Tokyo - Delayed Quote JPY

Sumitomo Mitsui Financial Group, Inc. (8316.T)

Compare
3,235.00 +68.00 (+2.15%)
As of 1:13 PM GMT+9. Market Open.
Currency in JPY All numbers in thousands
Breakdown
TTM
3/31/2024
3/31/2023
3/31/2022
3/31/2021
3/31/2020
Total Revenue
4,607,870,000.00
4,433,371,000.00
3,719,458,000.00
3,423,103,000.00
3,050,719,000.00
--
Credit Losses Provision
-259,253,000.00
-274,000,000.00
-210,200,000.00
-274,400,000.00
-360,500,000.00
--
Non Interest Expense
2,797,994,000.00
2,765,974,000.00
2,403,833,000.00
2,136,586,000.00
2,004,957,000.00
--
Income from Associates & Other Participating Interests
86,525,000.00
72,000,000.00
55,500,000.00
28,500,000.00
25,000,000.00
--
Special Income Charges
-124,630,000.00
-123,047,000.00
-62,458,000.00
-111,033,000.00
-38,025,000.00
--
Other Non Operating Income Expenses
-38,762,000.00
--
--
--
167,739,000.00
240,401,000.00
Pretax Income
1,512,515,000.00
1,342,349,000.00
1,098,472,000.00
929,588,000.00
672,237,000.00
--
Tax Provision
421,169,000.00
373,662,000.00
282,148,000.00
214,535,000.00
156,346,000.00
--
Net Income Common Stockholders
1,086,285,000.00
962,946,000.00
805,842,000.00
706,631,000.00
512,812,000.00
--
Average Dilution Earnings
-3,000.00
--
--
--
--
-6,000.00
Diluted NI Available to Com Stockholders
1,086,285,000.00
962,946,000.00
805,842,000.00
706,631,000.00
512,812,000.00
--
Basic EPS
821.95
724.55
590.46
515.51
374.26
--
Diluted EPS
821.72
724.34
590.26
515.30
374.08
--
Basic Average Shares
1,323,065.48
1,329,025.00
1,364,770.00
1,370,737.00
1,370,213.00
--
Diluted Average Shares
1,323,438.65
1,329,411.00
1,365,233.00
1,371,298.00
1,370,871.00
--
Rent Expense Supplemental
26,380,000.00
30,915,000.00
31,314,000.00
24,989,000.00
23,419,000.00
--
Interest Income after Provision for Loan Loss
1,725,118,000.00
1,606,654,000.00
1,507,593,000.00
1,253,584,000.00
974,717,000.00
--
Net Income from Continuing & Discontinued Operation
1,086,285,000.00
962,946,000.00
805,842,000.00
706,631,000.00
512,812,000.00
--
Normalized Income
1,176,211,018.57
1,051,736,715.20
852,254,539.80
792,037,583.60
540,836,425.00
--
Total Money Market Investments
134,457,000.00
700,050,000.00
324,531,000.00
27,500,000.00
27,947,000.00
--
Reconciled Depreciation
317,074,000.00
293,069,000.00
267,928,000.00
241,916,000.00
227,180,000.00
--
Net Income from Continuing Operation Net Minority Interest
1,086,285,000.00
962,946,000.00
805,842,000.00
706,631,000.00
512,812,000.00
--
Total Unusual Items Excluding Goodwill
-124,630,000.00
-123,047,000.00
-62,458,000.00
-111,033,000.00
-38,025,000.00
--
Total Unusual Items
-124,630,000.00
-123,047,000.00
-62,458,000.00
-111,033,000.00
-38,025,000.00
--
Tax Rate for Calcs
0.00
0.00
0.00
0.00
0.00
--
Tax Effect of Unusual Items
-34,703,981.43
-34,256,284.80
-16,045,460.20
-25,626,416.40
-10,000,575.00
--
3/31/2020 - 1/4/2000

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