78,237B 76,733.5B 73,213.3B 67,732.4B 70,792.7B 74,646.6B 74,792.1B 73,199.2B 72,441.8B 72,681.9B 72,568.9B 69,296B 68,474.4B 63,188.8B
Short-Term Investments
n/a 28,182.1B n/a n/a -49,896.7B n/a n/a 825.74B n/a n/a n/a n/a n/a -2,599B n/a -8,021.3B n/a 30,979.4B n/a 24,289.8B n/a
Long-Term Investments
162,273.4B 162,714.2B 164,733.9B 152,951.1B 58,188.1B n/a 52,480.6B 56,986.5B 49,513.4B 43,267.6B 46,246.4B 47,759.3B 53,405.5B 47,631B 49,157.7B 37,473.7B 46,851.1B 44,329.7B 45,472.9B 39,937.5B 41,350.9B
Other Long-Term Assets
62,053.8B 37,468.8B 69,255.3B 61,164.3B 222,871B 203,855.2B 154,309.9B 200,227B 155,960.1B 181,398.8B 148,186.8B 150,723.4B 139,225.2B 172,906.1B 125,874.2B 174,419.8B 118,362.9B 162,497.6B 116,015.8B 160,243B 119,422.8B
Receivables
228.25B 231.2B 233.51B 250.18B 246.87B 207.65B 262.19B 257.74B 251.78B 226.3B 237.21B 232.35B 226.75B 228.61B 229.07B 14.18B 232.42B 236.39B 222.94B 226.05B 218.71B
Inventory
n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Other Current Assets
n/a n/a -233.51B -250.18B 130,273.2B 131,338.7B n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Total Current Assets
72,501.9B 104,003.9B 74,543.7B 73,612.6B 157,482.8B 75,432.8B 76,860B 78,494.7B 76,985.3B 73,439.6B 67,969.7B 71,025.1B 74,873.4B 72,421.8B 73,428.3B 64,434.7B 72,914.3B 103,784.7B 69,519B 92,990.2B 63,407.5B
Property-Plant & Equipment
1,010.3B 1,006.6B 1,003.1B 996.01B 1,009.1B 1,347.1B 1,454.5B 1,877B 1,503.1B 1,832.2B 1,568.6B 1,545.6B 1,493.8B 1,763B 1,483.1B 1,757.4B 1,483.8B 1,754.7B 1,471B 1,426.5B 1,433.9B
Goodwill & Intangibles
994.39B 1,017.3B 1,022.3B 991.1B 1,003.7B 976.71B 935.27B 939.14B 924.58B 897.85B 901.86B 927.68B 920.66B 898.82B 934B 829.44B 740.33B 738.76B 749.35B 748.04B 751.02B
Total Long-Term Assets
226,418.1B 202,278.1B 236,075.7B 216,159.8B 283,072B 205,838.8B 209,180.3B 260,029.7B 207,901.2B 227,396.5B 196,903.7B 200,956B 195,045.2B 223,199B 177,448.9B 214,480.3B 167,438.1B 209,320.7B 163,709.1B 202,355.1B 162,958.6B
Total Assets
298,920B 306,282B 310,852.9B 290,022.6B 301,990.2B 295,236.7B 285,778.1B 293,725.1B 284,634.8B 270,428.6B 264,636.2B 271,748.8B 269,691.8B 257,704.6B 250,648.2B 234,014.9B 240,120B 242,584.3B 233,005.1B 225,757.9B 226,147.5B
Account Payables
n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a 2,321.2B n/a n/a n/a
Deferred Revenue
n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Short-Term Debt
30,376.3B 32,861.9B 5,850.2B 6,203.2B 6,215B 25,193.1B 4,790.9B 4,255.4B 4,140.9B 4,919B 3,814.8B 3,318.8B 3,011.1B 2,996.4B 3,178.3B 4,196.6B 3,979.2B 3,054.9B 3,457.6B 3,136.1B 5,731.8B
Other Current Liabilities
194,789B 198,400.7B -7,129.5B -7,382.3B -7,577.8B 184,432.9B -6,331.4B n/a -6,549.6B -7,332.5B -6,092.8B -5,673.6B -5,406.8B -5,440.2B -5,512B -4,262.2B -6,259.9B -5,376.1B -5,556B -5,103.4B -7,572.1B
Total Current Liabilities
225,165.3B 231,262.6B n/a n/a n/a 209,626.1B 4,790.9B 6,367B n/a n/a 3,814.8B 3,318.8B 3,011.1B n/a 3,178.3B n/a 3,979.2B n/a n/a n/a n/a
Long-Term Debt
25,252.6B 25,435.8B 29,283.6B 28,411.9B 28,519.3B 28,688.5B 28,185.4B 27,419.7B 26,109B 24,463.8B 21,674.7B 22,890.9B 28,928.6B 29,128.1B 28,690.5B 29,019.5B 27,393.5B 27,307.7B 26,653B 25,942.5B 25,603.5B
Other Long-Term Liabilities
33,349.8B 34,293.7B 39,041.4B 33,846.5B 258,380.6B 199,396.2B 222,820.8B 198,602.8B 241,974.9B 222,357.3B 214,129.2B 218,849.2B 224,967B 214,202.8B 191,716.1B 185,293.8B 184,838.3B 202,444B 195,355.9B 189,242.7B 190,115.6B
Total Long-Term Liabilities
59,146.8B 60,178B 68,992.6B 62,858.6B 286,900B 228,084.7B 251,006.1B 226,022.5B 268,083.9B 246,821.2B 235,803.9B 241,740.1B 253,895.6B 243,635.6B 220,406.6B 214,673.9B 212,231.8B 230,237.9B 222,008.9B 215,554.3B 215,719.1B
Total Liabilities
284,312B 291,440.5B 295,571.1B 275,129.8B 286,900B 280,436.7B 271,872.9B 279,904B 271,206.4B 257,637.5B 252,160.6B 258,987.9B 257,246.4B 245,507.3B 238,326.5B 221,167B 228,100.3B 230,685.3B 221,491.4B 214,458.3B 215,189.1B
Total Debt
55,628.9B 58,297.7B 35,133.9B 34,615.1B 34,734.4B 34,255.8B 32,976.2B 31,675.1B 30,249.9B 29,382.8B 25,489.5B 26,209.7B 31,939.7B 32,124.5B 31,868.8B 33,576.7B 31,372.7B 30,743.3B 30,110.6B 29,447.8B 31,335.3B
Common Stock
2,346B 2,346B 2,346B 2,346B 2,344B 2,344B 2,344B 2,344B 2,342.5B 2,342.5B 2,342.5B 2,342.5B 2,341.9B 2,341.9B 2,341.9B 2,341.9B 2,341.3B 2,341.3B 2,341.3B 2,341.3B 2,340B
Retained Earnings
8,198.1B 8,290.2B 8,392.7B 8,216.5B 7,954.1B 7,843.5B 7,672.6B 7,586.7B 7,308.3B 7,423.6B 7,381.3B 7,297.9B 7,024.9B 6,916.5B 6,834.7B 6,345.8B 6,557.3B 6,492.6B 6,412.9B 6,427.4B 6,243.6B
Comprehensive Income
3,418.6B 3,494.4B 3,915.7B 3,615.1B 4,126.3B 4,030.1B 3,168.5B 3,096B 2,986.7B 2,372.1B 2,013B 2,331.4B 2,297.5B 2,159.6B 2,372.5B 2,723.9B 2,367.8B 2,313B 2,010.1B 1,784.5B 1,629.7B
Shareholders Equity
14,472.6B 14,704.2B 15,135.6B 14,756B 14,953.4B 14,661B 13,781.2B 13,695.7B 13,314.8B 12,681.6B 12,367.1B 12,654B 12,346.2B 12,099.7B 12,230.9B 12,778B 11,947.5B 11,828.2B 11,445.6B 11,234.4B 10,893.4B
Total Investments
162,273.4B 190,896.3B 164,733.9B 152,951.1B 58,188.1B 8,172B 52,480.6B 56,986.5B 49,513.4B 43,267.6B 46,246.4B 47,759.3B 53,405.5B 47,631B 49,157.7B 37,473.7B 46,851.1B 75,309.1B 45,472.9B 64,227.3B 41,350.9B