Sumitomo Mitsui Banking Corporation【JP:E03617】
Market cap
P/E ratio
| Mar 31, 2013 | Mar 31, 2014 | Mar 31, 2015 | Mar 31, 2016 | Mar 31, 2017 | Mar 31, 2018 | Mar 31, 2019 | Mar 31, 2020 | Mar 31, 2021 | Mar 31, 2022 | Mar 31, 2023 | |
| Cash and due from banks | - | 30,133,257 | 37,008,665 | 38,862,725 | 41,652,508 | 49,030,209 | 54,205,583 | 57,971,293 | 68,872,236 | 70,840,809 | 70,818,701 |
| Call loans and bills bought | - | 1,248,235 | 1,326,965 | 1,291,365 | 1,872,144 | 1,881,879 | 2,665,744 | 1,246,739 | 3,253,463 | 3,265,134 | 6,374,812 |
| Securities purchased under resale agreements | - | 455,595 | 417,473 | 359,318 | 523,913 | 499,738 | 3,364,070 | 5,963,377 | 2,564,708 | 1,645,410 | 1,437,595 |
| Cash collateral provided for securities borrowed | - | 643,127 | 2,012,795 | 2,798,855 | 3,184,379 | 3,140,151 | 1,222,284 | 943,940 | 1,587,813 | 1,863,080 | 1,598,124 |
| Monetary claims bought | - | 873,331 | 1,047,498 | 950,106 | 1,125,434 | 1,239,394 | 1,470,872 | 1,562,083 | 1,765,424 | 2,290,607 | 1,944,291 |
| Trading account assets | - | 3,220,669 | 3,627,862 | 3,511,957 | 1,879,342 | 1,723,878 | 1,534,100 | 3,189,980 | 2,448,415 | 2,025,767 | 2,379,930 |
| Money held in trust | - | 2,060 | 1 | 3 | - | - | - | - | - | - | - |
| Securities | - | 27,317,549 | 29,985,267 | 25,602,156 | 24,342,369 | 25,916,718 | 24,336,638 | 27,058,633 | 36,487,225 | 38,238,579 | 32,210,394 |
| Loans and bills discounted | - | 63,370,678 | 68,274,308 | 69,276,735 | 75,585,256 | 73,896,163 | 76,401,807 | 80,187,382 | 81,937,725 | 87,671,294 | 94,307,397 |
| Foreign exchanges | - | 1,698,141 | 1,798,843 | 1,558,252 | 1,663,102 | 2,143,021 | 1,627,105 | 1,896,157 | 2,048,571 | 2,721,735 | 1,824,364 |
| Lease receivables and investments in leases | - | 218,360 | 252,213 | 269,429 | 282,505 | 252,507 | 247,835 | 219,733 | 236,392 | 228,608 | 226,302 |
| Other assets | - | 1,298,327 | 2,460,344 | 2,131,869 | 2,383,307 | 3,020,300 | 2,895,757 | 4,178,263 | 4,291,338 | 5,291,974 | 7,129,287 |
| Property, plant and equipment | - | 753,279 | 812,383 | 831,326 | 815,808 | 798,476 | 802,501 | 794,957 | 780,803 | 766,477 | 737,253 |
| Leased assets-1 | - | 122,847 | 158,224 | 206,419 | 201,066 | 594,576 | 573,292 | 506,755 | 465,147 | 456,108 | 519,308 |
| Buildings, net | - | 234,936 | 246,385 | 310,757 | 307,563 | 297,973 | 299,672 | 299,370 | 289,243 | 271,391 | 239,768 |
| Land | - | 406,492 | 431,283 | 429,979 | 430,117 | 416,588 | 414,064 | 411,639 | 413,850 | 404,511 | 367,009 |
| Leased assets, net | - | 4,486 | 4,089 | 3,823 | 3,373 | 2,861 | 2,527 | 2,267 | 1,725 | 1,490 | 219 |
| Construction in progress | - | 55,230 | 74,363 | 25,680 | 18,881 | 16,134 | 19,567 | 13,520 | 12,039 | 21,898 | 23,700 |
| Other, net | - | 52,134 | 56,261 | 61,086 | 55,872 | 64,918 | 66,668 | 68,159 | 63,944 | 67,184 | 106,555 |
| Intangible assets | - | 182,351 | 200,966 | 220,174 | 230,984 | 231,429 | 236,352 | 234,707 | 258,523 | 249,750 | 285,986 |
| Software | - | 174,795 | 193,434 | 212,855 | 223,906 | 224,431 | 229,274 | 226,631 | 250,251 | 241,447 | 277,778 |
| Other | - | 7,555 | 7,532 | 7,319 | 7,078 | 6,997 | 7,077 | 8,075 | 8,271 | 8,303 | 8,208 |
| Retirement benefit asset | - | 115,847 | 367,953 | 198,637 | 310,588 | 377,768 | 324,672 | 226,273 | 559,043 | 616,206 | 698,974 |
| Deferred tax assets | - | - | - | - | - | - | 23,399 | 26,147 | 30,870 | 52,543 | 57,428 |
| Customers' liabilities for acceptances and guarantees | - | 5,767,068 | 6,721,131 | 6,737,089 | 7,565,562 | 7,921,169 | 9,078,706 | 9,399,524 | 10,526,389 | 12,285,466 | 15,405,856 |
| Allowance for loan losses | - | -472,548 | -394,140 | -357,186 | -389,726 | -319,868 | -275,185 | -279,702 | -456,405 | -589,208 | -523,888 |
| Assets | - | 135,966,434 | 154,724,079 | 153,641,430 | 162,281,729 | 170,923,146 | 179,348,654 | 193,963,791 | 215,846,732 | 227,964,729 | 235,337,464 |
| Deposits | - | 84,137,339 | 91,337,714 | 98,839,722 | 105,590,771 | 110,243,226 | 116,091,103 | 119,973,324 | 134,685,582 | 141,015,245 | 149,948,880 |
| Negotiable certificates of deposit | - | 14,020,505 | 14,022,064 | 14,428,338 | 12,263,091 | 11,264,807 | 11,581,605 | 10,580,261 | 12,703,900 | 13,108,797 | 12,929,824 |
| Call money and bills sold | - | 4,113,650 | 5,873,123 | 1,220,455 | 844,519 | 740,928 | 572,778 | 2,920,539 | 536,515 | 704,999 | 786,055 |
| Securities sold under repurchase agreements | - | 1,126,120 | 350,010 | 496,236 | 1,359,017 | 4,383,418 | 7,364,577 | 8,728,522 | 11,879,494 | 14,626,237 | 12,041,367 |
| Cash collateral received for securities lent | - | 3,390,533 | 5,113,896 | 1,374,280 | 3,076,425 | 3,073,423 | 418,912 | 571,095 | 551,377 | 305,779 | 370,514 |
| Commercial papers | - | 1,806,866 | 2,551,652 | 1,980,153 | 1,390,123 | 1,522,354 | 1,634,811 | 642,447 | 978,109 | 1,229,180 | 1,292,198 |
| Trading account liabilities | - | 2,400,057 | 2,754,739 | 2,987,815 | 1,472,340 | 1,422,824 | 1,348,931 | 2,959,613 | 2,348,232 | 1,558,679 | 1,643,213 |
| Borrowed money | - | 5,091,006 | 8,096,070 | 7,868,311 | 12,026,497 | 14,023,257 | 15,567,626 | 21,561,177 | 24,825,882 | 26,700,215 | 21,905,262 |
| Foreign exchanges | - | 490,873 | 1,172,969 | 1,131,796 | 737,961 | 915,154 | 1,213,861 | 1,519,777 | 1,193,427 | 1,339,163 | 1,516,160 |
| Bonds payable | - | 4,501,843 | 5,095,577 | 4,775,072 | 3,944,061 | 3,211,548 | 2,910,794 | 1,894,369 | 1,084,913 | 720,847 | 641,410 |
| Borrowed money from trust account | - | 698,953 | 717,529 | 921,320 | 1,160,014 | 1,276,907 | 1,292,699 | 1,735,889 | 2,218,601 | 2,321,699 | 2,277,046 |
| Other liabilities | - | 2,071,738 | 3,672,970 | 2,924,495 | 2,879,318 | 2,391,909 | 1,659,172 | 3,453,008 | 3,571,515 | 4,255,764 | 6,991,747 |
| Provision for bonuses | - | 12,112 | 13,738 | 13,869 | 14,134 | 14,163 | 13,285 | 13,794 | 13,345 | 12,584 | 13,542 |
| Provision for bonuses for directors (and other officers) | - | 610 | 644 | 566 | 612 | 978 | 937 | 939 | 1,154 | 1,150 | 1,202 |
| Retirement benefit liability | - | 14,625 | 12,641 | 17,844 | 16,788 | 6,552 | 4,457 | 4,114 | 5,406 | 10,985 | 6,367 |
| Provision for retirement benefits for directors (and other officers) | - | 814 | 759 | 743 | 867 | 671 | 669 | 617 | 635 | 580 | 596 |
| Provision for point card certificates | - | 1,338 | 1,119 | 1,086 | 1,058 | 966 | 468 | 388 | 603 | 870 | 1,140 |
| Provision for reimbursement of deposits | - | 13,650 | 19,589 | 15,374 | 13,602 | 17,307 | 7,425 | 3,900 | 9,245 | 4,974 | 9,998 |
| Deferred tax liabilities | - | - | - | - | - | - | 374,529 | 330,699 | 487,964 | 221,503 | 150,223 |
| Deferred tax liabilities for land revaluation | - | 37,782 | 34,141 | 31,837 | 31,230 | 30,539 | 30,259 | 30,111 | 29,603 | 29,193 | 27,952 |
| Acceptances and guarantees | - | 5,767,068 | 6,721,131 | 6,737,089 | 7,565,562 | 7,921,169 | 9,078,706 | 9,399,524 | 10,526,389 | 12,285,466 | 15,405,856 |
| Liabilities | - | 128,889,073 | 146,725,363 | 145,884,620 | 154,864,546 | 163,001,878 | 171,386,468 | 186,467,572 | 207,780,865 | 220,418,246 | 227,942,508 |
| Share capital | - | 1,770,996 | 1,770,996 | 1,770,996 | 1,770,996 | 1,770,996 | 1,770,996 | 1,770,996 | 1,770,996 | 1,770,996 | 1,770,996 |
| Capital surplus | - | 2,481,273 | 2,481,273 | 2,470,198 | 1,776,830 | 1,776,830 | 1,774,554 | 1,774,554 | 1,774,554 | 1,774,554 | 1,774,554 |
| Retained earnings | - | 2,137,235 | 2,327,186 | 2,414,989 | 2,689,638 | 3,044,175 | 3,196,504 | 2,875,747 | 2,910,394 | 3,079,860 | 3,276,915 |
| Treasury shares | - | -210,003 | -210,003 | -210,003 | -210,003 | -210,003 | -210,003 | -210,003 | -210,003 | -210,003 | -210,003 |
| Shareholders' equity | - | 6,179,502 | 6,369,453 | 6,446,181 | 6,027,462 | 6,381,999 | 6,532,053 | 6,211,295 | 6,245,942 | 6,415,408 | 6,612,463 |
| Valuation difference on available-for-sale securities | - | 926,836 | 1,726,573 | 1,233,910 | 1,399,125 | 1,519,691 | 1,427,008 | 1,073,795 | 1,719,291 | 1,288,414 | 1,040,472 |
| Deferred gains or losses on hedges | - | -53,158 | -124,906 | 48,706 | -36,110 | -6,286 | -22,444 | 185,163 | 75,141 | -182,902 | -282,793 |
| Revaluation reserve for land | - | 24,180 | 27,593 | 28,011 | 26,704 | 25,863 | 25,568 | 25,964 | 25,492 | 25,563 | 24,813 |
| Foreign currency translation adjustment | - | 6,779 | 114,413 | 58,693 | 35,589 | 12,710 | 24,371 | -48,969 | 12,494 | 361,502 | 697,887 |
| Remeasurements of defined benefit plans | - | -74,755 | 44,216 | -65,290 | 10,773 | 60,463 | -5,446 | -88,577 | 125,380 | 118,548 | 131,222 |
| Valuation and translation adjustments | - | 897,858 | 1,629,261 | 1,310,628 | 1,389,719 | 1,539,268 | 1,430,131 | 1,284,923 | 1,819,924 | 1,131,074 | 782,492 |
| Non-controlling interests | - | - | 1,078,891 | 922,549 | 899,656 | 555,298 | 278,910 | 90,182 | 101,823 | 129,411 | 147,969 |
| Net assets | 6,554,446 | 7,077,360 | 7,998,715 | 7,756,810 | 7,417,182 | 7,921,268 | 7,962,185 | 7,496,219 | 8,065,866 | 7,546,483 | 7,394,955 |
| Liabilities and net assets | - | 135,966,434 | 154,724,079 | 153,641,430 | 162,281,729 | 170,923,146 | 179,348,654 | 193,963,791 | 215,846,732 | 227,964,729 | 235,337,464 |