Sumitomo Mitsui Financial Group, Inc.JP:8316Cash flow

Market cap
¥20.4T
P/E ratio
13.5x
2015/032016/032017/032018/032019/032020/032021/032022/032023/032024/032025/03
Depreciation & amortization222,195238,348274,988281,535269,010209,198207,815222,298238,696253,827247,868
Cash from operations 8,240,226-1,127,3084,514,3779,342,7944,596,2427,087,46018,795,9511,545,423-5,895,185642,8624,848,464
Capital expenditures-578,968-529,264-495,823-712,563-510,213-103,052-145,946-92,592-100,015-141,688-110,930
Cash from investing -1,457,1885,240,950581,347-3,395,2991,006,260-3,011,660-7,679,878-2,406,8105,931,059-918,904-4,512,943
Payments for dividends -170,917-211,952-205,078-218,569-245,594-255,771-267,119-274,058-301,600-348,010-412,120
Repurchases of common stock-161-191-100-142-70,094-100,088-61-74-138,839-211,434-251,629
Cash from financing -302,589-55,995-166,524-350,468-632,819-1,024,554-562,580-485,338-357,778280,693-480,149